NEUBERGER BERMAN LLC
13F-HR, 1999-08-11
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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:
June 30, 1999 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 : NEUBERGER BERMAN MANAGEMENT INCORPORATED
Address:  605 THIRD AVENUE
          NEW YORK
          NEW YORK 10158-3698

13F File Number: 28-595

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 part(s) of this
form.


Person signing this report on behalf of
Reporting Manager:

Name: C. CARL RANDOLPH
Phone: (212) 476-9850

Signature, Place, and Date of signing:
C. CARL RANDOLPH, New York, New York, June 30,
1999

Report Type (Check only One)

[X]  13F Holdings Report

[ ]  13F Notice

[ ]  13F Combination Report





List of Other Managers reporting for this
Manager:
NEUBERGER BERMAN, LLC
NEUBERGER BERMAN, LLC - INSTITUTIONAL
ASSET MAMAGEMENT DIVISION






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: 2


Form 13F Information Table Entry Total: 429


Form 13F Information Table Value Total: 15,527,114


List of Other Managers reporting for this Manager:

No.	13F File Number	Name
01	28-780		NEUBERGER BERMAN, LLC INSTITUTIONAL ASSET MANAGEMENT
DIVISION
02	28-454		NEUBERGER BERMAN, LLC
<PAGE>

<TABLE>
                                                             VALUE    SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- X$1000  PRN AMT   PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>                                              <C>
D AAR CORP                       COMMON STOCK     000361105    40414  1781350 SH       DEFINED                               1781350
D ACT NETWORKS INC               COMMON STOCK     000975102      618    36200 SH       DEFINED                                 36200
D AGL RESOURCES INC              COMMON STOCK     001204106    15943   864700 SH       DEFINED                                864700
D AK STEEL HOLDING CORP          COMMON STOCK     001547108    36000  1600000 SH       DEFINED                               1600000
D AMR CORP-DEL                   COMMON STOCK     001765106   104354  1529000 SH       DEFINED                               1529000
D AT&T CORP                      COMMON STOCK     001957109    83590  1497700 SH       DEFINED                               1497700
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208    55232  1502900 SH       DEFINED                               1502900
D ABERCROMBIE & FITCH CO         COMMON STOCK     002896207    17136   357000 SH       DEFINED                                357000
D ACCREDO HEALTH INC             COMMON STOCK     00437V104      409    12500 SH       DEFINED                                 12500
D ACUSON CORP                    COMMON STOCK     005113105    16806   977800 SH       DEFINED                                977800
D ADAC LABORATORIES NEW          COMMON STOCK     005313200     6572   906500 SH       DEFINED                                906500
D ADAPTEC INC                    COMMON STOCK     00651F108    22911   648800 SH       DEFINED                                648800
D ADELPHIA COMMUNICATIONS CORP   COMMON STOCK     006848105     8500   133600 SH       DEFINED                                133600
D ***AEGON NV-ORD AMERICAN REGD  COMMON STOCK     007924103     1183    16000 SH       DEFINED                                 16000
D AETNA INC                      COMMON STOCK     008117103   181817  2032900 SH       DEFINED                               2032900
D AFFILIATED MANAGERS GROUP INC  COMMON STOCK     008252108      604    20000 SH       DEFINED                                 20000
D ALBERTO CULVER CO-CL A         COMMON STOCK     013068200    15948   701000 SH       DEFINED                                701000
D ALBERTSONS INC                 COMMON STOCK     013104104     6188   120000 SH       DEFINED                                120000
D ALKERMES INC                   COMMON STOCK     01642T108      569    24600 SH       DEFINED                                 24600
D ALLIANT TECHSYSTEMS INC-W/RTS  COMMON STOCK     018804104    57367   663200 SH       DEFINED                                663200
D ***ALLIED IRISH BANKS PLC      COMMON STOCK     019228402      809    29700 SH       DEFINED                                 29700
D ALLIED WASTE INDUSTRIES INC    COMMON STOCK     019589308    86544  4382000 SH       DEFINED                               4382000
D ALLSTATE CORP                  COMMON STOCK     020002101    48532  1352800 SH       DEFINED                               1352800
D ALTERA CORP                    COMMON STOCK     021441100    20641   560700 SH       DEFINED                                560700
D ALZA CORP                      COMMON STOCK     022615108    89077  1750900 SH       DEFINED                               1750900
D AMBAC INC                      COMMON STOCK     023139108     8620   150900 SH       DEFINED                                150900
D AMERADA HESS CORP              COMMON STOCK     023551104    52854   888300 SH       DEFINED                                888300
D AMERICAN EAGLE OUTFITTERS INC  COMMON STOCK     02553E106     1001    22000 SH       DEFINED                                 22000
D AMERICAN HOME PRODUCTS CORP    COMMON STOCK     026609107   189819  3308400 SH       DEFINED                               3308400
D ANADARKO PETROLEUM CORP        COMMON STOCK     032511107     7362   200000 SH       DEFINED                                200000
D ANALYSTS INTERNATIONAL CORP    COMMON STOCK     032681108    11481   798700 SH       DEFINED                                798700
D ANESTA CORP                    COMMON STOCK     034603100     1001    49000 SH       DEFINED                                 49000
D ANHEUSER BUSCH COMPANIES INC   COMMON STOCK     035229103    93283  1315000 SH       DEFINED                               1315000
D ANN TAYLOR STORES CORP         COMMON STOCK     036115103    14620   324900 SH       DEFINED                                324900
D APPLIED MATERIALS INC          COMMON STOCK     038222105    20685   280000 SH       DEFINED                                280000
D APTARGROUP INC                 COMMON STOCK     038336103    43503  1450100 SH       DEFINED                               1450100
D ARROW INTERNATIONAL INC        COMMON STOCK     042764100     5553   214600 SH       DEFINED                                214600
D ASSOCIATES FIRST CAPITAL CORP  COMMON STOCK     046008108    63134  1430800 SH       DEFINED                               1430800
D ASYST TECHNOLOGIES INC         COMMON STOCK     04648X107      599    20000 SH       DEFINED                                 20000
D ATMEL CORP                     COMMON STOCK     049513104    37579  1435000 SH       DEFINED                               1435000
D ATMOS ENERGY CORP              COMMON STOCK     049560105     8150   326000 SH       DEFINED                                326000
