UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended:September 30,
2000
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a
restatement.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Teachers' Retirement System of the State of
Kentucky
Address: 479 Versailles Road
Frankfort, Ky. 40601-3868
13F File Number: 28-1067
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: Stuart A. Reagan
Title: Investment Officer
Phone: 502-573-2057
Signature, Place, and Date of Signing:
Stuart A. Reagan Frankfort, Ky
October 18, 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.
FORM 13F SUMMARY PAGE
Report summary:
Number of other Included Managers:
6
Form 13F Information Table Entry Total:
992
Form 13F Information Table Value Total: $7,351,443
List of Other Included Managers:
No. 13F File Number Name
01 500 Stock Index
02 NAMC
03 TODD STOCKS
04 28-517 WELLINGTON MGMT. CO.
05 BRINSON PARTNERS, INC.
06 28-517 SMALL CAP (WELLINGTON)
FORM 13F INFORMATION TABLE
FORM 13F TEACHERS' RETIREMENT STATE OF
KENTUCKY
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5:
TITLE OF VALUE SHARES/
SH/PUT/INVSTMT OTHER VOTING AUTHORITY
NAME OF ISSUER CLASS CUSIP (X$1000) PRN AMT
PRNCALLDSCRETNMANAGERS SOLE SHAREDNONE
A T & T Corp Com 00195710 29,700 1,011,06SH
DEFINED01 1,011,069 0 0
Abbott Laboratories Com 00282410 19,396 407,800SH
DEFINED01 407,800 0 0
Adaptec Inc Com 00651F10 554 27,700SH
DEFINED01 27,700 0 0
ADC Telecommunications Inc Com 00088610 4,840 180,000SH
DEFINED01 180,000 0 0
Adobe Systems Inc Com 00724F10 5,092 32,800SH
DEFINED01 32,800 0 0
Advanced Micro Devices Com 00790310 1,866 79,000SH
DEFINED01 79,000 0 0
AES Corp Com 00130H10 7,056 103,000SH
DEFINED01 103,000 0 0
Aetna Inc Com 00811710 2,195 37,805SH
DEFINED01 37,805 0 0
AFLAC Inc Com 00105510 4,568 71,300SH
DEFINED01 71,300 0 0
Agilent Technologies Inc A Com 00846U10 5,909 120,750SH
DEFINED01 120,750 0 0
Air Products & Chemicals Com 00915810 2,214 61,500SH
DEFINED01 61,500 0 0
Alberto-Culver Com 01306810 323 11,200SH
DEFINED01 11,200 0 0
Albertson's Com 01310410 2,366 112,654SH
DEFINED01 112,654 0 0
Alcan Aluminium Com 01371610 1,754 60,600SH
DEFINED01 60,600 0 0
Alcoa Inc Com 01381710 5,883 232,428SH
DEFINED01 232,428 0 0
Allegheny Technologies Inc Com 01741R10 463 25,537SH
DEFINED01 25,537 0 0
Allergan Inc Com 01849010 2,989 35,400SH
DEFINED01 35,400 0 0
Allied Waste Industries Inc Com 01958930 464 50,500SH
DEFINED01 50,500 0 0
Allstate Corp Com 02000210 6,787 195,314SH
DEFINED01 195,314 0 0
Alltel Corp Com 02003910 4,269 81,800SH
DEFINED01 81,800 0 0
Altera Corp Com 02144110 5,062 106,000SH
DEFINED01 106,000 0 0
Alza Corp Com 02261510 2,353 27,200SH
DEFINED01 27,200 0 0
Amerada Hess Com 02355110 1,627 24,300SH
DEFINED01 24,300 0 0
Ameren Corp Com 02360810 1,541 36,800SH
DEFINED01 36,800 0 0
America Online Inc Com 02364J10 32,788 610,000SH
DEFINED01 610,000 0 0
American Electric Power Com 02553710 3,365 86,000SH
DEFINED01 86,000 0 0
American Express Com 02581610 21,943 361,200SH
DEFINED01 361,200 0 0
American General Corp Com 02635110 5,206 66,742SH
DEFINED01 66,742 0 0
American Greetings Com 02637510 317 18,100SH
DEFINED01 18,100 0 0
American Home Products Com 02660910 19,808 350,200SH
DEFINED01 350,200 0 0
American International Group Com 02687410 58,990 616,486SH
DEFINED01 616,486 0 0
American Power Conversion Com 02906610 888 46,300SH
DEFINED01 46,300 0 0
Amgen Inc Com 03116210 19,091 273,400SH
DEFINED01 273,400 0 0
AMR Corp Com 00176510 1,317 40,300SH
DEFINED01 40,300 0 0
Amsouth Bancorp Com 03216510 1,315 105,200SH
DEFINED01 105,200 0 0
Anadarko Petroleum Corp Com 03251110 4,314 64,912SH
DEFINED01 64,912 0 0
Analog Devices Inc Com 03265410 7,612 92,200SH
DEFINED01 92,200 0 0
Andrew Corp Com 03442510 460 17,562SH
DEFINED01 17,562 0 0
Anheuser-Busch Co Inc Com 03522910 10,604 250,600SH
DEFINED01 250,600 0 0
Aon Corp Com 03738910 2,695 68,675SH
DEFINED01 68,675 0 0
Apache Corp Com 03741110 1,803 30,500SH
DEFINED01 30,500 0 0
Apple Computer Com 03783310 2,220 86,200SH
DEFINED01 86,200 0 0
Applied Materials Inc Com 03822210 12,752 215,000SH
DEFINED01 215,000 0 0
Archer-Daniels Midland Com 03948310 1,499 173,778SH
DEFINED01 173,778 0 0
Armstrong Holdings Inc Com 04238410 128 10,700SH
DEFINED01 10,700 0 0
Ashland Inc Com 04420410 650 19,300SH
DEFINED01 19,300 0 0
Associates First Capital - A Com 04600810 7,415 195,124SH
DEFINED01 195,124 0 0
Autodesk Inc Com 05276910 401 15,800SH
DEFINED01 15,800 0 0
Automatic Data Processing In Com 05301510 11,095 165,900SH
DEFINED01 165,900 0 0
Autozone Inc Com 05333210 905 39,900SH
DEFINED01 39,900 0 0
Avery Dennison Corp Com 05361110 1,414 30,500SH
DEFINED01 30,500 0 0
Avon Products Com 05430310 2,857 69,900SH
DEFINED01 69,900 0 0
B B & T Corp Com 05493710 2,582 85,700SH
DEFINED01 85,700 0 0
Baker Hughes Com 05722410 3,272 88,140SH
DEFINED01 88,140 0 0
Ball Corp Com 05849810 231 7,300SH
DEFINED01 7,300 0 0
Bank of America Corp Com 06050510 23,110 441,236SH
DEFINED01 441,236 0 0
Bank of New York Inc Com 06405710 11,050 197,100SH
DEFINED01 197,100 0 0
Bank One Corp Com 06423A10 12,142 314,348SH
DEFINED01 314,348 0 0
Bard (CR) Inc Com 06738310 579 13,700SH
DEFINED01 13,700 0 0
Barrick Gold Corp Com 06790110 1,594 104,500SH
DEFINED01 104,500 0 0
Bausch & Lomb Com 07170710 600 15,400SH
DEFINED01 15,400 0 0
Baxter International Inc Com 07181310 6,225 78,000SH
DEFINED01 78,000 0 0
Bear Stearns Companies Inc Com 07390210 2,067 32,807SH
DEFINED01 32,807 0 0
Becton Dickinson Com 07588710 1,774 67,100SH
DEFINED01 67,100 0 0
Bed Bath & Beyond Inc Com 07589610 1,824 74,800SH
DEFINED01 74,800 0 0
BellSouth Com 07986010 20,342 505,400SH
DEFINED01 505,400 0 0
Bemis Co Com 08143710 450 14,000SH
DEFINED01 14,000 0 0
Best Buy Co Inc Com 08651610 3,474 54,600SH
DEFINED01 54,600 0 0
Bestfoods Com 08658U10 5,442 74,800SH
DEFINED01 74,800 0 0
Bethlehem Steel Com 08750910 92 30,800SH
DEFINED01 30,800 0 0
Biogen Inc Com 09059710 2,446 40,100SH
DEFINED01 40,100 0 0
Biomet Inc Com 09061310 1,580 45,150SH
DEFINED01 45,150 0 0
Black & Decker Corp Com 09179710 797 23,300SH
DEFINED01 23,300 0 0
Block H&R Com 09367110 971 26,200SH
DEFINED01 26,200 0 0
BMC Software Inc Com 05592110 1,226 64,100SH
DEFINED01 64,100 0 0
Boeing Co Com 09702310 14,617 232,014SH
DEFINED01 232,014 0 0
Boise Cascade Com 09738310 406 15,300SH
DEFINED01 15,300 0 0
Boston Scientific Corp Com 10113710 1,823 110,900SH
DEFINED01 110,900 0 0
Briggs & Stratton Com 10904310 227 6,000SH
DEFINED01 6,000 0 0
Bristol-Myers Squibb Co Com 11012210 29,871 522,900SH
DEFINED01 522,900 0 0
Broadcom Corp Cl A Com 11132010 13,967 57,300SH
DEFINED01 57,300 0 0
Brown-Forman Inc Com 11563720 1,007 18,400SH
DEFINED01 18,400 0 0
Brunswick Corp Com 11704310 451 24,700SH
DEFINED01 24,700 0 0
Burlington Northern Santa Fe Com 12189T10 2,687 124,635SH
DEFINED01 124,635 0 0
Burlington Resources Com 12201410 1,750 47,545SH
DEFINED01 47,545 0 0
C P & L Energy Inc Com 12614C10 1,784 42,800SH
DEFINED01 42,800 0 0
Cabletron Systems Inc Com 12692010 1,372 46,700SH
DEFINED01 46,700 0 0
Campbell Soup Com 13442910 3,012 116,400SH
DEFINED01 116,400 0 0
Capital One Financial Corp Com 14040H10 3,706 52,900SH
DEFINED01 52,900 0 0
Cardinal Health Inc Com 14149Y10 6,442 73,050SH
DEFINED01 73,050 0 0
Carnival Corp Com 14365810 4,048 164,400SH
DEFINED01 164,400 0 0
Caterpillar Inc Com 14912310 3,216 95,300SH
DEFINED01 95,300 0 0
Cendant Corp Com 15131310 2,100 193,123SH
DEFINED01 193,123 0 0
Centex Corp Com 15231210 514 16,000SH
DEFINED01 16,000 0 0
Centurytel Inc Com 15670010 1,018 37,350SH
DEFINED01 37,350 0 0
Ceridian Corp Com 15677T10 1,089 38,800SH
DEFINED01 38,800 0 0
Charter One Financial Inc Com 16090310 1,428 58,590SH
DEFINED01 58,590 0 0
Chase Manhattan Corp Com 16161A10 15,458 334,674SH
DEFINED01 334,674 0 0
Chevron Corp Com 16675110 14,987 175,800SH
DEFINED01 175,800 0 0
Chubb Corp Com 17123210 3,735 47,200SH
DEFINED01 47,200 0 0
Cigna Corp Com 12550910 4,708 45,100SH
DEFINED01 45,100 0 0
Cincinnati Financial Corp Com 17206210 1,569 44,200SH
DEFINED01 44,200 0 0
Cinergy Corp Com 17247410 1,409 42,618SH
DEFINED01 42,618 0 0
Circuit City Stores Com 17273710 1,240 53,900SH
DEFINED01 53,900 0 0
Cisco Systems Com 17275R10 104,312 1,888,00SH
DEFINED01 1,888,000 0 0
CIT Group Inc A Com 1,225 70,000SH
DEFINED01 70,000 0 0
Citigroup Inc Com 17296710 64,700 1,196,76SH
DEFINED01 1,196,761 0 0
Citrix Systems Inc Com 17737610 943 47,000SH
DEFINED01 47,000 0 0
Clear Channel Communications Com 18450210 8,786 155,500SH
DEFINED01 155,500 0 0