D AUTODESK INC                   COMMON STOCK     052769106    26606   900000 SH       DEFINED                                900000
D AUTOZONE INC                   COMMON STOCK     053332102    85805  2848300 SH       DEFINED                               2848300
D AVIALL INC NEW                 COMMON STOCK     05366B102    22942  1219500 SH       DEFINED                               1219500
D AVIS RENT A CAR INC            COMMON STOCK     053790101    15090   518100 SH       DEFINED                                518100
D AZURIX CORP                    COMMON STOCK     05501M104     6000   300000 SH       DEFINED                                300000
D BMC INDUSTRIES INC-MINN        COMMON STOCK     055607105     3674   356300 SH       DEFINED                                356300
D BMC SOFTWARE INC               COMMON STOCK     055921100    26190   485000 SH       DEFINED                                485000
D BANK OF AMER CORP              COMMON STOCK     060505104   175723  2396900 SH       DEFINED                               2396900
D BANK ONE CORP                  COMMON STOCK     06423A103   452371  7594900 SH       DEFINED                               7594900
D BANK UNITED CORP-CL A          COMMON STOCK     065412108    21468   534200 SH       DEFINED                                534200
D BANKBOSTON CORP                COMMON STOCK     06605R106   120767  2362200 SH       DEFINED                               2362200
D C R BARD INC                   COMMON STOCK     067383109    22553   471700 SH       DEFINED                                471700
D BAXTER INTERNATIONAL INC       COMMON STOCK     071813109    87815  1448500 SH       DEFINED                               1448500
D BECTON DICKINSON & CO          COMMON STOCK     075887109    83034  2767800 SH       DEFINED                               2767800
D BELL ATLANTIC CORP             COMMON STOCK     077853109   172793  2643100 SH       DEFINED                               2643100
D BENCHMARK ELECTRONICS INC      COMMON STOCK     08160H101     9969   277400 SH       DEFINED                                277400
D W R BERKLEY CORP               COMMON STOCK     084423102    19592   783700 SH       DEFINED                                783700
D BEST BUY COMPANY INC           COMMON STOCK     086516101    27560   408300 SH       DEFINED                                408300
D ***BIOCHEM PHARMA INC          COMMON STOCK     09058T108      806    43000 SH       DEFINED                                 43000
D BIOGEN INC                     COMMON STOCK     090597105    38459   598000 SH       DEFINED                                598000
D BLACK BOX CORP-DEL             COMMON STOCK     091826107    12130   242000 SH       DEFINED                                242000
D BLOCK DRUG CO INC CLASS A      COMMON STOCK     093644102    22121   530637 SH       DEFINED                                530637
D BORG WARNER AUTOMOTIVE INC     COMMON STOCK     099724106     7546   137200 SH       DEFINED                                137200
D W H BRADY CO CL A NON VTG      COMMON STOCK     104674106    15223   468400 SH       DEFINED                                468400
D BRINKER INTERNATIONAL INC      COMMON STOCK     109641100    37327  1357350 SH       DEFINED                               1357350
D BROADCOM CORP                  COMMON STOCK     111320107     3715    25700 SH       DEFINED                                 25700
D BROADVISION INC                COMMON STOCK     111412102    10679   144800 SH       DEFINED                                144800
D BUCA INC                       COMMON STOCK     117769109      248    15000 SH       DEFINED                                 15000
D BURLINGTON NORTHERN SANTA FE   COMMON STOCK     12189T104    96894  3125600 SH       DEFINED                               3125600
D BUSH BOAKE ALLEN INC           COMMON STOCK     123162109     2978   101800 SH       DEFINED                                101800
D CAIS INTERNET                  COMMON STOCK     12476Q102     1194    65000 SH       DEFINED                                 65000
D CBRL GROUP INC                 COMMON STOCK     12489V106     1309    75600 SH       DEFINED                                 75600
D CIGNA CORP                     COMMON STOCK     125509109   154006  1730400 SH       DEFINED                               1730400
D CSK AUTO CORP                  COMMON STOCK     125965103     1215    45000 SH       DEFINED                                 45000
D CABOT CORP                     COMMON STOCK     127055101    76302  3154600 SH       DEFINED                               3154600
D CABOT OIL & GAS CORP-CL A      COMMON STOCK     127097103    12056   647300 SH       DEFINED                                647300
D CACI INTERNATIONAL INC         COMMON STOCK     127190304    12231   543600 SH       DEFINED                                543600
D CADENCE DESIGN SYSTEMS INC     COMMON STOCK     127387108    25056  1984600 SH       DEFINED                               1984600
D CAL DIVE INTERNATIONAL INC     COMMON STOCK     127914109    11672   390700 SH       DEFINED                                390700
D CAPITAL ONE FINANCIAL CORP     COMMON STOCK     14040H105   340652  6117200 SH       DEFINED                               6117200
D CAPSTAR BROADCASTING CORP-CL   COMMON STOCK     14067G105    16554   604700 SH       DEFINED                                604700
D CARDINAL HEALTH INC            COMMON STOCK     14149Y108    14633   228200 SH       DEFINED                                228200
D CARNIVAL CORP-CL A             COMMON STOCK     143658102    16136   332700 SH       DEFINED                                332700
D CATALYST INTERNATIONAL INC     COMMON STOCK     14887T105      430    24000 SH       DEFINED                                 24000
D CENDANT CORP                   COMMON STOCK     151313103   102600  5004900 SH       DEFINED                               5004900
D CENTOCOR  INC                  COMMON STOCK     152342101    63298  1357600 SH       DEFINED                               1357600
D CENTRAL HUDSON GAS & ELEC CORP COMMON STOCK     153609102    11865   282500 SH       DEFINED                                282500
D CHANCELLOR MEDIA CORP          COMMON STOCK     158915108    60930  1105300 SH       DEFINED                               1105300
D CHASE MANHATTAN CORP NEW       COMMON STOCK     16161A108   384121  4440700 SH       DEFINED                               4440700
D CHECKFREE HOLDINGS CORP        COMMON STOCK     162816102    13765   499400 SH       DEFINED                                499400
D CHEVRON CORP                   COMMON STOCK     166751107    78560   826400 SH       DEFINED                                826400
D CHILDRENS PLACE RETAIL STORES  COMMON STOCK     168905107      526    13000 SH       DEFINED                                 13000
D CHURCH & DWIGHT CO INC         COMMON STOCK     171340102    23112   531300 SH       DEFINED                                531300
D CIRCLE INTERNATIONAL GROUP INC COMMON STOCK     172574105     1988    90900 SH       DEFINED                                 90900
D CIRCUIT CITY STORES INC        COMMON STOCK     172737108    24106   259200 SH       DEFINED                                259200
D CITIGROUP INC                  COMMON STOCK     172967101   246481  5189075 SH       DEFINED                               5189075
D CITRIX SYSTEMS INC             COMMON STOCK     177376100    40799   722100 SH       DEFINED                                722100
D CLAIRES STORES INC             COMMON STOCK     179584107    12144   471600 SH       DEFINED                                471600
D COACHMEN INDUSTRIES INC        COMMON STOCK     189873102     9709   417600 SH       DEFINED                                417600
D COASTAL CORP                   COMMON STOCK     190441105    20105   499500 SH       DEFINED                                499500
D COINSTAR INC                   COMMON STOCK     19259P300     1004    35000 SH       DEFINED                                 35000
D COMMUNITY FIRST BANKSHARES INC COMMON STOCK     203902101    14428   604300 SH       DEFINED                                604300
D COMPAQ COMPUTER CORP           COMMON STOCK     204493100    87307  3685800 SH       DEFINED                               3685800
D COMPUTER ASSOCIATES INTL INC   COMMON STOCK     204912109   182668  3336400 SH       DEFINED                               3336400
D COMPUWARE CORP                 COMMON STOCK     205638109    72278  2272000 SH       DEFINED                               2272000
D CONAGRA INC                    COMMON STOCK     205887102    66562  2500000 SH       DEFINED                               2500000
D CONEXANT SYSTEMS INC           COMMON STOCK     207142100     8564   147500 SH       DEFINED                                147500
D CONMED CORP                    COMMON STOCK     207410101     8434   275400 SH       DEFINED                                275400
D CONNECTICUT ENERGY CORP        COMMON STOCK     207567108    15236   395100 SH       DEFINED                                395100
D CONSECO INC                    COMMON STOCK     208464107   176559  5800700 SH       DEFINED                               5800700
D CONSOLIDATED STORES CORP       COMMON STOCK     210149100    14148   524000 SH       DEFINED                                524000
D CONTINENTAL AIRLINES INC-CL B  COMMON STOCK     210795308   102363  2720600 SH       DEFINED                               2720600
D COOPER CAMERON CORP            COMMON STOCK     216640102     8524   230000 SH       DEFINED                                230000
D CORDANT TECHNOLOGIES INC       COMMON STOCK     218412104    27867   616700 SH       DEFINED                                616700
D CORINTHIAN COLLEGES INC        COMMON STOCK     218868107     1170    62000 SH       DEFINED                                 62000
D COSTCO COMPANIES INC           COMMON STOCK     22160Q102    10568   132000 SH       DEFINED                                132000
D COUNTRYWIDE CREDIT INDS INC    COMMON STOCK     222372104   335643  7851300 SH       DEFINED                               7851300
D CRITICAL PATH INC              COMMON STOCK     22674V100      498     9000 SH       DEFINED                                  9000
D CULLEN FROST BANKERS INC       COMMON STOCK     229899109    18401   667600 SH       DEFINED                                667600
D DALLAS SEMICONDUCTOR CORP      COMMON STOCK     235204104    48309   951900 SH       DEFINED                                951900
D ***DASSAULT SYSTEMES SA        COMMON STOCK     237545108      996    30000 SH       DEFINED                                 30000
D DAVE & BUSTERS INC             COMMON STOCK     23833N104      725    25000 SH       DEFINED                                 25000
D DAVOX CORP                     COMMON STOCK     239208101    12840  1075600 SH       DEFINED                               1075600
D DAYTON HUDSON CORP             COMMON STOCK     239753106     7800   120000 SH       DEFINED                                120000
D DENTSPLY INTERNATIONAL INC NEW COMMON STOCK     249030107    20472   709000 SH       DEFINED                                709000
D ***DESCARTES SYSTEMS GROUP INC FOREIGN COMMON S 249906108      309    61000 SH       DEFINED                                 61000
D ***DIAGEO PLC-SPONSORED ADR    COMMON STOCK     25243Q205    67940  1580000 SH       DEFINED                               1580000
D DIALOGIC CORP                  COMMON STOCK     252499108    25311   576900 SH       DEFINED                                576900
D DIONEX CORP                    COMMON STOCK     254546104    11421   282000 SH       DEFINED                                282000
D DONALDSON CO INC               COMMON STOCK     257651109    14876   607200 SH       DEFINED                                607200
D DONALDSON LUFKIN & JENRETTE    COMMON STOCK     257661108    20099   333600 SH       DEFINED                                333600
D ***DONCASTERS PLC              COMMON STOCK     257692103     8370   478300 SH       DEFINED                                478300
D DOUBLECLICK INC                COMMON STOCK     258609304     6230    67900 SH       DEFINED                                 67900
D E I DU PONT DE NEMOURS & CO    COMMON STOCK     263534109    60320   883000 SH       DEFINED                                883000
D DUCOMMUN INC                   COMMON STOCK     264147109     3579   299850 SH       DEFINED                                299850
D DUN & BRADSTREET CORP DEL      COMMON STOCK     26483B106     7190   202900 SH       DEFINED                                202900
D ETEC SYSTEMS INC               COMMON STOCK     26922C103    11262   338700 SH       DEFINED                                338700
D E TRADE GROUP INC              COMMON STOCK     269246104    14082   352600 SH       DEFINED                                352600
D EASTERN ENTERPRISES            COMMON STOCK     27637F100     5140   129300 SH       DEFINED                                129300
D ***ELAN CORP PLC-ADR           COMMON STOCK     284131208    18243   657400 SH       DEFINED                                657400
D ELECTRONIC DATA SYSTEMS CORP   COMMON STOCK     285661104     8494   150000 SH       DEFINED                                150000
D EMERSON ELECTRIC CO            COMMON STOCK     291011104    14085   223800 SH       DEFINED                                223800
D ENRON OIL & GAS CO             COMMON STOCK     293562104    15117   746500 SH       DEFINED                                746500
D ***L M ERICSSON TELEPHONE CO   COMMON STOCK     294821400     1186    36000 SH       DEFINED                                 36000