Clorox Co Com 18905410 2,504 63,300SH
DEFINED01 63,300 0 0
CMS Energy Corp Com 12589610 851 31,600SH
DEFINED01 31,600 0 0
Coastal Corp Com 19044110 4,240 57,200SH
DEFINED01 57,200 0 0
Coca Cola Co Com 19121610 36,487 661,900SH
DEFINED01 661,900 0 0
Coca Cola Enterprises Com 19121910 1,815 113,900SH
DEFINED01 113,900 0 0
Colgate-Palmolive Com 19416210 7,377 156,300SH
DEFINED01 156,300 0 0
Columbia Energy Group Com 19764810 1,562 22,000SH
DEFINED01 22,000 0 0
Comcast Corp CL A Spl Com 20030020 9,489 231,800SH
DEFINED01 231,800 0 0
Comerica Inc Com 20034010 2,449 41,900SH
DEFINED01 41,900 0 0
Compaq Computer Com 20449310 12,569 455,713SH
DEFINED01 455,713 0 0
Computer Associates Int'l Com 20491210 3,630 144,112SH
DEFINED01 144,112 0 0
Computer Sciences Corp Com 20536310 3,185 42,900SH
DEFINED01 42,900 0 0
Compuware Corp Com 20563810 801 95,700SH
DEFINED01 95,700 0 0
Comverse Technology Inc Com 20586240 4,039 37,400SH
DEFINED01 37,400 0 0
Conagra Foods Inc Com 20588710 2,626 130,900SH
DEFINED01 130,900 0 0
Conexant Systems Inc Com 20714210 2,198 52,500SH
DEFINED01 52,500 0 0
Conoco Inc CL B Com 20825140 4,528 168,100SH
DEFINED01 168,100 0 0
Conseco Inc Com 20846410 668 87,652SH
DEFINED01 87,652 0 0
Consolidated Edison Inc Com 20911510 2,020 59,200SH
DEFINED01 59,200 0 0
Consolidated Stores Corp Com 21014910 398 29,500SH
DEFINED01 29,500 0 0
Constellation Energy Group I Com 21037110 1,992 40,050SH
DEFINED01 40,050 0 0
Convergys Corp Com 21248510 1,574 40,500SH
DEFINED01 40,500 0 0
Cooper Industries Com 21666910 892 25,300SH
DEFINED01 25,300 0 0
Cooper Tire & Rubber Com 21683110 160 15,900SH
DEFINED01 15,900 0 0
Coors (Adolph) Com 21701610 626 9,900SH
DEFINED01 9,900 0 0
Corning Inc Com 21935010 23,225 78,200SH
DEFINED01 78,200 0 0
Costco Wholesale Corp Com 22160K10 4,139 118,472SH
DEFINED01 118,472 0 0
Countrywide Credit Ind Inc Com 22237210 1,144 30,300SH
DEFINED01 30,300 0 0
Crane Co Com 22439910 316 13,800SH
DEFINED01 13,800 0 0
Crown Cork & Seal Co Com 22825510 351 32,800SH
DEFINED01 32,800 0 0
CSX Corp Com 12640810 1,272 58,300SH
DEFINED01 58,300 0 0
Cummins Engine Co Inc Com 23102110 335 11,200SH
DEFINED01 11,200 0 0
CVS Corp Com 12665010 4,863 105,000SH
DEFINED01 105,000 0 0
Dana Corp Com 23581110 955 44,418SH
DEFINED01 44,418 0 0
Danaher Corp Com 23585110 1,895 38,100SH
DEFINED01 38,100 0 0
Darden Restaurants Inc Com 23719410 737 35,400SH
DEFINED01 35,400 0 0
Deere & Co Com 24419910 2,081 62,600SH
DEFINED01 62,600 0 0
Dell Computer Corp Com 24702510 20,986 681,100SH
DEFINED01 681,100 0 0
Delphi Automotive Systems Com 24712610 2,290 151,427SH
DEFINED01 151,427 0 0
Delta Airlines Inc Com 24736110 1,669 37,600SH
DEFINED01 37,600 0 0
Deluxe Corp Com 24801910 412 20,300SH
DEFINED01 20,300 0 0
Devon Energy Corp Com 25179M10 2,027 33,700SH
DEFINED01 33,700 0 0
Dillard's Inc Com 25406710 305 28,700SH
DEFINED01 28,700 0 0
Disney Walt Co (Holding Co) Com 25468710 21,144 552,782SH
DEFINED01 552,782 0 0
Dollar General Corp Com 25666910 1,261 75,288SH
DEFINED01 75,288 0 0
Dominion Resources Com 25746U10 3,691 63,562SH
DEFINED01 63,562 0 0
Donnelley (RR) & Sons Com 25786710 840 34,200SH
DEFINED01 34,200 0 0
Dover Corp Com 26000310 2,624 55,900SH
DEFINED01 55,900 0 0
Dow Chemical Co Com 26054310 4,414 177,000SH
DEFINED01 177,000 0 0
Dow Jones & Co Inc Com 26056110 1,476 24,400SH
DEFINED01 24,400 0 0
DTE Energy Co Com 23333110 1,488 38,900SH
DEFINED01 38,900 0 0
Duke Energy Corp Com 26439910 8,386 97,794SH
DEFINED01 97,794 0 0
DUN & BRADSTREET Com 26483B10 1,488 43,200SH
DEFINED01 43,200 0 0
DuPont (EI) De Nemours Com 26353410 11,559 278,962SH
DEFINED01 278,962 0 0
Eastern Enterprises Com 27637F10 459 7,200SH
DEFINED01 7,200 0 0
Eastman Chemical Co Com 27743210 774 20,950SH
DEFINED01 20,950 0 0
Eastman Kodak Com 27746110 3,466 84,800SH
DEFINED01 84,800 0 0
Eaton Corp Com 27805810 1,196 19,400SH
DEFINED01 19,400 0 0
Ecolab Inc Com 27886510 1,251 34,700SH
DEFINED01 34,700 0 0
Edison International Com 28102010 1,798 93,100SH
DEFINED01 93,100 0 0
El Paso Energy Corp Com 28390510 3,765 61,100SH
DEFINED01 61,100 0 0
Electronic Data Systems Com 28566110 5,482 132,100SH
DEFINED01 132,100 0 0
EMC Corp Com 26864810 57,273 577,786SH
DEFINED01 577,786 0 0
Emerson Electric Com 29101110 7,806 116,500SH
DEFINED01 116,500 0 0
Engelhard Corp Com 29284510 548 33,737SH
DEFINED01 33,737 0 0
Enron Corp Com 29356110 16,763 191,300SH
DEFINED01 191,300 0 0
Entergy Corp Com 29364G10 2,466 66,200SH
DEFINED01 66,200 0 0
Equifax Inc Com 29442910 1,037 38,500SH
DEFINED01 38,500 0 0
Exxon Mobil Corp Com 30231G10 82,209 922,399SH
DEFINED01 922,399 0 0
Fannie Mae Com 31358610 19,641 274,700SH
DEFINED01 274,700 0 0
Federal Home Loan Mortgage Com 31340030 10,072 186,300SH
DEFINED01 186,300 0 0
Federated Dept Stores Com 31410H10 1,460 55,900SH
DEFINED01 55,900 0 0
Fedex Corp Com 31428X10 3,535 79,720SH
DEFINED01 79,720 0 0
Fifth Third Bancorp Com 31677310 5,879 109,125SH
DEFINED01 109,125 0 0
First Data Corp Com 31996310 4,492 115,000SH
DEFINED01 115,000 0 0
First Union Corp Com 33735810 8,253 256,414SH
DEFINED01 256,414 0 0
Firstar Corp Com 33763V10 5,905 263,912SH
DEFINED01 263,912 0 0
Firstenergy Corp Com 33793210 1,689 62,700SH
DEFINED01 62,700 0 0
Fleetboston Financial Corp Com 33903010 9,616 246,557SH
DEFINED01 246,557 0 0
Florida Progress Corp Com 34110910 1,392 26,300SH
DEFINED01 26,300 0 0
Fluor Corp Com 34386110 609 20,300SH
DEFINED01 20,300 0 0
FMC Corp Com 30249130 456 6,800SH
DEFINED01 6,800 0 0
Ford Motor Co Com 34537086 12,618 498,500SH
DEFINED01 498,500 0 0
Fort James Corp Com 34747110 1,809 59,200SH
DEFINED01 59,200 0 0
Fortune Brands Inc Com 34963110 1,182 44,600SH
DEFINED01 44,600 0 0
FPL Group Com 30257110 3,156 48,000SH
DEFINED01 48,000 0 0
Franklin Resources Inc Com 35461310 3,003 67,600SH
DEFINED01 67,600 0 0
Freeport-McMoran Copper & Go Com 35671D85 386 43,800SH
DEFINED01 43,800 0 0
Gannett Co Com 36473010 3,975 75,000SH
DEFINED01 75,000 0 0
Gap (The) Com 36476010 4,626 229,850SH
DEFINED01 229,850 0 0
Gateway Inc Com 36762610 3,927 84,000SH
DEFINED01 84,000 0 0
General Dynamics Com 36955010 3,354 53,400SH
DEFINED01 53,400 0 0
General Electric Co Com 36960410 151,649 2,628,80SH
DEFINED01 2,628,800 0 0
General Mills Com 37033410 2,911 82,000SH
DEFINED01 82,000 0 0
General Motors Corp Com 37044210 9,620 148,000SH
DEFINED01 148,000 0 0
Genuine Parts Com 37246010 915 47,975SH
DEFINED01 47,975 0 0
Georgia Pacific Corp Com 37329810 1,081 46,000SH
DEFINED01 46,000 0 0
Gillette Co Com 37576610 8,596 278,400SH
DEFINED01 278,400 0 0
Global Crossing Ltd Com G3921A10 6,384 205,945SH
DEFINED01 205,945 0 0
Golden West Financial Com 38131710 2,365 44,100SH
DEFINED01 44,100 0 0
Goodrich (BF) Com 38238810 1,152 29,400SH
DEFINED01 29,400 0 0
Goodyear Tire & Rubber Com 38255010 754 41,900SH
DEFINED01 41,900 0 0
GPU Inc Com 36225X10 1,090 33,600SH
DEFINED01 33,600 0 0
Grace W R & Co New Com 38388F10 123 17,900SH
DEFINED01 17,900 0 0
Grainger (WW) Inc Com 38480210 658 25,000SH
DEFINED01 25,000 0 0
Great Lakes Chemical Com 39056810 460 15,700SH
DEFINED01 15,700 0 0
Guidant Corp Com 40169810 5,726 81,000SH
DEFINED01 81,000 0 0
Halliburton Co Com 40621610 5,789 118,300SH
DEFINED01 118,300 0 0
Harcourt General Corp Com 41163G10 1,127 19,100SH
DEFINED01 19,100 0 0
Harley Davidson Inc Com 41282210 3,868 80,800SH
DEFINED01 80,800 0 0
Harrah's Entertainment Inc Com 41361910 946 34,400SH
DEFINED01 34,400 0 0
Hartford Finl Svcs Group Com 41651510 4,420 60,600SH
DEFINED01 60,600 0 0
Hasbro Inc Com 41805610 597 52,175SH
DEFINED01 52,175 0 0
HCA-The Healthcare Co Com 40411910 5,614 151,230SH
DEFINED01 151,230 0 0
Healthsouth Corp Com 42192410 904 111,200SH
DEFINED01 111,200 0 0
Heinz (HJ) Co Com 42307410 3,562 96,100SH
DEFINED01 96,100 0 0
Hercules Inc Com 42705610 401 28,400SH
DEFINED01 28,400 0 0
Hershey Foods Com 42786610 2,024 37,400SH
DEFINED01 37,400 0 0
Hewlett Packard Co Com 42823610 25,831 266,300SH
DEFINED01 266,300 0 0
Hilton Hotels Com 43284810 790 68,300SH
DEFINED01 68,300 0 0
Home Depot Com 43707610 32,624 614,822SH
DEFINED01 614,822 0 0
Homestake Mining Com 43761410 362 69,800SH
DEFINED01 69,800 0 0
Honeywell International Inc Com 43851610 7,539 211,625SH
DEFINED01 211,625 0 0
Household International Com 44181510 7,262 128,252SH
DEFINED01 128,252 0 0
Humana Inc Com 44485910 367 34,100SH
DEFINED01 34,100 0 0
Huntington Bancshares Com 44615010 997 67,883SH
DEFINED01 67,883 0 0
Illinois Tool Works Com 45230810 4,487 80,300SH
DEFINED01 80,300 0 0
IMS Health Inc Com 44993410 1,741 83,900SH
DEFINED01 83,900 0 0
Inco Ltd Com 45325840 830 51,500SH
DEFINED01 51,500 0 0
Ingersoll-Rand Com 45686610 1,499 44,250SH
DEFINED01 44,250 0 0
Intel Corp Com 45814010 74,239 1,786,20SH
DEFINED01 1,786,200 0 0
International Business Machi Com 45920010 53,100 472,000SH
DEFINED01 472,000 0 0
International Flavors/Frag Com 45950610 518 28,400SH
DEFINED01 28,400 0 0
International Paper Co Com 46014610 3,702 129,038SH
DEFINED01 129,038 0 0
Interpublic Group Cos Inc Com 46069010 2,575 75,600SH
DEFINED01 75,600 0 0
ITT Inds Inc Com 45091110 746 23,000SH
DEFINED01 23,000 0 0
JDS Uniphase Corp Com 46612J10 23,691 250,200SH
DEFINED01 250,200 0 0
Jefferson-Pilot Com 47507010 1,920 28,287SH
DEFINED01 28,287 0 0
Johnson & Johnson Com 47816010 34,907 371,600SH
DEFINED01 371,600 0 0
Johnson Controls Com 47836610 1,218 22,900SH
DEFINED01 22,900 0 0
K Mart Corp Com 48258410 794 132,300SH
DEFINED01 132,300 0 0
Kaufman & Broad Home Corp Com 48616810 245 9,100SH
DEFINED01 9,100 0 0
Kellogg Co Com 48783610 2,627 108,600SH
DEFINED01 108,600 0 0
Kerr-McGee Com 49238610 1,535 23,170SH
DEFINED01 23,170 0 0
Keycorp New Com 49326710 3,045 120,300SH
DEFINED01 120,300 0 0
Keyspan Corp Com 1,428 35,600SH
DEFINED01 35,600 0 0
Kimberly Clark Corp Com 49436810 7,968 142,768SH
DEFINED01 142,768 0 0
KLA-Tencor Corp Com 48248010 1,944 47,200SH
DEFINED01 47,200 0 0
Knight-Ridder News Com 49904010 1,103 21,700SH
DEFINED01 21,700 0 0
Kohls Corp Com 50025510 5,030 87,200SH
DEFINED01 87,200 0 0
Kroger Co Com 50104410 5,016 222,300SH
DEFINED01 222,300 0 0
Leggett and Platt Com 52466010 830 52,500SH
DEFINED01 52,500 0 0
Lehman Brothers Com 52490810 4,743 32,100SH
DEFINED01 32,100 0 0
Lexmark International Inc Com 52977110 1,294 34,500SH
DEFINED01 34,500 0 0
Lilly (Eli) & Co Com 53245710 23,762 292,900SH
DEFINED01 292,900 0 0
Limited Inc Com 53271610 2,533 114,800SH
DEFINED01 114,800 0 0
Lincoln National Corp Com 53418710 2,565 53,300SH
DEFINED01 53,300 0 0
Linear Technology Corp Com 53567810 5,154 79,600SH
DEFINED01 79,600 0 0
Liz Claiborne Inc Com 53932010 512 13,300SH
DEFINED01 13,300 0 0
Lockheed Martin Com 53983010 3,492 105,942SH
DEFINED01 105,942 0 0
Loew's Corp Com 54042410 2,401 28,800SH
DEFINED01 28,800 0 0
Longs Drug Stores Com 54316210 149 7,800SH
DEFINED01 7,800 0 0
Louisiana Pacific Com 54634710 265 28,800SH
DEFINED01 28,800 0 0
Lowe's Cos Com 54866110 4,586 102,200SH
DEFINED01 102,200 0 0
LSI Logic Corp Com 50216110 2,311 79,000SH
DEFINED01 79,000 0 0
Lucent Technologies Inc Com 54946310 27,155 888,501SH
DEFINED01 888,501 0 0
Mallinckrodt Inc Com 56123210 867 19,000SH
DEFINED01 19,000 0 0
Manor Care Inc Com 56405510 450 28,700SH
DEFINED01 28,700 0 0
Marriott International CL A Com 57190320 2,430 66,700SH
DEFINED01 66,700 0 0
Marsh & McLennan Inc Com 57174810 9,399 70,800SH
DEFINED01 70,800 0 0
Masco Corp Com 57459910 2,211 118,700SH
DEFINED01 118,700 0 0
Mattel Inc Com 57708110 1,260 112,666SH
DEFINED01 112,666 0 0
Maxim Integrated Products Com 57772K10 5,936 73,800SH
DEFINED01 73,800 0 0
May Dept Stores Co Com 57777810 1,836 89,550SH
DEFINED01 89,550 0 0
Maytag Co Com 57859210 727 23,400SH
DEFINED01 23,400 0 0
MBIA Inc Com 55262C10 1,906 26,800SH
DEFINED01 26,800 0 0
MBNA Corp Com 55262L10 8,276 214,952SH
DEFINED01 214,952 0 0
McDermott International Com 58003710 133 12,100SH
DEFINED01 12,100 0 0
McDonald's Corp Com 58013510 10,961 363,100SH
DEFINED01 363,100 0 0
McGraw-Hill Com 58064510 3,356 52,800SH
DEFINED01 52,800 0 0
Mckesson HBOC Inc Com 58155Q10 2,305 75,432SH
DEFINED01 75,432 0 0
Mead Corp Com 58283410 640 27,400SH
DEFINED01 27,400 0 0
Medimmune Inc Com 58469910 4,341 56,200SH
DEFINED01 56,200 0 0
Medtronic Inc Com 58505510 16,300 314,600SH
DEFINED01 314,600 0 0
Mellon Financial Corp Com 58551A10 6,390 137,800SH
DEFINED01 137,800 0 0
Merck & Co Com 58933110 45,571 612,200SH
DEFINED01 612,200 0 0
Mercury Interactive Corp Com 58940510 3,323 21,200SH
DEFINED01 21,200 0 0
Meredith Corp Com 58943310 410 13,900SH
DEFINED01 13,900 0 0
Merrill Lynch Com 59018810 13,081 198,200SH
DEFINED01 198,200 0 0
MGIC Investment Corp Com 55284810 1,791 29,300SH
DEFINED01 29,300 0 0
Micron Technology Com 59511210 6,173 134,200SH
DEFINED01 134,200 0 0
Microsoft Com 59491810 84,510 1,401,20SH
DEFINED01 1,401,200 0 0
Millipore Corp Com 60107310 494 10,200SH
DEFINED01 10,200 0 0
Minnesota Mining & Manufactu Com 60405910 9,842 108,000SH
DEFINED01 108,000 0 0
Molex Inc Com 60855410 2,824 51,875SH
DEFINED01 51,875 0 0
Morgan (JP) & Co Com 61688010 7,074 43,300SH
DEFINED01 43,300 0 0
Morgan Stanley Dean Witter & Com 61744644 27,525 301,022SH
DEFINED01 301,022 0 0
Motorola Inc Com 62007610 16,063 568,611SH
DEFINED01 568,611 0 0
Nabisco Group Holding Com 62952P10 2,491 87,400SH
DEFINED01 87,400 0 0
National City Corp Com 63540510 3,666 165,700SH
DEFINED01 165,700 0 0
National Semiconductor Com 63764010 1,811 45,000SH
DEFINED01 45,000 0 0
National Service Industries Com 63765710 166 8,500SH
DEFINED01 8,500 0 0
Navistar International Com 63934E10 530 17,720SH
DEFINED01 17,720 0 0
NCR Corp Com 62886E10 976 25,800SH
DEFINED01 25,800 0 0
Network Appliance Inc Com 64120L10 10,037 78,800SH
DEFINED01 78,800 0 0
New York Times CL A Com 65011110 1,836 46,700SH
DEFINED01 46,700 0 0
Newell Rubbermaid Inc Com 65122910 1,723 75,543SH
DEFINED01 75,543 0 0
Newmont Mining Com 65163910 763 44,858SH
DEFINED01 44,858 0 0
Nextel Communications Inc A Com 65332V10 9,060 193,800SH
DEFINED01 193,800 0 0
Niagara Mohawk Holdings Inc Com 65352010 791 50,200SH
DEFINED01 50,200 0 0
Nicor Inc Com 65408610 456 12,600SH
DEFINED01 12,600 0 0
Nike Inc Com 65410610 3,021 75,400SH
DEFINED01 75,400 0 0
Nordstrom Com 65566410 585 37,600SH
DEFINED01 37,600 0 0
Norfolk Southern Corp Com 65584410 1,492 102,000SH
DEFINED01 102,000 0 0
Nortel Networks Corp Com 65656810 46,979 788,740SH
DEFINED01 788,740 0 0
Northern Trust Corp Com 66585910 5,315 59,800SH
DEFINED01 59,800 0 0
Northrop Gruman Corp Com 66680710 1,690 18,600SH
DEFINED01 18,600 0 0
Novell Com 67000610 892 89,800SH
DEFINED01 89,800 0 0
Novellus Systems Inc Com 67000810 1,620 34,800SH
DEFINED01 34,800 0 0
Nucor Corp Com 67034610 705 23,400SH
DEFINED01 23,400 0 0
Occidental Petroleum Com 67459910 2,037 93,400SH
DEFINED01 93,400 0 0
Office Depot Inc Com 67622010 785 100,500SH
DEFINED01 100,500 0 0
Old Kentucky Financial Corp Com 67983310 966 33,390SH
DEFINED01 33,390 0 0
Omnicom Group Com 68191910 3,472 47,600SH
DEFINED01 47,600 0 0
Oneok Inc Com 68268010 298 7,500SH
DEFINED01 7,500 0 0
Oracle Corp Com 68389X10 59,172 751,386SH
DEFINED01 751,386 0 0
Owens Corning Com 69073F10 29 11,100SH
DEFINED01 11,100 0 0
Owens-Illinois Inc Com 69076840 387 41,800SH
DEFINED01 41,800 0 0
P G & E Corp Com 69331C10 2,489 102,900SH
DEFINED01 102,900 0 0
Paccar Inc Com 69371810 777 20,960SH
DEFINED01 20,960 0 0
PACTIV CORP Com 69525710 511 45,700SH
DEFINED01 45,700 0 0
Paine Webber Group Inc Com 69562910 2,657 39,000SH
DEFINED01 39,000 0 0
Pall Corp Com 69642930 663 33,233SH
DEFINED01 33,233 0 0
Palm Inc Com 69664210 7,530 142,239SH
DEFINED01 142,239 0 0
Parametric Technology Corp Com 69917310 790 72,200SH
DEFINED01 72,200 0 0
Parker-Hannifin Com 70109410 983 29,125SH
DEFINED01 29,125 0 0
Paychex Inc Com 70432610 5,194 98,925SH
DEFINED01 98,925 0 0
PE Corp Biosystems Group Com 69332S10 6,361 54,600SH
DEFINED01 54,600 0 0
PECO Energy Co Com 69330410 3,028 50,000SH
DEFINED01 50,000 0 0
Penney (JC) Com 70816010 834 70,600SH
DEFINED01 70,600 0 0
Peoples Energy Com 71103010 240 7,200SH
DEFINED01 7,200 0 0
Peoplesoft Inc Com 71271310 1,822 65,200SH
DEFINED01 65,200 0 0
Pepsico Inc Com 71344810 18,032 392,000SH
DEFINED01 392,000 0 0
Perkinelmer Inc Com 71404610 1,106 10,600SH
DEFINED01 10,600 0 0
Pfizer Inc Com 71708110 74,988 1,668,72SH
DEFINED01 1,668,725 0 0
Pharmacia Corp Com 71713U10 19,952 331,502SH
DEFINED01 331,502 0 0
Phelps Dodge Com 71726510 966 23,147SH
DEFINED01 23,147 0 0
Philip Morris Companies Inc Com 71815410 17,924 608,900SH
DEFINED01 608,900 0 0
Phillips Petroleum Com 71850710 4,261 67,900SH
DEFINED01 67,900 0 0
Pinnacle West Capital Com 72348410 1,150 22,600SH
DEFINED01 22,600 0 0
Pitney-Bowes Inc Com 72447910 2,828 71,700SH
DEFINED01 71,700 0 0
Placer Dome Com 72590610 824 87,300SH
DEFINED01 87,300 0 0
PNC Financial Services Group Com 69347510 5,298 81,500SH
DEFINED01 81,500 0 0
Polaroid Corp Com 73109510 160 11,900SH
DEFINED01 11,900 0 0
Potlatch Corp Com 73762810 215 6,800SH
DEFINED01 6,800 0 0
PPG Industries Com 69350610 1,845 46,500SH
DEFINED01 46,500 0 0
PPL Corp Com 69351T10 1,766 42,300SH
DEFINED01 42,300 0 0