D EXCHANGE APPLICATIONS INC      COMMON STOCK     300867108      713    17500 SH       DEFINED                                 17500
D EXODUS COMMUNICATIONS INC      COMMON STOCK     302088109    10159    84700 SH       DEFINED                                 84700
D FBL FINANCIAL GROUP INC-CL A   COMMON STOCK     30239F106    12691   650800 SH       DEFINED                                650800
D F Y I INC                      COMMON STOCK     302712104      314    10000 SH       DEFINED                                 10000
D FANNIE MAE                     COMMON STOCK     313586109     6825   100000 SH       DEFINED                                100000
D FEDERATED DEPARTMENT STORES    COMMON STOCK     31410H101    35113   663300 SH       DEFINED                                663300
D FINOVA GROUP INC               COMMON STOCK     317928109    13009   247200 SH       DEFINED                                247200
D FIRST CONSULTING GROUP INC     COMMON STOCK     31986R103      797    75000 SH       DEFINED                                 75000
D FIRST YEARS INC                COMMON STOCK     337610109     6930   462000 SH       DEFINED                                462000
D FIRSTFED FINANCIAL CORP DEL    COMMON STOCK     337907109     5823   302500 SH       DEFINED                                302500
D ***FOMENTO ECONOMICO MEXICANO  COMMON STOCK     344419106     1479    37100 SH       DEFINED                                 37100
D FOOD LION INC CL B             COMMON STOCK     344775101    15738  1361100 SH       DEFINED                               1361100
D FOOD LION INC CL A             COMMON STOCK     344775200     6006   505800 SH       DEFINED                                505800
D FORT JAMES CORPORATION         COMMON STOCK     347471104    33421   882400 SH       DEFINED                                882400
D FORTUNE BRANDS INC             COMMON STOCK     349631101    14887   359800 SH       DEFINED                                359800
D FOUNDATION HEALTH SYSTEMS INC  COMMON STOCK     350404109    29325  1955000 SH       DEFINED                               1955000
D FOX ENTERTAINMENT GROUP INC    COMMON STOCK     35138T107     8081   300000 SH       DEFINED                                300000
D FRIEDE GOLDMAN INTERNATIONAL   COMMON STOCK     358430106     9993   723500 SH       DEFINED                                723500
D FRONTIER CORP                  COMMON STOCK     35906P105    43754   746330 SH       DEFINED                                746330
D FURNITURE BRANDS INTERNATIONAL COMMON STOCK     360921100    63678  2284400 SH       DEFINED                               2284400
D GTE CORP                       COMMON STOCK     362320103    79902  1058300 SH       DEFINED                               1058300
D GARDNER DENVER  INC            COMMON STOCK     365558105    10167   630500 SH       DEFINED                                630500
D GATEWAY INC                    COMMON STOCK     367626108    17311   293100 SH       DEFINED                                293100
D GENERAL MOTORS CORP            COMMON STOCK     370442105   226802  3436400 SH       DEFINED                               3436400
D GENERAL MOTORS CORP-CL H NEW   COMMON STOCK     370442832   115244  2046500 SH       DEFINED                               2046500
D GLOBAL INDUSTRIES LTD          COMMON STOCK     379336100    10709   835800 SH       DEFINED                                835800
D GLOBAL TELESYSTEMS GROUP INC   COMMON STOCK     37936U104      778     9600 SH       DEFINED                                  9600
D GOLDMAN SACHS GROUP INC        COMMON STOCK     38141G104    17781   246100 SH       DEFINED                                246100
D GULFSTREAM AEROSPACE CORP NEW  COMMON STOCK     402734107    79379  1174900 SH       DEFINED                               1174900
D HAEMONETICS CORP-MASS          COMMON STOCK     405024100    24233  1207900 SH       DEFINED                               1207900
D HALLIBURTON CO                 COMMON STOCK     406216101    51323  1134200 SH       DEFINED                               1134200
D HAMBRECHT & QUIST GROUP INC    COMMON STOCK     406545103      516    14000 SH       DEFINED                                 14000
D HANOVER COMPRESSOR CO          COMMON STOCK     410768105      771    24000 SH       DEFINED                                 24000
D HARCOURT GENERAL INC           COMMON STOCK     41163G101    70486  1367000 SH       DEFINED                               1367000
D HARMONIC INC                   COMMON STOCK     413160102      574    10000 SH       DEFINED                                 10000
D HARTFORD FINANCIAL SERVICES    COMMON STOCK     416515104   134358  2304100 SH       DEFINED                               2304100
D HEALTH CARE PROPERTY INVS INC  COMMON STOCK     421915109     6324   219000 SH       DEFINED                                219000
D HEARST-ARGYLE TELEVISION INC   COMMON STOCK     422317107     4676   194839 SH       DEFINED                                194839
D HENRY JACK & ASSOCIATES INC    COMMON STOCK     426281101     5201   132500 SH       DEFINED                                132500
D HEWLETT PACKARD CO             COMMON STOCK     428236103   182357  1814500 SH       DEFINED                               1814500
D HOST MARRIOTT CORP-NEW REIT    COMMON STOCK     44107P104    22137  1864200 SH       DEFINED                               1864200
D HOUGHTON MIFFLIN CO            COMMON STOCK     441560109     9850   209300 SH       DEFINED                                209300
D HOUSEHOLD INTERNATIONAL INC    COMMON STOCK     441815107    86459  1825000 SH       DEFINED                               1825000
D HOWMET INTERNATIONAL INC       COMMON STOCK     443208103     5122   298000 SH       DEFINED                                298000
D HUSSMAN INTERNATIONAL INC      COMMON STOCK     448110106    22464  1356300 SH       DEFINED                               1356300
D IMCO RECYCLING INC             COMMON STOCK     449681105     3211   187500 SH       DEFINED                                187500
D IRI INTERNATIONAL CORP         COMMON STOCK     45004F107     3209   693900 SH       DEFINED                                693900
D IDEX CORP                      COMMON STOCK     45167R104    11496   349700 SH       DEFINED                                349700
D IMMUNEX CORP NEW               COMMON STOCK     452528102    21422   168100 SH       DEFINED                                168100
D INDYMAC MTG HLDGS INC          COMMON STOCK     456607100    52723  3295200 SH       DEFINED                               3295200
D INFOSEEK CORP                  COMMON STOCK     45678M107      671    14000 SH       DEFINED                                 14000
D INKTOMI CORP                   COMMON STOCK     457277101     6062    46100 SH       DEFINED                                 46100