Praxair Inc Com 74005P10 1,596 42,700SH
DEFINED01 42,700 0 0
Price T Rowe Association Com 74147710 1,521 32,400SH
DEFINED01 32,400 0 0
Procter & Gamble Com 74271810 23,370 348,800SH
DEFINED01 348,800 0 0
Progressive Corp Ohio Com 74331510 1,605 19,600SH
DEFINED01 19,600 0 0
Providian Financial Corp Com 74406A10 4,832 38,050SH
DEFINED01 38,050 0 0
Public Service Enterprise In Com 74457310 2,628 58,800SH
DEFINED01 58,800 0 0
Pulte Corp Com 74586710 290 8,800SH
DEFINED01 8,800 0 0
Quaker Oats Com 74740210 2,841 35,900SH
DEFINED01 35,900 0 0
Qualcomm Inc Com 74752510 14,001 196,500SH
DEFINED01 196,500 0 0
Quintiles Transnational Com 74876710 489 30,700SH
DEFINED01 30,700 0 0
Qwest Communications Intl Com 74912110 20,920 435,276SH
DEFINED01 435,276 0 0
RadioShack Corp Com 75043810 3,348 51,800SH
DEFINED01 51,800 0 0
Ralston Purina Com 75127730 2,054 86,700SH
DEFINED01 86,700 0 0
Raytheon Co CL B Com 75511140 2,574 90,500SH
DEFINED01 90,500 0 0
Reebok International Com 75811010 246 13,100SH
DEFINED01 13,100 0 0
Regions Financial Corp Com 75894010 1,361 60,000SH
DEFINED01 60,000 0 0
Reliant Energy Inc Com 75952J10 3,686 79,262SH
DEFINED01 79,262 0 0
Rockwell International Com 77390310 1,552 51,300SH
DEFINED01 51,300 0 0
Rohm & Haas Com 77537110 1,695 58,330SH
DEFINED01 58,330 0 0
Rowan Companies Inc Com 77938210 635 21,900SH
DEFINED01 21,900 0 0
Royal Dutch Petroleum Co Com 78025780 34,452 574,800SH
DEFINED01 574,800 0 0
Russell Corp Com 78235210 100 6,300SH
DEFINED01 6,300 0 0
Ryder System Com 78354910 277 15,000SH
DEFINED01 15,000 0 0
Sabre Holdings Corp Com 78590510 1,002 34,622SH
DEFINED01 34,622 0 0
Safeco Corp Com 78642910 962 35,300SH
DEFINED01 35,300 0 0
Safeway Inc Com 78651420 6,387 136,800SH
DEFINED01 136,800 0 0
Sanmina Corp Com 80090710 3,211 34,300SH
DEFINED01 34,300 0 0
Sapient Corp Com 80306210 1,269 31,200SH
DEFINED01 31,200 0 0
Sara Lee Corp Com 80311110 4,920 242,200SH
DEFINED01 242,200 0 0
SBC Communications Inc Com 78387G10 45,088 901,769SH
DEFINED01 901,769 0 0
Schering-Plough Corp Com 80660510 18,302 393,600SH
DEFINED01 393,600 0 0
Schlumberger Ltd Com 80685710 12,083 146,800SH
DEFINED01 146,800 0 0
Schwab (Charles) Corp Com 80851310 12,858 362,200SH
DEFINED01 362,200 0 0
Scientific-Atlanta Com 80865510 2,609 41,000SH
DEFINED01 41,000 0 0
Seagate Technology Inc Com 81180410 4,119 59,700SH
DEFINED01 59,700 0 0
Seagram Ltd Com 81185010 6,657 115,900SH
DEFINED01 115,900 0 0
Sealed Air Corp Com 81211K10 1,013 22,397SH
DEFINED01 22,397 0 0
Sears Roebuck & Co Com 81238710 3,307 102,000SH
DEFINED01 102,000 0 0
Sempra Energy Com 81685110 1,341 64,426SH
DEFINED01 64,426 0 0
Sherwin-Williams Com 82434810 970 45,400SH
DEFINED01 45,400 0 0
Siebel Systems Inc Com 82617010 11,354 102,000SH
DEFINED01 102,000 0 0
Sigma Aldrich Corp Com 82655210 891 27,000SH
DEFINED01 27,000 0 0
Snap-on Inc Com 83303410 414 17,550SH
DEFINED01 17,550 0 0
Solectron Corp Com 83418210 6,670 144,600SH
DEFINED01 144,600 0 0
Southern Co Com 84258710 5,939 183,100SH
DEFINED01 183,100 0 0
Southtrust Corp Com 84473010 1,412 44,900SH
DEFINED01 44,900 0 0
Southwest Airlines Com 84474110 3,276 135,075SH
DEFINED01 135,075 0 0
Springs Industries Inc Com 85178310 138 4,900SH
DEFINED01 4,900 0 0
Sprint Corp Com 85206110 6,815 232,500SH
DEFINED01 232,500 0 0
Sprint Corp (PCS Group) Com 85206150 8,264 235,700SH
DEFINED01 235,700 0 0
St Jude Medical Inc Com 79084910 1,158 22,700SH
DEFINED01 22,700 0 0
St Paul Cos Com 79286010 2,996 60,760SH
DEFINED01 60,760 0 0
Stanley Works Com 85461610 549 23,800SH
DEFINED01 23,800 0 0
Staples Inc Com 85503010 1,767 124,550SH
DEFINED01 124,550 0 0
Starbucks Corp Com 85524410 1,963 49,000SH
DEFINED01 49,000 0 0
State Street Corp Com 85747710 5,616 43,200SH
DEFINED01 43,200 0 0
Stilwell Financial Inc Com 86083110 2,575 59,200SH
DEFINED01 59,200 0 0
Summit Bancorp Com 86600510 1,639 47,500SH
DEFINED01 47,500 0 0
Sun Microsystems Inc Com 86681010 48,428 414,800SH
DEFINED01 414,800 0 0
Sunoco Inc Com 86764P10 655 24,300SH
DEFINED01 24,300 0 0
Suntrust Banks Com 86791410 4,294 86,200SH
DEFINED01 86,200 0 0
Super Valu Stores Com 86853610 560 37,200SH
DEFINED01 37,200 0 0
Synavant Inc Com 28 4,195SH
DEFINED01 4,195 0 0
Synovus Financial Corp Com 87161C10 1,541 72,750SH
DEFINED01 72,750 0 0
Sysco Corp Com 87182910 4,108 88,700SH
DEFINED01 88,700 0 0
Target Corp Com 87612E10 6,073 237,000SH
DEFINED01 237,000 0 0
Tektronix Inc Com 87913110 937 12,200SH
DEFINED01 12,200 0 0
Tellabs Inc Com 87966410 5,014 105,000SH
DEFINED01 105,000 0 0
Temple-Inland Com 87986810 568 15,000SH
DEFINED01 15,000 0 0
Tenet Healthcare Corp Com 88033G10 3,026 83,200SH
DEFINED01 83,200 0 0
Teradyne Inc Com 88077010 1,607 45,900SH
DEFINED01 45,900 0 0
Texaco Inc Com 88169410 7,781 148,200SH
DEFINED01 148,200 0 0
Texas Instruments Inc Com 88250810 21,640 458,600SH
DEFINED01 458,600 0 0
Textron Inc Com 88320310 1,859 40,300SH
DEFINED01 40,300 0 0
Thermo Electron Corp Com 88355610 1,100 42,300SH
DEFINED01 42,300 0 0
Thomas & Betts Com 88431510 267 15,300SH
DEFINED01 15,300 0 0
Tiffany & Co Com 88654710 1,489 38,600SH
DEFINED01 38,600 0 0
Time Warner Inc Com 88731510 27,129 346,700SH
DEFINED01 346,700 0 0
Timken Co Com 88738910 174 12,700SH
DEFINED01 12,700 0 0
TJX Cos Inc Com 87254010 1,917 85,200SH
DEFINED01 85,200 0 0
Torchmark Corp Com 89102710 993 35,700SH
DEFINED01 35,700 0 0
Tosco Corp Com 89149030 1,272 40,800SH
DEFINED01 40,800 0 0
Toys 'R' Us (Holding Co) Com 89233510 1,079 66,400SH
DEFINED01 66,400 0 0
Transocean Sedco Forex Inc Com G9007810 3,272 55,820SH
DEFINED01 55,820 0 0
Tribune Co Com 89604710 3,584 82,150SH
DEFINED01 82,150 0 0
Tricon Global Restaurants In Com 89595310 1,262 41,200SH
DEFINED01 41,200 0 0
TRW Inc Com 87264910 1,320 32,500SH
DEFINED01 32,500 0 0
Tupperware Corp Com 89989610 256 14,200SH
DEFINED01 14,200 0 0
TXU Corp Com 87316810 2,938 74,135SH
DEFINED01 74,135 0 0
Tyco International Ltd Com 90212410 23,269 448,568SH
DEFINED01 448,568 0 0
U S Bancorp Com 90297310 4,461 196,080SH
DEFINED01 196,080 0 0
U S Surgical Value Support R Com 92529710 0 47SH
DEFINED01 47 0 0
Unicom Corp Com 90491110 2,663 47,400SH
DEFINED01 47,400 0 0
Unilever NV Com 90478470 7,394 153,250SH
DEFINED01 153,250 0 0
Union Carbide Com 90558110 1,348 35,700SH
DEFINED01 35,700 0 0
Union Pacific Corp Com 90781810 2,581 66,400SH
DEFINED01 66,400 0 0
Union Planters Corp Com 90806810 1,266 38,300SH
DEFINED01 38,300 0 0
Unisys Corp Com 90921410 923 82,000SH
DEFINED01 82,000 0 0
United Health Group Inc Com 91324P10 4,592 46,500SH
DEFINED01 46,500 0 0
United Technologies Corp Com 91301710 8,940 129,100SH
DEFINED01 129,100 0 0
Unocal Corp Com 91528910 2,303 65,000SH
DEFINED01 65,000 0 0
Unumprovident Corp Com 91529Y10 1,743 63,975SH
DEFINED01 63,975 0 0
US Airways Group Inc Com 91190510 554 18,200SH
DEFINED01 18,200 0 0
USA Educational Inc Com 90390U10 2,077 43,100SH
DEFINED01 43,100 0 0
UST Inc Com 90291110 1,068 46,700SH
DEFINED01 46,700 0 0
USX-Marathon Group Com 90290582 2,349 82,800SH
DEFINED01 82,800 0 0
USX-US Steel Group Com 90337T10 360 23,680SH
DEFINED01 23,680 0 0
V F Corp Com 91820410 788 31,900SH
DEFINED01 31,900 0 0
Veritas Software Corp Com 92343610 14,342 101,000SH
DEFINED01 101,000 0 0
Verizon Communications Com 92343V10 35,045 723,514SH
DEFINED01 723,514 0 0
Viacom Inc CL B Com 92552430 23,899 408,524SH
DEFINED01 408,524 0 0
Visteon Corp Com 92839U10 642 42,461SH
DEFINED01 42,461 0 0
Vulcan Materials Com 92916010 1,077 26,800SH
DEFINED01 26,800 0 0
Wachovia Corp Com 92977110 3,072 54,200SH
DEFINED01 54,200 0 0
Walgreen Com 93142210 10,205 269,000SH
DEFINED01 269,000 0 0
Wal-Mart Stores Inc Com 93114210 57,404 1,192,80SH
DEFINED01 1,192,800 0 0
Washington Mutual Inc Com 93932210 6,179 155,195SH
DEFINED01 155,195 0 0
Waste Management Inc Com 94106L10 2,895 166,005SH
DEFINED01 166,005 0 0
Watson Pharmaceuticals Inc Com 94268310 1,667 25,700SH
DEFINED01 25,700 0 0
Wellpoint Health Networks In Com 94973H10 1,690 17,600SH
DEFINED01 17,600 0 0
Wells Fargo & Co Com 94974610 19,739 429,700SH
DEFINED01 429,700 0 0
Wendy's Int'l Com 95059010 654 32,600SH
DEFINED01 32,600 0 0
Westvaco Corp Com 96154810 718 26,900SH
DEFINED01 26,900 0 0
Weyerhaeuser Corp Com 96216610 2,176 53,900SH
DEFINED01 53,900 0 0
Whirlpool Corp Com 96332010 785 20,200SH
DEFINED01 20,200 0 0
Willamette Ind Inc Com 96913310 837 29,900SH
DEFINED01 29,900 0 0
Williams Cos Com 96945710 4,918 116,400SH
DEFINED01 116,400 0 0
Winn-Dixie Com 97428010 572 39,800SH
DEFINED01 39,800 0 0
Worldcom Inc GA Com 98157D10 22,878 753,171SH
DEFINED01 753,171 0 0
Worthington Industries Com 98181110 212 22,625SH
DEFINED01 22,625 0 0
Wrigley, (Wm) Jr Com 98252610 2,336 31,200SH
DEFINED01 31,200 0 0
Xcel Energy Inc Com 66577210 2,453 89,195SH
DEFINED01 89,195 0 0
Xerox Corp Com 98412110 2,677 177,700SH
DEFINED01 177,700 0 0
Xilinx Com 98391910 7,244 84,600SH
DEFINED01 84,600 0 0
Yahoo Inc Com 98433210 12,849 141,200SH
DEFINED01 141,200 0 0
Alcoa Inc Com 01381710 8,465 334,400SH
DEFINED02 334,400 0 0
Altera Corp Com 02144110 17,429 365,000SH
DEFINED02 365,000 0 0
American General Corp Com 02635110 10,241 131,300SH
DEFINED02 131,300 0 0
American International Group Com 02687410 32,640 341,113SH
DEFINED02 341,113 0 0
Applied Micro Circuits Corp Com 03822W10 21,742 105,000SH
DEFINED02 105,000 0 0
Automatic Data Processing In Com 05301510 31,853 476,300SH
DEFINED02 476,300 0 0
Bristol-Myers Squibb Co Com 11012210 15,212 266,300SH
DEFINED02 266,300 0 0
Caterpillar Inc Com 14912310 6,521 193,200SH
DEFINED02 193,200 0 0
Centex Corp Com 15231210 1,606 50,000SH
DEFINED02 50,000 0 0
Chase Manhattan Corp Com 16161A10 13,919 301,350SH
DEFINED02 301,350 0 0
Chevron Corp Com 16675110 10,869 127,500SH
DEFINED02 127,500 0 0
Cintas Corp Com 17290810 9,390 215,550SH
DEFINED02 215,550 0 0
Cisco Systems Com 17275R10 27,353 495,080SH
DEFINED02 495,080 0 0
Citigroup Inc Com 17296710 16,726 309,383SH
DEFINED02 309,383 0 0
Comerica Inc Com 20034010 8,438 144,400SH
DEFINED02 144,400 0 0
Commerce Bancshares Inc Com 20052510 7,249 196,911SH
DEFINED02 196,911 0 0
Computer Sciences Corp Com 20536310 13,365 180,000SH
DEFINED02 180,000 0 0
Costco Wholesale Corp Com 22160K10 8,322 238,200SH
DEFINED02 238,200 0 0
CVS Corp Com 12665010 13,028 281,300SH
DEFINED02 281,300 0 0
Deere & Co Com 24419910 11,348 341,300SH
DEFINED02 341,300 0 0
Dell Computer Corp Com 24702510 6,326 205,300SH
DEFINED02 205,300 0 0
DuPont (EI) De Nemours Com 26353410 7,384 178,197SH
DEFINED02 178,197 0 0
EMC Corp Com 26864810 11,062 111,600SH
DEFINED02 111,600 0 0
Exxon Mobil Corp Com 30231G10 33,930 380,700SH
DEFINED02 380,700 0 0
Fannie Mae Com 31358610 16,624 232,500SH
DEFINED02 232,500 0 0
Federal Home Loan Mortgage Com 31340030 18,246 337,500SH
DEFINED02 337,500 0 0
Fiserv Inc Com 33773810 15,945 266,300SH
DEFINED02 266,300 0 0
General Electric Co Com 36960410 29,206 506,280SH
DEFINED02 506,280 0 0
Home Depot Com 43707610 19,254 362,850SH
DEFINED02 362,850 0 0
Ingersoll-Rand Com 45686610 9,908 292,500SH
DEFINED02 292,500 0 0
Intel Corp Com 45814010 17,232 414,600SH
DEFINED02 414,600 0 0
Interpublic Group Cos Inc Com 46069010 9,902 290,700SH
DEFINED02 290,700 0 0
Johnson & Johnson Com 47816010 14,448 153,800SH
DEFINED02 153,800 0 0
Marsh & McLennan Inc Com 57174810 5,151 38,800SH
DEFINED02 38,800 0 0
Masco Corp Com 57459910 10,897 585,100SH
DEFINED02 585,100 0 0
Maxim Integrated Products Com 57772K10 21,718 270,000SH
DEFINED02 270,000 0 0
Medtronic Inc Com 58505510 19,626 378,798SH
DEFINED02 378,798 0 0
Merck & Co Com 58933110 19,540 262,500SH
DEFINED02 262,500 0 0
MGIC Investment Corp Com 55284810 9,169 150,000SH
DEFINED02 150,000 0 0
Microsoft Com 59491810 19,113 316,900SH
DEFINED02 316,900 0 0
Oracle Corp Com 68389X10 10,560 134,100SH
DEFINED02 134,100 0 0
Pfizer Inc Com 71708110 13,567 301,900SH
DEFINED02 301,900 0 0
Pitney-Bowes Inc Com 72447910 9,986 253,200SH
DEFINED02 253,200 0 0
PMI Group Inc Com 69344M10 9,339 137,850SH
DEFINED02 137,850 0 0
Praxair Inc Com 74005P10 10,371 277,490SH
DEFINED02 277,490 0 0
Radian Group Inc Com 75023610 16,585 245,700SH
DEFINED02 245,700 0 0
Safeway Inc Com 78651420 10,421 223,200SH
DEFINED02 223,200 0 0
SBC Communications Inc Com 78387G10 10,315 206,300SH
DEFINED02 206,300 0 0
Schlumberger Ltd Com 80685710 14,660 178,100SH
DEFINED02 178,100 0 0
Siebel Systems Inc Com 82617010 15,027 135,000SH
DEFINED02 135,000 0 0
SPX Corp Com 78463510 10,376 73,100SH
DEFINED02 73,100 0 0
Sun Microsystems Inc Com 86681010 10,975 94,000SH
DEFINED02 94,000 0 0
Target Corp Com 87612E10 11,821 461,300SH
DEFINED02 461,300 0 0
Tellabs Inc Com 87966410 5,491 115,000SH
DEFINED02 115,000 0 0
Tenet Healthcare Corp Com 88033G10 11,858 326,000SH
DEFINED02 326,000 0 0
Texaco Inc Com 88169410 8,862 168,800SH
DEFINED02 168,800 0 0
Transocean Sedco Forex Inc Com G9007810 1,740 29,679SH
DEFINED02 29,679 0 0
Vitesse Semiconductor Corp Com 92849710 10,673 120,000SH
DEFINED02 120,000 0 0
Walgreen Com 93142210 17,144 451,900SH
DEFINED02 451,900 0 0
Wal-Mart Stores Inc Com 93114210 13,538 281,300SH
DEFINED02 281,300 0 0
Willamette Ind Inc Com 96913310 7,457 266,320SH
DEFINED02 266,320 0 0
Worldcom Inc GA Com 98157D10 9,568 315,000SH
DEFINED02 315,000 0 0
Abbott Laboratories Com 00282410 27,206 572,000SH
DEFINED03 572,000 0 0
Agilent Technologies Inc A Com 00846U10 13,376 273,335SH
DEFINED03 273,335 0 0
American International Group Com 02687410 52,084 544,312SH
DEFINED03 544,312 0 0
Applied Materials Com 9,075 153,000SH
DEFINED03 153,000 0 0
Automatic Data Processing In Com 05301510 31,231 467,000SH
DEFINED03 467,000 0 0
Bank of America Corp Com 06050510 53,737 1,026,00SH
DEFINED03 1,026,000 0 0
Bank One Corp Com 06423A10 15,354 397,520SH
DEFINED03 397,520 0 0
BellSouth Com 07986010 13,089 325,200SH
DEFINED03 325,200 0 0
Bestfoods Com 08658U10 9,749 134,000SH
DEFINED03 134,000 0 0
Block H&R Com 09367110 21,200 572,000SH
DEFINED03 572,000 0 0
BP Amoco PLC Spons Com 8 19,992 377,200SH
DEFINED03 377,200 0 0
Cisco Systems Com 17275R10 31,437 569,000SH
DEFINED03 569,000 0 0
Citigroup Inc Com 17296710 22,418 414,666SH
DEFINED03 414,666 0 0
Coastal Corp Com 19044110 13,046 176,000SH
DEFINED03 176,000 0 0
Coca Cola Co Com 19121610 8,159 148,000SH
DEFINED03 148,000 0 0
Computer Associates Int'l Com 20491210 10,975 435,750SH
DEFINED03 435,750 0 0
Computer Sciences Corp Com 20536310 35,863 483,000SH
DEFINED03 483,000 0 0
Delta Airlines Inc Com 24736110 11,804 266,000SH
DEFINED03 266,000 0 0
Dollar General Corp Com 25666910 3,258 194,500SH
DEFINED03 194,500 0 0
Dow Chemical Co Com 26054310 7,421 297,600SH
DEFINED03 297,600 0 0
Duke Energy Corp Com 26439910 39,960 466,000SH
DEFINED03 466,000 0 0
Emerson Electric Com 29101110 10,050 150,000SH
DEFINED03 150,000 0 0
Engelhard Corp Com 29284510 4,404 271,000SH
DEFINED03 271,000 0 0
Exxon Mobil Corp Com 30231G10 39,851 447,139SH
DEFINED03 447,139 0 0
Fannie Mae Com 31358610 18,233 255,000SH
DEFINED03 255,000 0 0
Federal Realty Com 31374720 3,156 165,000SH
DEFINED03 165,000 0 0
Ford Motor Co Com 34537086 10,277 406,000SH
DEFINED03 406,000 0 0
Gannett Co Com 36473010 10,971 207,000SH
DEFINED03 207,000 0 0
General Electric Co Com 36960410 66,225 1,148,00SH
DEFINED03 1,148,000 0 0
Heinz (HJ) Co Com 42307410 7,561 204,000SH
DEFINED03 204,000 0 0
Hewlett Packard Co Com 42823610 20,855 215,000SH
DEFINED03 215,000 0 0
Home Depot Com 43707610 28,733 541,500SH
DEFINED03 541,500 0 0
Honeywell International Inc Com 43851610 29,818 837,000SH
DEFINED03 837,000 0 0
Intel Corp Com 45814010 39,734 956,000SH
DEFINED03 956,000 0 0
International Paper Co Com 46014610 4,447 155,000SH
DEFINED03 155,000 0 0
Johnson & Johnson Com 47816010 15,688 167,000SH
DEFINED03 167,000 0 0
Keyspan Corp Com 7,877 196,300SH
DEFINED03 196,300 0 0
Kimberly Clark Corp Com 49436810 45,878 822,000SH
DEFINED03 822,000 0 0
Lucent Technologies Inc Com 54946310 7,641 250,000SH
DEFINED03 250,000 0 0
MBNA Corp Com 55262L10 39,511 1,026,25SH
DEFINED03 1,026,250 0 0
Merck & Co Com 58933110 26,500 356,000SH
DEFINED03 356,000 0 0
Microsoft Com 59491810 40,530 672,000SH
DEFINED03 672,000 0 0
Morgan (JP) & Co Com 61688010 22,056 135,000SH
DEFINED03 135,000 0 0
Pfizer Inc Com 71708110 28,311 630,000SH
DEFINED03 630,000 0 0
Raytheon Co CL B Com 75511140 7,223 254,000SH
DEFINED03 254,000 0 0
Regions Financial Corp Com 75894010 9,914 437,000SH
DEFINED03 437,000 0 0
Royal Dutch Petroleum Co Com 78025780 7,073 118,000SH
DEFINED03 118,000 0 0
SBC Communications Inc Com 78387G10 50,330 1,006,60SH
DEFINED03 1,006,600 0 0
Sprint Corp Com 85206110 6,947 237,000SH
DEFINED03 237,000 0 0
Target Corp Com 87612E10 41,000 1,600,00SH
DEFINED03 1,600,000 0 0
Teco Energy Inc Com 87237510 11,701 407,000SH
DEFINED03 407,000 0 0
Texaco Inc Com 88169410 12,653 241,000SH
DEFINED03 241,000 0 0
Union Pacific Corp Com 90781810 2,799 72,000SH
DEFINED03 72,000 0 0
United Health Group Inc Com 91324P10 13,430 136,000SH
DEFINED03 136,000 0 0
United Technologies Corp Com 91301710 42,450 613,000SH
DEFINED03 613,000 0 0
Unocal Corp Com 91528910 13,466 380,000SH
DEFINED03 380,000 0 0