D INSIGHT ENTERPRISES INC        COMMON STOCK     45765U103      371    15000 SH       DEFINED                                 15000
D ***INPRISE CORP                COMMON STOCK     45766C102    10733  2201600 SH       DEFINED                               2201600
D INTEL CORP                     COMMON STOCK     458140100     9520   160000 SH       DEFINED                                160000
D INTERMEDIA COMMUNICATIONS OF   COMMON STOCK     458801107    15831   527700 SH       DEFINED                                527700
D INTERNATIONAL BUSINESS         COMMON STOCK     459200101   288383  2231200 SH       DEFINED                               2231200
D INTERNATIONAL NETWORK SERVICES COMMON STOCK     460053101    10683   264600 SH       DEFINED                                264600
D INTUIT INC                     COMMON STOCK     461202103    22648   251300 SH       DEFINED                                251300
D INVACARE CORP                  COMMON STOCK     461203101     6955   260000 SH       DEFINED                                260000
D IRON MOUNTAIN INC-DEL          COMMON STOCK     46284P104      716    25000 SH       DEFINED                                 25000
D JOHNSON & JOHNSON              COMMON STOCK     478160104     8820    90000 SH       DEFINED                                 90000
D JONES APPAREL GROUP INC        COMMON STOCK     480074103    53356  1555000 SH       DEFINED                               1555000
D JONES INTERCABLE INC CL A      COMMON STOCK     480206200    18370   374900 SH       DEFINED                                374900
D KLA-TENCOR CORP                COMMON STOCK     482480100    23420   361000 SH       DEFINED                                361000
D KANSAS CITY SOUTHERN INDS INC  COMMON STOCK     485170104    20088   314800 SH       DEFINED                                314800
D KAYDON CORP                    COMMON STOCK     486587108    24304   722800 SH       DEFINED                                722800
D KEEBLER FOODS CO               COMMON STOCK     487256109    35337  1158600 SH       DEFINED                               1158600
D KENDLE INTERNATIONAL INC       COMMON STOCK     48880L107      496    31000 SH       DEFINED                                 31000
D KIMBERLY CLARK CORP            COMMON STOCK     494368103   108784  1908500 SH       DEFINED                               1908500
D LADISH CO INC NEW              COMMON STOCK     505754200     3294   425000 SH       DEFINED                                425000
D LASON HOLDINGS INC             COMMON STOCK     51808R107      893    18000 SH       DEFINED                                 18000
D LATTICE SEMICONDUCTOR CORP     COMMON STOCK     518415104     7159   115000 SH       DEFINED                                115000
D ESTEE LAUDER COMPANIES INC     COMMON STOCK     518439104    15554   310300 SH       DEFINED                                310300
D LEAR CORP                      COMMON STOCK     521865105   187214  3763100 SH       DEFINED                               3763100
D LEGGETT & PLATT INC            COMMON STOCK     524660107    11125   400000 SH       DEFINED                                400000
D LEHMAN BROTHERS HOLDINGS INC   COMMON STOCK     524908100    12021   193500 SH       DEFINED                                193500
D LINCOLN ELEC HOLDINGS INC      COMMON STOCK     533900106     6043   294800 SH       DEFINED                                294800
D LINENS N THINGS INC            COMMON STOCK     535679104    17417   398100 SH       DEFINED                                398100
D LONE STAR INDUSTRIES INC NEW   COMMON STOCK     542290408     8647   230200 SH       DEFINED                                230200
D LOWES CO INC                   COMMON STOCK     548661107    26439   466400 SH       DEFINED                                466400
D LYCOS INC                      COMMON STOCK     550818108     8535    92900 SH       DEFINED                                 92900
D LYONDELL CHEMICAL CO           COMMON STOCK     552078107    55702  2700700 SH       DEFINED                               2700700
D MCI WORLDCOM INC               COMMON STOCK     55268B106   350206  4069200 SH       DEFINED                               4069200
D STEVEN MADDEN LTD              COMMON STOCK     556269108      570    42000 SH       DEFINED                                 42000
D MARITRANS INC                  COMMON STOCK     570363101     1202   213600 SH       DEFINED                                213600
D MATTHEWS INTERNATIONAL CORP    COMMON STOCK     577128101    10289   347300 SH       DEFINED                                347300
D MAXIM INTEGRATED PRODS INC     COMMON STOCK     57772K101    14384   216300 SH       DEFINED                                216300
D ***MCDERMOTT INTERNATIONAL INC COMMON STOCK     580037109    64588  2286300 SH       DEFINED                               2286300
D MCDONALDS CORP                 COMMON STOCK     580135101    57974  1409700 SH       DEFINED                               1409700
D MCKESSON HBOC INC              COMMON STOCK     58155Q103     7081   220000 SH       DEFINED                                220000
D MEAD CORP                      COMMON STOCK     582834107     9936   238000 SH       DEFINED                                238000
D MEDE AMERICA CORP              COMMON STOCK     584067102     1321    35000 SH       DEFINED                                 35000
D MEDIAONE GROUP INC             COMMON STOCK     58440J104    84713  1139000 SH       DEFINED                               1139000
D MENTOR CORP MINN               COMMON STOCK     587188103    16489   885300 SH       DEFINED                                885300
D MEREDITH CORP                  COMMON STOCK     589433101      866    25000 SH       DEFINED                                 25000
D METHODE ELECTRONICS INC CL A   COMMON STOCK     591520200    32597  1425000 SH       DEFINED                               1425000
D METROMEDIA FIBER NETWORK INC   COMMON STOCK     591689104     6472   180100 SH       DEFINED                                180100
D METROMEDIA INTERNATIONAL GROUP COMMON STOCK     591695101     3774   503200 SH       DEFINED                                503200
D METTLER-TOLEDO INTERNATIONAL   COMMON STOCK     592688105      446    17500 SH       DEFINED                                 17500
D METZLER GROUP INC              COMMON STOCK     592903108    15998   579100 SH       DEFINED                                579100
D MICROCHIP TECHNOLOGY INC       COMMON STOCK     595017104    28662   605000 SH       DEFINED                                605000
D MICROMUSE INC                  COMMON STOCK     595094103      748    15000 SH       DEFINED                                 15000
D MICRON TECHNOLOGY INC          COMMON STOCK     595112103    52014  1284300 SH       DEFINED                               1284300