Verizon Communications Com 92343V10 48,882 1,009,18SH
DEFINED03 1,009,180 0 0
Wachovia Corp Com 92977110 21,655 382,000SH
DEFINED03 382,000 0 0
Wellpoint Health Networks In Com 94973H10 26,400 275,000SH
DEFINED03 275,000 0 0
Willamette Ind Inc Com 96913310 16,800 600,000SH
DEFINED03 600,000 0 0
Xcel Energy Inc Com 66577210 9,763 355,000SH
DEFINED03 355,000 0 0
Abbott Laboratories Com 00282410 14,334 301,380SH
DEFINED04 301,380 0 0
Alcoa Inc Com 01381710 5,833 230,420SH
DEFINED04 230,420 0 0
America Online Inc Com 02364J10 10,847 201,800SH
DEFINED04 201,800 0 0
American Home Products Com 02660910 12,093 213,800SH
DEFINED04 213,800 0 0
American International Group Com 02687410 16,865 176,250SH
DEFINED04 176,250 0 0
Analog Devices Inc Com 03265410 11,724 142,000SH
DEFINED04 142,000 0 0
Applied Materials Inc Com 03822210 5,908 99,600SH
DEFINED04 99,600 0 0
Associates First Capital - A Com 04600810 12,331 324,500SH
DEFINED04 324,500 0 0
Astrazeneca Plc Com 04635310 4,862 92,500SH
DEFINED04 92,500 0 0
AT&T Corp - Liberty Media A Com 00195720 10,048 558,200SH
DEFINED04 558,200 0 0
Automatic Data Processing In Com 05301510 13,354 199,690SH
DEFINED04 199,690 0 0
Bank One Corp Com 06423A10 10,043 260,000SH
DEFINED04 260,000 0 0
Baxter International Inc Com 07181310 8,125 101,800SH
DEFINED04 101,800 0 0
Bristol-Myers Squibb Co Com 11012210 7,860 137,600SH
DEFINED04 137,600 0 0
Cardinal Health Inc Com 14149Y10 14,007 158,830SH
DEFINED04 158,830 0 0
Chase Manhattan Corp Com 16161A10 1,307 28,300SH
DEFINED04 28,300 0 0
Cisco Systems Com 17275R10 34,564 625,600SH
DEFINED04 625,600 0 0
Citigroup Inc Com 17296710 21,471 397,160SH
DEFINED04 397,160 0 0
Coca Cola Co Com 19121610 7,536 136,700SH
DEFINED04 136,700 0 0
Computer Sciences Corp Com 20536310 8,361 112,600SH
DEFINED04 112,600 0 0
Conoco Inc CL B Com 20825140 10,333 383,600SH
DEFINED04 383,600 0 0
Corning Inc Com 21935010 6,362 21,420SH
DEFINED04 21,420 0 0
CVS Corp Com 12665010 8,915 192,500SH
DEFINED04 192,500 0 0
Dell Computer Corp Com 24702510 8,714 282,800SH
DEFINED04 282,800 0 0
Disney Walt Co (Holding Co) Com 25468710 5,386 140,800SH
DEFINED04 140,800 0 0
Dow Chemical Co Com 26054310 5,207 208,800SH
DEFINED04 208,800 0 0
Duke Energy Corp Com 26439910 8,146 95,000SH
DEFINED04 95,000 0 0
DuPont (EI) De Nemours Com 26353410 6,742 162,700SH
DEFINED04 162,700 0 0
Electronic Data Systems Com 28566110 5,251 126,520SH
DEFINED04 126,520 0 0
EMC Corp Com 26864810 14,314 144,400SH
DEFINED04 144,400 0 0
Exxon Mobil Corp Com 30231G10 25,945 291,110SH
DEFINED04 291,110 0 0
First Data Corp Com 31996310 6,324 161,900SH
DEFINED04 161,900 0 0
Fleetboston Financial Corp Com 33903010 4,731 121,300SH
DEFINED04 121,300 0 0
Gannett Co Com 36473010 7,616 143,700SH
DEFINED04 143,700 0 0
General Electric Co Com 36960410 34,884 604,710SH
DEFINED04 604,710 0 0
General Motors Cl H Com 37044283 4,305 115,800SH
DEFINED04 115,800 0 0
Gillette Co Com 37576610 3,291 106,600SH
DEFINED04 106,600 0 0
Global Crossing Ltd Com G3921A10 7,130 230,000SH
DEFINED04 230,000 0 0
Goldman Sachs Group Com 38141G10 8,534 74,900SH
DEFINED04 74,900 0 0
Hartford Finl Svcs Group Com 41651510 13,151 180,300SH
DEFINED04 180,300 0 0
Hewlett Packard Co Com 42823610 11,107 114,500SH
DEFINED04 114,500 0 0
Home Depot Com 43707610 9,411 177,350SH
DEFINED04 177,350 0 0
Honeywell International Inc Com 43851610 3,091 86,770SH
DEFINED04 86,770 0 0
Illinois Tool Works Com 45230810 5,107 91,400SH
DEFINED04 91,400 0 0
Intel Corp Com 45814010 19,443 467,800SH
DEFINED04 467,800 0 0
International Business Machi Com 45920010 16,674 148,210SH
DEFINED04 148,210 0 0
JDS Uniphase Corp Com 46612J10 5,729 60,500SH
DEFINED04 60,500 0 0
Johnson & Johnson Com 47816010 11,291 120,200SH
DEFINED04 120,200 0 0
Kimberly Clark Corp Com 49436810 9,951 178,300SH
DEFINED04 178,300 0 0
Lucent Technologies Inc Com 54946310 6,171 201,900SH
DEFINED04 201,900 0 0
Marsh & McLennan Inc Com 57174810 16,899 127,300SH
DEFINED04 127,300 0 0
McDonald's Corp Com 58013510 9,539 316,000SH
DEFINED04 316,000 0 0
Merck & Co Com 58933110 13,976 187,760SH
DEFINED04 187,760 0 0
Merrill Lynch Com 59018810 12,118 183,600SH
DEFINED04 183,600 0 0
Micron Technology Com 59511210 9,344 203,140SH
DEFINED04 203,140 0 0
Microsoft Com 59491810 24,095 399,500SH
DEFINED04 399,500 0 0
Morgan Stanley Dean Witter & Com 61744644 7,928 86,700SH
DEFINED04 86,700 0 0
Motorola Inc Com 62007610 8,704 308,100SH
DEFINED04 308,100 0 0
News Corp Ltd Com 65248770 3,823 68,200SH
DEFINED04 68,200 0 0
Nokia Corp Spon Com 65490220 3,424 86,000SH
DEFINED04 86,000 0 0
Nortel Networks Corp Com 65656810 8,899 149,400SH
DEFINED04 149,400 0 0
Oracle Corp Com 68389X10 11,206 142,300SH
DEFINED04 142,300 0 0
Pepsico Inc Com 71344810 17,149 372,800SH
DEFINED04 372,800 0 0
Pfizer Inc Com 71708110 24,477 544,700SH
DEFINED04 544,700 0 0
Pharmacia Corp Com 71713U10 14,887 247,341SH
DEFINED04 247,341 0 0
Procter & Gamble Com 74271810 8,998 134,300SH
DEFINED04 134,300 0 0
Royal Dutch Petroleum Co Com 78025780 9,724 162,240SH
DEFINED04 162,240 0 0
Safeway Inc Com 78651420 12,235 262,060SH
DEFINED04 262,060 0 0
SBC Communications Inc Com 78387G10 17,800 356,000SH
DEFINED04 356,000 0 0
Schering-Plough Corp Com 80660510 8,789 189,000SH
DEFINED04 189,000 0 0
Schlumberger Ltd Com 80685710 11,837 143,800SH
DEFINED04 143,800 0 0
Solectron Corp Com 83418210 6,656 144,300SH
DEFINED04 144,300 0 0
Sony Corp Com 83569930 2,523 25,000SH
DEFINED04 25,000 0 0
Sprint Corp (PCS Group) Com 85206150 9,470 270,100SH
DEFINED04 270,100 0 0
State Street Corp Com 85747710 9,812 75,480SH
DEFINED04 75,480 0 0
Target Corp Com 87612E10 6,201 242,000SH
DEFINED04 242,000 0 0
Tellabs Inc Com 87966410 7,258 152,000SH
DEFINED04 152,000 0 0
Teradyne Inc Com 88077010 2,765 79,000SH
DEFINED04 79,000 0 0
Texaco Inc Com 88169410 5,943 113,200SH
DEFINED04 113,200 0 0
Texas Instruments Inc Com 88250810 9,617 203,800SH
DEFINED04 203,800 0 0
Tyco International Ltd Com 90212410 9,747 187,898SH
DEFINED04 187,898 0 0
U S Bancorp Com 90297310 3,121 137,200SH
DEFINED04 137,200 0 0
United Technologies Corp Com 91301710 9,584 138,400SH
DEFINED04 138,400 0 0
Verisign Inc Com 92343E10 5,377 26,545SH
DEFINED04 26,545 0 0
Veritas Software Corp Com 92343610 3,578 25,200SH
DEFINED04 25,200 0 0
Verizon Communications Com 92343V10 12,034 248,440SH
DEFINED04 248,440 0 0
Viacom Inc CL B Com 92552430 9,539 163,055SH
DEFINED04 163,055 0 0
Wachovia Corp Com 92977110 2,706 47,730SH
DEFINED04 47,730 0 0
Wal-Mart Stores Inc Com 93114210 13,643 283,500SH
DEFINED04 283,500 0 0
Worldcom Inc GA Com 98157D10 14,894 490,350SH
DEFINED04 490,350 0 0
Advanced Micro Devices Com 00790310 17,114 724,400SH
DEFINED05 724,400 0 0
Allergan Inc Com 01849010 19,547 231,500SH
DEFINED05 231,500 0 0
Alza Corp Com 02261510 17,196 198,800SH
DEFINED05 198,800 0 0
American Electric Power Com 02553710 9,754 249,300SH
DEFINED05 249,300 0 0
American General Corp Com 02635110 6,607 84,700SH
DEFINED05 84,700 0 0
American Standard Companies Com 02971210 6,990 157,300SH
DEFINED05 157,300 0 0
Amsouth Bancorp Com 03216510 2,295 183,560SH
DEFINED05 183,560 0 0
Aon Corp Com 03738910 6,751 172,012SH
DEFINED05 172,012 0 0
Associates First Capital - A Com 04600810 13,365 351,700SH
DEFINED05 351,700 0 0
Baxter International Inc Com 07181310 11,701 146,600SH
DEFINED05 146,600 0 0
Burlington Northern Santa Fe Com 12189T10 16,500 765,200SH
DEFINED05 765,200 0 0
Cardinal Health Inc Com 14149Y10 10,865 123,200SH
DEFINED05 123,200 0 0
Carnival Corp Com 14365810 5,600 227,400SH
DEFINED05 227,400 0 0
Cigna Corp Com 12550910 10,805 103,500SH
DEFINED05 103,500 0 0
Circuit City Stores Com 17273710 2,279 99,100SH
DEFINED05 99,100 0 0
Clear Channel Communications Com 18450210 2,119 37,500SH
DEFINED05 37,500 0 0
CMS Energy Corp Com 12589610 3,801 141,100SH
DEFINED05 141,100 0 0
Commscope Inc Com 20337210 2,989 122,000SH
DEFINED05 122,000 0 0
Compaq Computer Com 20449310 13,192 478,300SH
DEFINED05 478,300 0 0
Computer Sciences Corp Com 20536310 1,634 22,000SH
DEFINED05 22,000 0 0
Compuware Corp Com 20563810 5,650 674,600SH
DEFINED05 674,600 0 0
CVS Corp Com 12665010 7,669 165,600SH
DEFINED05 165,600 0 0
Dell Computer Corp Com 24702510 4,289 139,200SH
DEFINED05 139,200 0 0
Eastman Chemical Co Com 27743210 1,821 49,300SH
DEFINED05 49,300 0 0
Electronic Data Systems Com 28566110 14,654 353,100SH
DEFINED05 353,100 0 0
Emerson Electric Com 29101110 12,777 190,700SH
DEFINED05 190,700 0 0
Entergy Corp Com 29364G10 7,741 207,800SH
DEFINED05 207,800 0 0
Exxon Mobil Corp Com 30231G10 8,449 94,800SH