D ***MILLENNIUM CHEMICALS INC    COMMON STOCK     599903101    60718  2576900 SH       DEFINED                               2576900
D MINERALS TECHNOLOGIES INC      COMMON STOCK     603158106     5581   100000 SH       DEFINED                                100000
D MINIMED INC                    COMMON STOCK     60365K108    10156   132000 SH       DEFINED                                132000
D MIRAGE RESORTS INC             COMMON STOCK     60462E104    44960  2684200 SH       DEFINED                               2684200
D MOBIL CORP                     COMMON STOCK     607059102    68345   692100 SH       DEFINED                                692100
D MONSANTO CO                    COMMON STOCK     611662107    47886  1210400 SH       DEFINED                               1210400
D MONTANA POWER CO               COMMON STOCK     612085100    50217   712300 SH       DEFINED                                712300
D MOOG INC CL A                  COMMON STOCK     615394202    11849   344700 SH       DEFINED                                344700
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     617446448   167812  1635200 SH       DEFINED                               1635200
D NN BALL & ROLLER INC           COMMON STOCK     629305103      112    19500 SH       DEFINED                                 19500
D NTL INC                        COMMON STOCK     629407107    26011   301800 SH       DEFINED                                301800
D N U I CORP                     COMMON STOCK     629430109    10772   430900 SH       DEFINED                                430900
D NABISCO HOLDINGS CORP-CL A     COMMON STOCK     629526104    66435  1545000 SH       DEFINED                               1545000
D NABORS INDUSTRIES INC          COMMON STOCK     629568106    14491   594500 SH       DEFINED                                594500
D NATIONAL FUEL GAS CO           COMMON STOCK     636180101     8604   177400 SH       DEFINED                                177400
D NATIONAL-OILWELL INC           COMMON STOCK     637071101    21542  1538712 SH       DEFINED                               1538712
D NATIONWIDE FINANCIAL SERVICES  COMMON STOCK     638612101    35105   775800 SH       DEFINED                                775800
D NATIONWIDE HEALTH PROP INC     COMMON STOCK     638620104     4499   236000 SH       DEFINED                                236000
D NETWORK APPLIANCE INC          COMMON STOCK     64120L104    12119   216900 SH       DEFINED                                216900
D NEVADA POWER CO                COMMON STOCK     641423108     9170   366800 SH       DEFINED                                366800
D NEWPORT NEWS SHIPBUILDING INC  COMMON STOCK     652228107    38618  1309100 SH       DEFINED                               1309100
D NICOR INC                      COMMON STOCK     654086107     6863   180300 SH       DEFINED                                180300
D 99 CENTS ONLY STORES           COMMON STOCK     65440K106    22370   447968 SH       DEFINED                                447968
D ***NOKIA CORP-SPONSORED ADR    COMMON STOCK     654902204     2555    27900 SH       DEFINED                                 27900
D NORTEL NETWORKS CORP           COMMON STOCK     656569100   107213  1235000 SH       DEFINED                               1235000
D NORTHWEST AIRLINES CORP        COMMON STOCK     667280101    27658   851000 SH       DEFINED                                851000
D NOVELL INC                     COMMON STOCK     670006105    22538   850500 SH       DEFINED                                850500
D NOVELLUS SYSTEMS INC           COMMON STOCK     670008101    22113   324000 SH       DEFINED                                324000
D OCEAN FINANCIAL CORP           COMMON STOCK     674904107     5274   291000 SH       DEFINED                                291000
D OCEANEERING INTERNATIONAL INC  COMMON STOCK     675232102    10455   648400 SH       DEFINED                                648400
D OFFICE DEPOT INC               COMMON STOCK     676220106   119190  5402400 SH       DEFINED                               5402400
D OFFSHORE LOGISTICS INC         COMMON STOCK     676255102     8695   781600 SH       DEFINED                                781600
D OMEGA PROTEIN CORP             COMMON STOCK     68210P107     1955   372400 SH       DEFINED                                372400
D ONEOK INC (NEW)                COMMON STOCK     682680103     9623   303100 SH       DEFINED                                303100
D OPTICAL COATING LABORATORY INC COMMON STOCK     683829105      836    10000 SH       DEFINED                                 10000
D ORACLE CORP                    COMMON STOCK     68389X105    38239  1030000 SH       DEFINED                               1030000
D ORBITAL SCIENCES CORP          COMMON STOCK     685564106    11139   471500 SH       DEFINED                                471500
D OSTEOTECH INC                  COMMON STOCK     688582105      575    20000 SH       DEFINED                                 20000
D OTTER TAIL POWER CO            COMMON STOCK     689648103     8233   213500 SH       DEFINED                                213500
D OWENS ILLINOIS INC NEW         COMMON STOCK     690768403    46253  1415000 SH       DEFINED                               1415000
D PMC-SIERRA INC                 COMMON STOCK     69344F106    18836   319600 SH       DEFINED                                319600
D PACIFICARE HEALTH SYSTEMS INC  COMMON STOCK     695112102   114522  1591964 SH       DEFINED                               1591964
D PACKAGED ICED INC              COMMON STOCK     695148106      686   115600 SH       DEFINED                                115600
D PARAMETRIC TECHNOLOGY CORP     COMMON STOCK     699173100    53650  3866700 SH       DEFINED                               3866700
D PATTERSON DENTAL COMPANY       COMMON STOCK     703412106    11813   339950 SH       DEFINED                                339950
D PAYLESS SHOESOURCE INC         COMMON STOCK     704379106    23770   444300 SH       DEFINED                                444300
D PEERLESS SYSTEMS CORP          COMMON STOCK     705536100      788    75000 SH       DEFINED                                 75000
D PEGASUS SYSTEMS INC            COMMON STOCK     705906105      487    13000 SH       DEFINED                                 13000
D PEOPLES HERITAGE FINANCIAL     COMMON STOCK     711147108    18216   968300 SH       DEFINED                                968300
D PHILIP MORRIS COMPANIES INC    COMMON STOCK     718154107    66498  1654700 SH       DEFINED                               1654700
D PHOTRONICS INC                 COMMON STOCK     719405102    31911  1302500 SH       DEFINED                               1302500
D PLANTRONICS INC NEW            COMMON STOCK     727493108     1882    28900 SH       DEFINED                                 28900