DEFINED05 94,800 0 0
Federated Dept Stores Com 31410H10 4,501 172,300SH
DEFINED05 172,300 0 0
Fedex Corp Com 31428X10 21,523 485,400SH
DEFINED05 485,400 0 0
First Data Corp Com 31996310 8,012 205,100SH
DEFINED05 205,100 0 0
Fleetboston Financial Corp Com 33903010 9,492 243,374SH
DEFINED05 243,374 0 0
Fort James Corp Com 34747110 8,099 265,000SH
DEFINED05 265,000 0 0
Gateway Inc Com 36762610 10,107 216,200SH
DEFINED05 216,200 0 0
Gatx Corp Com 36144810 2,563 61,200SH
DEFINED05 61,200 0 0
Genzyme Corp Com 37291710 6,887 101,000SH
DEFINED05 101,000 0 0
Grainger (WW) Inc Com 38480210 2,931 111,400SH
DEFINED05 111,400 0 0
Greenpoint Financial Corp Com 39538410 8,707 293,900SH
DEFINED05 293,900 0 0
Household International Com 44181510 8,992 158,800SH
DEFINED05 158,800 0 0
Illinois Tool Works Com 45230810 11,197 200,400SH
DEFINED05 200,400 0 0
IMC Global Inc Com 44966910 4,727 326,000SH
DEFINED05 326,000 0 0
Johnson & Johnson Com 47816010 10,155 108,100SH
DEFINED05 108,100 0 0
Johnson Controls Com 47836610 5,244 98,600SH
DEFINED05 98,600 0 0
Kimberly Clark Corp Com 49436810 7,094 127,100SH
DEFINED05 127,100 0 0
Kroger Co Com 50104410 4,756 210,800SH
DEFINED05 210,800 0 0
Lafarge Corp Com 50586210 2,023 93,000SH
DEFINED05 93,000 0 0
Lear Corp Com 52186510 4,518 219,700SH
DEFINED05 219,700 0 0
Lexmark International Inc Com 52977110 6,915 184,400SH
DEFINED05 184,400 0 0
Lincoln National Corp Com 53418710 5,154 107,100SH
DEFINED05 107,100 0 0
Lyondell Chemical Co Com 55207810 2,249 190,400SH
DEFINED05 190,400 0 0
Martin Marietta Materials Com 57328410 3,496 91,328SH
DEFINED05 91,328 0 0
Masco Corp Com 57459910 10,270 551,400SH
DEFINED05 551,400 0 0
Mattel Inc Com 57708110 6,680 597,100SH
DEFINED05 597,100 0 0
Mead Corp Com 58283410 3,359 143,700SH
DEFINED05 143,700 0 0
Microsoft Com 59491810 6,984 115,800SH
DEFINED05 115,800 0 0
Motorola Inc Com 62007610 5,387 190,700SH
DEFINED05 190,700 0 0
National Semiconductor Com 63764010 5,313 132,000SH
DEFINED05 132,000 0 0
New York Times CL A Com 65011110 4,195 106,700SH
DEFINED05 106,700 0 0
Newell Rubbermaid Inc Com 65122910 7,092 310,900SH
DEFINED05 310,900 0 0
Nextel Communications Inc A Com 65332V10 7,943 169,900SH
DEFINED05 169,900 0 0
PECO Energy Co Com 69330410 13,845 228,600SH
DEFINED05 228,600 0 0
Pentair Inc Com 70963110 4,406 164,700SH
DEFINED05 164,700 0 0
Pepsico Inc Com 71344810 3,804 82,700SH
DEFINED05 82,700 0 0
PNC Financial Services Group Com 69347510 8,093 124,500SH
DEFINED05 124,500 0 0
Praxair Inc Com 74005P10 6,081 162,700SH
DEFINED05 162,700 0 0
Raytheon Co CL B Com 75511140 8,099 284,800SH
DEFINED05 284,800 0 0
Sara Lee Corp Com 80311110 7,820 385,000SH
DEFINED05 385,000 0 0
SBC Communications Inc Com 78387G10 12,630 252,600SH
DEFINED05 252,600 0 0
SCI Systems Inc Com 2,911 71,000SH
DEFINED05 71,000 0 0
Smurfit Stone Container Corp Com 83272710 1,955 162,900SH
DEFINED05 162,900 0 0
Southdown Inc Com 84129710 7,524 105,600SH
DEFINED05 105,600 0 0
St Jude Medical Inc Com 79084910 6,615 129,700SH
DEFINED05 129,700 0 0
St Paul Cos Com 79286010 4,487 91,000SH
DEFINED05 91,000 0 0
Tellabs Inc Com 87966410 5,993 125,500SH
DEFINED05 125,500 0 0
Texas Instruments Inc Com 88250810 3,549 75,200SH
DEFINED05 75,200 0 0
Ultramar Diamond Shamrock Co Com 90400010 3,997 157,500SH
DEFINED05 157,500 0 0
Unisys Corp Com 90921410 1,902 169,100SH
DEFINED05 169,100 0 0
United Health Group Inc Com 91324P10 11,633 117,800SH
DEFINED05 117,800 0 0
USG Corp Com 90329340 1,759 70,200SH
DEFINED05 70,200 0 0
Viad Corp Com 92552R10 3,995 150,400SH
DEFINED05 150,400 0 0
Wells Fargo & Co Com 94974610 12,261 266,900SH
DEFINED05 266,900 0 0
York International Corp Com 98667010 2,858 114,900SH
DEFINED05 114,900 0 0
ADAC Laboratories Com 00531320 2,173 104,400SH
DEFINED06 104,400 0 0
Ade Corp/Mass Com 00089C10 633 30,900SH
DEFINED06 30,900 0 0
Affiliated Computer Services Com 00819010 2,648 53,100SH
DEFINED06 53,100 0 0
Agile Software Corp Com 1,736 19,300SH
DEFINED06 19,300 0 0
Airgate PCS Inc Com 00936710 610 13,600SH
DEFINED06 13,600 0 0
Albany Intl Corp CL A Com 01234810 694 57,840SH
DEFINED06 57,840 0 0
Alliance Pharmaceutical CP Com 01877310 685 44,900SH
DEFINED06 44,900 0 0
Alpharma Inc Cl A Com 02081310 471 7,700SH
DEFINED06 7,700 0 0
Amcore Financial Inc Com 186 9,500SH
DEFINED06 9,500 0 0
American Eagle Outfitters Com 02553E10 2,737 86,900SH
DEFINED06 86,900 0 0
Amerisource Health Corp CL A Com 03071P10 8,046 171,200SH
DEFINED06 171,200 0 0
Anaren Microwave Inc Com 03274410 1,424 10,500SH
DEFINED06 10,500 0 0
AnnTaylor Stores Corp Com 03611510 3,333 86,700SH
DEFINED06 86,700 0 0
Answerthink Inc Com 03691610 75 4,600SH
DEFINED06 4,600 0 0
Atlas Air Inc Com 04916410 1,899 44,950SH
DEFINED06 44,950 0 0
ATMI Inc Com 00207R10 1,393 59,600SH
DEFINED06 59,600 0 0
Atwood Oceanies Inc Com 05009510 1,497 35,900SH
DEFINED06 35,900 0 0
Avista Corp Com 05379B10 2,160 96,000SH
DEFINED06 96,000 0 0
Axys Pharmaceuticals Com 05463510 627 92,100SH
DEFINED06 92,100 0 0
Bancfirst Corp Com 05945F10 1,272 39,900SH
DEFINED06 39,900 0 0
Bancorp South Com 05969210 470 32,700SH
DEFINED06 32,700 0 0
Beasley Broadcast Group Inc Com 07401410 554 57,200SH
DEFINED06 57,200 0 0
Beckman Coulter Inc Com 07581110 1,936 25,100SH
DEFINED06 25,100 0 0
Beringer Wine Estate - B Com 08410210 3,689 66,400SH
DEFINED06 66,400 0 0
Bisys Group Inc Com 05547210 5,049 65,300SH
DEFINED06 65,300 0 0
Borg-Warner Automotive Inc Com 09972410 1,484 44,800SH
DEFINED06 44,800 0 0
Briggs & Stratton Com 10904310 1,509 39,900SH
DEFINED06 39,900 0 0
Brinker International Inc Com 10964110 1,560 51,800SH
DEFINED06 51,800 0 0
Broadbase Software Inc Com 11130R10 1,180 87,000SH
DEFINED06 87,000 0 0
Brooks Automations Inc Com 11434A10 282 8,500SH
DEFINED06 8,500 0 0
C & D Technologies Inc Com 12466110 715 12,600SH
DEFINED06 12,600 0 0
Cabot Oil & Gas Corp Com 954 46,800SH
DEFINED06 46,800 0 0
Calico Commerce Inc Com 12989710 984 160,700SH
DEFINED06 160,700 0 0
Cambrex Corp Com 13201110 914 24,700SH
DEFINED06 24,700 0 0
Caraustar Industries Inc Com 14090910 993 89,800SH
DEFINED06 89,800 0 0
Carrier Access Corp Com 14446010 337 17,000SH
DEFINED06 17,000 0 0
Celeritek Inc Com 15092610 1,002 26,600SH
DEFINED06 26,600 0 0
Cephalon Inc Com 15670810 2,818 58,100SH
DEFINED06 58,100 0 0
Ciphergen Biosystems Com 262 8,200SH
DEFINED06 8,200 0 0
Circle Intl Group Inc Com 17257410 2,266 74,900SH
DEFINED06 74,900 0 0
Citizens Banking Corp Mich Com 17442010 879 38,200SH
DEFINED06 38,200 0 0
Cleveland Cliffs Inc Com 18589610 1,489 65,100SH
DEFINED06 65,100 0 0
Columbia Banking System Inc Com 19723610 1,296 94,246SH
DEFINED06 94,246 0 0
Commercial Bankshares Inc Com 20160710 145 8,392SH
DEFINED06 8,392 0 0
Connetics Corp Com 1,486 61,600SH
DEFINED06 61,600 0 0
Covenant Transport Inc CL A Com 22284P10 733 78,700SH
DEFINED06 78,700 0 0
CPB Inc Com 12590310 1,350 50,000SH
DEFINED06 50,000 0 0
Crane Co Com 22439910 2,388 104,400SH
DEFINED06 104,400 0 0
Credence Systems Corp Com 22530210 1,893 63,100SH
DEFINED06 63,100 0 0
Critical Path Inc Com 22674V10 996 16,400SH
DEFINED06 16,400 0 0
Crompton Corp Com 22711610 706 89,600SH
DEFINED06 89,600 0 0
Cross Timbers Oil Co Com 22757310 1,631 85,000SH
DEFINED06 85,000 0 0
CSG Systems Intl Inc Com 12634910 1,366 47,100SH
DEFINED06 47,100 0 0
Cullen/Frost Bankers Inc Com 22989910 2,324 71,500SH
DEFINED06 71,500 0 0
CV Therapeutics Inc Com 12666710 824 10,600SH
DEFINED06 10,600 0 0
Cytec Inds Inc Com 23282010 1,618 48,400SH
DEFINED06 48,400 0 0
D R Horton Inc Com 23331A10 2,057 119,682SH
DEFINED06 119,682 0 0
Devry Inc Com 25189310 2,096 55,700SH
DEFINED06 55,700 0 0
DMC Stratex Networks Inc Com 25385910 1,139 70,900SH
DEFINED06 70,900 0 0
Documentum Inc Com 25615910 3,191 39,300SH
DEFINED06 39,300 0 0
E Piphany Inc Com 26881V10 1,033 13,400SH
DEFINED06 13,400 0 0
Edwards Lifesciences Corp Com 28176E10 1,163 53,300SH
DEFINED06 53,300 0 0
EEX Corp Com 26842V20 1,188 246,800SH
DEFINED06 246,800 0 0
Elantec Semiconductor Inc Com 28415510 2,291 23,000SH
DEFINED06 23,000 0 0
Electronics For Imaging Com 28608210 1,164 46,100SH
DEFINED06 46,100 0 0
First Citizens Bankshares CL Com 31946M10 1,975 27,600SH
DEFINED06 27,600 0 0
Foundation Health Systems Com 3,832 230,500SH
DEFINED06 230,500 0 0
Fuelcell Energy Inc Com 1,116 11,600SH
DEFINED06 11,600 0 0
Gartner Group Inc CL B Com 36665120 1,320 121,400SH
DEFINED06 121,400 0 0
Geltex Pharmaceuticals Inc Com 36853810 2,556 54,600SH
DEFINED06 54,600 0 0
Gene Logic Inc Com 36868910 1,497 65,100SH
DEFINED06 65,100 0 0