D PRAXAIR INC                    COMMON STOCK     74005P104    66946  1368000 SH       DEFINED                               1368000
D PRIMEX TECHNOLOGIES INC        COMMON STOCK     741597108    17259   800400 SH       DEFINED                                800400
D PRIME HOSPITALITY CORP         COMMON STOCK     741917108    10152   846000 SH       DEFINED                                846000
D PRIDE INTERNATIONAL INC        COMMON STOCK     741932107     8210   777300 SH       DEFINED                                777300
D PRIORITY HEALTHCARE CORP-CL B  COMMON STOCK     74264T102      397    11500 SH       DEFINED                                 11500
D PROBUSINESS SERVICES INC       COMMON STOCK     742674104      502    14000 SH       DEFINED                                 14000
D PROFIT RECOVERY GROUP          COMMON STOCK     743168106      520    11000 SH       DEFINED                                 11000
D PROGRESSIVE CORP-OHIO-         COMMON STOCK     743315103    40013   275950 SH       DEFINED                                275950
D PROMUS HOTEL CORP (HOLDING CO) COMMON STOCK     74342P106    36270  1170000 SH       DEFINED                               1170000
D PROVANT INC                    COMMON STOCK     743724106      833    53500 SH       DEFINED                                 53500
D PROVIDIAN FINANCIAL CORP       COMMON STOCK     74406A102    39025   418500 SH       DEFINED                                418500
D PSINET INC                     COMMON STOCK     74437C101     4961   113400 SH       DEFINED                                113400
D PULITZER INC                   COMMON STOCK     745769109     5772   118866 SH       DEFINED                                118866
D QLOGIC CORP                    COMMON STOCK     747277101      528     4000 SH       DEFINED                                  4000
D QUANTA SERVICES INC            COMMON STOCK     74762E102      528    12000 SH       DEFINED                                 12000
D QUANTUM CORP                   COMMON STOCK     747906105    62255  2580500 SH       DEFINED                               2580500
D QUEENS COUNTY BANCORP INC      COMMON STOCK     748242104     3762   116212 SH       DEFINED                                116212
D RCN CORP                       COMMON STOCK     749361101      416    10000 SH       DEFINED                                 10000
D RF MICRO DEVICES INC           COMMON STOCK     749941100      672     9000 SH       DEFINED                                  9000
D RATIONAL SOFTWARE CORP NEW     COMMON STOCK     75409P202   123377  3745800 SH       DEFINED                               3745800
D RAYCHEM CORP                   COMMON STOCK     754603108    12950   350000 SH       DEFINED                                350000
D RAYTHEON CO-CL A               COMMON STOCK     755111309    59577   865000 SH       DEFINED                                865000
D RELIANCE BANCORP INC           COMMON STOCK     759451107     6287   227600 SH       DEFINED                                227600
D RELIASTAR FINANCIAL CORP       COMMON STOCK     75952U103     7000   160000 SH       DEFINED                                160000
D REPUBLIC SERVICES INC          COMMON STOCK     760759100   177804  7184000 SH       DEFINED                               7184000
D RESPIRONICS INC                COMMON STOCK     761230101     1891   125000 SH       DEFINED                                125000
D REX STORES CORP                COMMON STOCK     761624105      745    25000 SH       DEFINED                                 25000
D RITE AID CORP                  COMMON STOCK     767754104   164529  6681400 SH       DEFINED                               6681400
D ROCHESTER GAS & ELECTRIC CORP  COMMON STOCK     771367109     7169   269900 SH       DEFINED                                269900
D ROPER INDUSTRIES INC NEW       COMMON STOCK     776696106     5859   183100 SH       DEFINED                                183100
D ***ROYAL DUTCH PETROLEUM CO    COMMON STOCK     780257804    36198   600800 SH       DEFINED                                600800
D RUBIOS RESTAURANTS INC         COMMON STOCK     78116B102      417    27000 SH       DEFINED                                 27000
D RUDDICK CORP                   COMMON STOCK     781258108    21612  1080600 SH       DEFINED                               1080600
D SCI SYSTEMS INC                COMMON STOCK     783890106    64468  1360800 SH       DEFINED                               1360800
D SFX ENTERTAINMENT INC-CL A     COMMON STOCK     784178105    21952   343000 SH       DEFINED                                343000
D SLM HOLDING CORP               COMMON STOCK     78442A109   187222  4086700 SH       DEFINED                               4086700
D SOS STAFFING SERVICES INC      COMMON STOCK     78462X104     4276   814400 SH       DEFINED                                814400
D SAFEGUARD SCIENTIFICS INC      COMMON STOCK     786449108     7579   120300 SH       DEFINED                                120300
D SANMINA CORP                   COMMON STOCK     800907107    32846   432900 SH       DEFINED                                432900
D SARA LEE CORP                  COMMON STOCK     803111103    35855  1580400 SH       DEFINED                               1580400
D ***SCHLUMBERGER LTD            COMMON STOCK     806857108    23112   362900 SH       DEFINED                                362900
D SCHOOL SPECIALTY INC           COMMON STOCK     807863105      402    25000 SH       DEFINED                                 25000
D SCHULTZ SAV-O-STORES INC       COMMON STOCK     808196109     3552   222000 SH       DEFINED                                222000
D SEPRACOR INC                   COMMON STOCK     817315104    14609   179800 SH       DEFINED                                179800
D SIEBEL SYSTEMS INC             COMMON STOCK     826170102    23932   360900 SH       DEFINED                                360900
D SIERRA PACIFIC RESOURCES       COMMON STOCK     826425100    13499   371100 SH       DEFINED                                371100
D SIMPSON MANUFACTURING CO INC   COMMON STOCK     829073105    12996   273600 SH       DEFINED                                273600
D SMITH INTERNATIONAL INC-W/RTS  COMMON STOCK     832110100    24082   554400 SH       DEFINED                                554400
D SONIC AUTOMOTIVE INC-CL A      COMMON STOCK     83545G102      468    34000 SH       DEFINED                                 34000
D SPEEDWAY MOTORSPORTS INC       COMMON STOCK     847788106      354     9000 SH       DEFINED                                  9000
D STAAR SURGICAL CO NEW          COMMON STOCK     852312305     6674   503700 SH       DEFINED                                503700
D STAPLES INC                    COMMON STOCK     855030102    24125   779800 SH       DEFINED                                779800