General Growth Properties Com 37002110 1,944 60,400SH
DEFINED06 60,400 0 0
Genesco Inc Com 37153210 1,253 74,000SH
DEFINED06 74,000 0 0
Gentex Corp Com 37190110 1,200 48,000SH
DEFINED06 48,000 0 0
Genzyme Surgical Product Com 37291760 508 67,700SH
DEFINED06 67,700 0 0
Gerber Scientific Com 37373010 1,369 158,700SH
DEFINED06 158,700 0 0
Granite Construction Com 38732810 536 22,100SH
DEFINED06 22,100 0 0
Great Lakes Chemical Corp Com 39056810 1,058 36,100SH
DEFINED06 36,100 0 0
Great Lakes Reit Inc Com 39075210 1,877 108,000SH
DEFINED06 108,000 0 0
Grove Property Trust Com 39961310 2,379 144,200SH
DEFINED06 144,200 0 0
H S Resources Com 1,180 35,100SH
DEFINED06 35,100 0 0
Haemonetics Corp/Mass Com 40502410 798 31,300SH
DEFINED06 31,300 0 0
Helix Technology Com 42331910 1,425 47,700SH
DEFINED06 47,700 0 0
Helmerich & Payne Com 42345210 968 26,800SH
DEFINED06 26,800 0 0
Homestore.Com Inc Com 43785210 5,194 111,100SH
DEFINED06 111,100 0 0
Horace Mann Educators Com 44032710 4,089 249,700SH
DEFINED06 249,700 0 0
Hudson United Bancorp Com 44416510 1,391 50,344SH
DEFINED06 50,344 0 0
Idexx Laboratories Inc Com 45168D10 1,049 39,200SH
DEFINED06 39,200 0 0
Internet Pictures Corp Com 46059S10 232 42,629SH
DEFINED06 42,629 0 0
Investment Technology Group Com 46145F10 3,075 77,000SH
DEFINED06 77,000 0 0
Iron Mountain Inc Com 46284610 1,906 51,500SH
DEFINED06 51,500 0 0
ITC Delta Com Com 45031T10 590 51,300SH
DEFINED06 51,300 0 0
ITT Educational Services Com 45068B10 2,184 80,500SH
DEFINED06 80,500 0 0
Jacobs Engineering Group Inc Com 46981410 3,056 75,800SH
DEFINED06 75,800 0 0
Kennametal Inc Com 48917010 3,026 117,500SH
DEFINED06 117,500 0 0
Kenneth Cole Productions A Com 19329410 590 16,700SH
DEFINED06 16,700 0 0
Keynote Systems Inc Com 49330810 1,442 53,900SH
DEFINED06 53,900 0 0
Kilroy Realty Corp Com 49427F10 2,767 103,700SH
DEFINED06 103,700 0 0
Kimco Realty Corp Com 49446R10 2,083 49,300SH
DEFINED06 49,300 0 0
King Pharmaceuticals CL A Com 49558210 903 27,000SH
DEFINED06 27,000 0 0
KV Pharmaceutical B Com 48274010 1,144 33,150SH
DEFINED06 33,150 0 0
Lance Inc Com 51460610 601 61,800SH
DEFINED06 61,800 0 0
Lattice Semiconductor Corp Com 51841510 2,865 53,300SH
DEFINED06 53,300 0 0
Liberty Property Trust Com 53117210 2,954 107,400SH
DEFINED06 107,400 0 0
Liz Claiborne Inc Com 53932010 963 25,000SH
DEFINED06 25,000 0 0
LNR Property Corp Com 50194010 1,232 55,700SH
DEFINED06 55,700 0 0
Looksmart LTD Com 54344210 1,688 150,900SH
DEFINED06 150,900 0 0
Manpower Inc Com 56418H10 3,203 100,300SH
DEFINED06 100,300 0 0
McClatchy Co CL A Com 57948910 2,917 82,900SH
DEFINED06 82,900 0 0
MDU Resources Group Inc Com 55269010 3,372 113,350SH
DEFINED06 113,350 0 0
Memc Electronic Materials Com 55271510 1,315 102,100SH
DEFINED06 102,100 0 0
Mesa Air Group Inc Com 59047910 690 126,100SH
DEFINED06 126,100 0 0
Methode Electronics CL A Com 59152020 1,134 25,600SH
DEFINED06 25,600 0 0
Metris Companies Inc Com 59159810 3,203 81,100SH
DEFINED06 81,100 0 0
Midcoast Energy Resources Com 59563W10 572 27,800SH
DEFINED06 27,800 0 0
Minerals Technologies Inc Com 60315810 1,780 38,700SH
DEFINED06 38,700 0 0
MPower Communications Corp Com 55276330 596 68,400SH
DEFINED06 68,400 0 0
MRV Communications Inc Com 55347710 743 16,400SH
DEFINED06 16,400 0 0
Myriad Genetics Inc Com 916 10,600SH
DEFINED06 10,600 0 0
Netro Corp Com 64114R10 2,761 46,600SH
DEFINED06 46,600 0 0
Newfield Exploration Co Com 65129010 1,938 41,500SH
DEFINED06 41,500 0 0
Nextcard Inc Com 65332K10 313 34,400SH
DEFINED06 34,400 0 0
Niku Corp Com 65411310 968 39,700SH
DEFINED06 39,700 0 0
Northwestern Corp Com 66807410 3,257 167,000SH
DEFINED06 167,000 0 0
Nuevo Energy Co Com 67050910 1,830 99,600SH
DEFINED06 99,600 0 0
Oshkosh Truck Corp B Com 68823920 1,147 29,600SH
DEFINED06 29,600 0 0
P F Changs China Bristro Inc Com 69333Y10 874 25,300SH
DEFINED06 25,300 0 0
Pacific Century Finl Corp Com 69405810 2,582 150,800SH
DEFINED06 150,800 0 0
Pacific Sunwear of Calif Com 69487310 2,770 147,750SH
DEFINED06 147,750 0 0
Packaging Corp of America Com 69515610 1,584 143,200SH
DEFINED06 143,200 0 0
PACTIV CORP Com 69525710 1,187 106,100SH
DEFINED06 106,100 0 0
Pall Corp Com 69642930 1,324 66,400SH
DEFINED06 66,400 0 0
Pega Systems Inc Com 70557310 308 47,300SH
DEFINED06 47,300 0 0
Pegasus Communications Corp Com 70590410 3,768 78,000SH
DEFINED06 78,000 0 0
Peoples Bank Com 71019810 1,592 75,600SH
DEFINED06 75,600 0 0
Peoples Energy Com 71103010 1,672 50,100SH
DEFINED06 50,100 0 0
Perrigo Company Com 71429010 1,324 193,500SH
DEFINED06 193,500 0 0
Pharmacopeia Inc Com 490 19,200SH
DEFINED06 19,200 0 0
Pharmacyclics Inc Com 744 15,000SH
DEFINED06 15,000 0 0
Polaris Industries Com 73106810 850 24,100SH
DEFINED06 24,100 0 0
Precision Castparts Corp Com 74018910 1,243 32,400SH
DEFINED06 32,400 0 0
Princeton National Bancorp Com 74228210 746 55,750SH
DEFINED06 55,750 0 0
PSS World Medical Inc Com pss wORL 94 25,900SH
DEFINED06 25,900 0 0
Quantum Corp Hard Disk Drive Com 74790630 5,977 601,500SH
DEFINED06 601,500 0 0
Radiant Systems Inc Com 75025N10 791 37,000SH
DEFINED06 37,000 0 0
Range Resources Corp Com 75281A10 1,319 274,000SH
DEFINED06 274,000 0 0
Raymond James Financial Inc Com 75473010 1,011 30,700SH
DEFINED06 30,700 0 0
Reinsurance Group of America Com 75935110 5,440 158,842SH
DEFINED06 158,842 0 0
Remec Inc Com 75954310 4,196 142,550SH
DEFINED06 142,550 0 0
Respironics Inc Com 76123010 1,013 60,700SH
DEFINED06 60,700 0 0
Robbins & Myers Inc Com 77019610 2,741 116,000SH
DEFINED06 116,000 0 0
SBA Communications Corp Com 78388J10 1,531 36,500SH
DEFINED06 36,500 0 0
Schweitzer-Mauduit Com 80854110 827 61,800SH
DEFINED06 61,800 0 0
Seacoast Banking Corp Fla A Com 81170710 798 30,700SH
DEFINED06 30,700 0 0
Security Capital Group B Com 81413P20 2,932 154,850SH
DEFINED06 154,850 0 0
Semtech Corp Com 81685010 4,278 103,400SH
DEFINED06 103,400 0 0
Sequeonom Inc Com 1,121 26,600SH
DEFINED06 26,600 0 0
Six Flags Inc Com 1,028 66,300SH
DEFINED06 66,300 0 0
Skywest Inc Com 83087910 3,654 71,300SH
DEFINED06 71,300 0 0
Software.com Inc Com 83402P10 2,395 13,200SH
DEFINED06 13,200 0 0
Speedfam IPEC Inc Com 84770510 1,805 157,800SH
DEFINED06 157,800 0 0
Stillwater Mining Co Com 86074Q10 2,355 87,000SH
DEFINED06 87,000 0 0
Sun Communities Inc Com 86667410 3,080 97,400SH
DEFINED06 97,400 0 0
Swift Transportation Co Inc Com 87075610 1,102 84,375SH
DEFINED06 84,375 0 0
Syncor Intl Corp-Del Com 87157J10 1,042 28,300SH
DEFINED06 28,300 0 0
TCF Financial Corp Com 87227510 2,543 67,600SH
DEFINED06 67,600 0 0
Team Financial Inc Com 87815X10 36 5,000SH
DEFINED06 5,000 0 0
Tekelec Com 503 15,300SH
DEFINED06 15,300 0 0
Telcom Semiconductor Inc Com 87921P10 669 45,000SH
DEFINED06 45,000 0 0
Telecommunication Systems Com 373 19,500SH
DEFINED06 19,500 0 0
Temple-Inland Com 87986810 1,227 32,400SH
DEFINED06 32,400 0 0
Tetra Technologies Inc Com 88162F10 715 47,100SH
DEFINED06 47,100 0 0
Texas Regional Bancshares A Com 88267310 579 20,400SH
DEFINED06 20,400 0 0
Timberland Co CL A Com 88710010 738 18,000SH
DEFINED06 18,000 0 0
Toll Brothers Inc Com 88947810 3,135 91,200SH
DEFINED06 91,200 0 0
Too Inc Com 89033310 5,192 218,600SH
DEFINED06 218,600 0 0
Triangle Pharmaceuticals Inc Com 89589H10 448 53,100SH
DEFINED06 53,100 0 0
Trigon Healthcare Com 89618L10 499 9,500SH
DEFINED06 9,500 0 0
Tucker Anthony Sutro Com 89864710 1,868 73,600SH
DEFINED06 73,600 0 0
U S Unwired Inc CL A Com 90338R10 980 102,800SH
DEFINED06 102,800 0 0
Ultratech Stepper Com 29 1,800SH
DEFINED06 1,800 0 0
Umpaqua Holdings Corp Com 90421410 72 9,200SH
DEFINED06 9,200 0 0
Unifi Inc Com 947 93,000SH
DEFINED06 93,000 0 0
Unionbancorp Inc (Del) Com 90890810 134 12,500SH
DEFINED06 12,500 0 0
United Natural Foods Inc Com 91116310 546 44,100SH
DEFINED06 44,100 0 0
Valassis Communications Com 91886610 634 28,500SH
DEFINED06 28,500 0 0
Varian Inc Com 340 7,900SH
DEFINED06 7,900 0 0
Veeco Instruments Inc Com 92241710 1,566 14,739SH
DEFINED06 14,739 0 0
Verity Inc Com 92343C10 1,991 55,800SH
DEFINED06 55,800 0 0
Vertex Pharmaceuticals Inc Com 92532F10 2,873 34,000SH
DEFINED06 34,000 0 0
Viatel Inc Com 92552920 394 38,400SH
DEFINED06 38,400 0 0
Washington Gas Light Co Com 93883710 1,492 55,500SH
DEFINED06 55,500 0 0
Wellman Inc Com 94970210 1,279 88,600SH
DEFINED06 88,600 0 0
Werner Enterprises Inc Com 95075510 693 59,000SH
DEFINED06 59,000 0 0
Wild Oats Markets Com 96808B10 1,686 143,450SH
DEFINED06 143,450 0 0
York International Corp Com 98667010 438 17,600SH
DEFINED06 17,600 0 0
7,351,443158,206,655 158,206,655