D STARWOOD HOTELS & RESORTS      COMMON STOCK     85590A203     9707   317600 SH       DEFINED                                317600
D STATE STREET CORP              COMMON STOCK     857477103    13284   155600 SH       DEFINED                                155600
D STERLING BANCSHARES INC        COMMON STOCK     858907108     9719   726675 SH       DEFINED                                726675
D SUN MICROSYSTEMS INC           COMMON STOCK     866810104    57180   830200 SH       DEFINED                                830200
D SUNRISE ASSISTED LIVING INC    COMMON STOCK     86768K106      418    12000 SH       DEFINED                                 12000
D SWIFT ENERGY CO                COMMON STOCK     870738101     7075   661990 SH       DEFINED                                661990
D TJX COMPANIES INC NEW          COMMON STOCK     872540109    37017  1111200 SH       DEFINED                               1111200
D ***TLC THE LASER CENTER INC    FOREIGN COMMON S 872934104    10584   220500 SH       DEFINED                                220500
D TANDY CORP                     COMMON STOCK     875382103    31510   644700 SH       DEFINED                                644700
D ***TELEFONICA  S A             COMMON STOCK     879382208     1753    11917 SH       DEFINED                                 11917
D TELLABS INC                    COMMON STOCK     879664100    25106   371600 SH       DEFINED                                371600
D TENET HEALTHCARE CORP          COMMON STOCK     88033G100    57618  3104000 SH       DEFINED                               3104000
D TERADYNE INC                   COMMON STOCK     880770102   103729  1445700 SH       DEFINED                               1445700
D TEXACO INC                     COMMON STOCK     881694103   129172  2070900 SH       DEFINED                               2070900
D TEXAS INSTRUMENTS INC          COMMON STOCK     882508104   191218  1327900 SH       DEFINED                               1327900
D TEXAS REGIONAL BANCSHARES INC  COMMON STOCK     882673106     8166   300350 SH       DEFINED                                300350
D TEXAS UTILITIES CO             COMMON STOCK     882848104    65471  1580000 SH       DEFINED                               1580000
D 3COM CORP                      COMMON STOCK     885535104    32025  1200000 SH       DEFINED                               1200000
D TIME WARNER TELECOM INC        COMMON STOCK     887319101      667    23000 SH       DEFINED                                 23000
D TOSCO CORP NEW                 COMMON STOCK     891490302    70493  2717800 SH       DEFINED                               2717800
D TRAVELERS PROPERTY CASUALTY    COMMON STOCK     893939108    46872  1198000 SH       DEFINED                               1198000
D TRIGON HEALTHCARE INC-CL A     COMMON STOCK     89618L100    35127   965700 SH       DEFINED                                965700
D TRUE NORTH COMMUNICATIONS INC  COMMON STOCK     897844106     9818   330000 SH       DEFINED                                330000
D TUBOSCOPE INC (FORMERLY        COMMON STOCK     898600101     6760   493900 SH       DEFINED                                493900
D TWEETER HOME ENTMT GROUP INC   COMMON STOCK     901167106      589    15000 SH       DEFINED                                 15000
D ***TYCO INTERNATIONAL LTD      COMMON STOCK     902124106    11370   120000 SH       DEFINED                                120000
D USX-MARATHON GROUP             COMMON STOCK     902905827    49827  1530200 SH       DEFINED                               1530200
D UTI ENERGY CORP                COMMON STOCK     903387108     8086   488200 SH       DEFINED                                488200
D UNICOM CORP                    COMMON STOCK     904911104    55144  1430000 SH       DEFINED                               1430000
D UNION PACIFIC RESOURCES GROUP  COMMON STOCK     907834105    72238  4428400 SH       DEFINED                               4428400
D UNIPHASE CORP                  COMMON STOCK     909149106    22792   137300 SH       DEFINED                                137300
D UNISYS CORP                    COMMON STOCK     909214108    11681   300000 SH       DEFINED                                300000
D UNIT CORP                      COMMON STOCK     909218109     6953   855800 SH       DEFINED                                855800
D U.S. TREASURY BILLS            U.S. TREASURY BI 912795CP4    71846    72630 SH       DEFINED                                 72630
D UNITED STATIONERS INC          COMMON STOCK     913004107    29720  1350900 SH       DEFINED                               1350900
D UNIVERSAL HEALTH SERV.INC CL B COMMON STOCK     913903100    30780   644600 SH       DEFINED                                644600
D USINTERNETWORKING INC          COMMON STOCK     917311805      630    15000 SH       DEFINED                                 15000
D USWEB CORP                     COMMON STOCK     917327108     8633   389100 SH       DEFINED                                389100
D UTILICORP UNITED INC           COMMON STOCK     918005109     8506   349850 SH       DEFINED                                349850
D VALASSIS COMMUNICATIONS INC    COMMON STOCK     918866104    33364   910950 SH       DEFINED                                910950
D VERITAS SOFTWARE CORP          COMMON STOCK     923436109    19681   207300 SH       DEFINED                                207300
D VERISIGN INC                   COMMON STOCK     92343E102      690     8000 SH       DEFINED                                  8000
D VISTA INFORMATION SOLUTIONS    PREFERRED STOCK  928365204      486    42000 SH       DEFINED                                 42000
D VISUAL NETWORKS INC            COMMON STOCK     928444108      800    25000 SH       DEFINED                                 25000
D VITESSE SEMICONDUCTOR CORP     COMMON STOCK     928497106     9590   142200 SH       DEFINED                                142200
D WEBS INDEX FUND INC-MALAYSIA   COMMON STOCK     92923H871     1484   215820 SH       DEFINED                                215820
D WICOR INC                      COMMON STOCK     929253102     8929   319600 SH       DEFINED                                319600
D WPS RESOURCES CORP             COMMON STOCK     92931B106     2427    80900 SH       DEFINED                                 80900
D WAL-MART STORES INC            COMMON STOCK     931142103     8637   179000 SH       DEFINED                                179000
D WALLACE COMPUTER SERVICES INC  COMMON STOCK     932270101    29538  1181500 SH       DEFINED                               1181500
D WARNER-LAMBERT CO              COMMON STOCK     934488107     2765    40000 SH       DEFINED                                 40000
D WASHINGTON GAS LIGHT CO        COMMON STOCK     938837101     7462   287000 SH       DEFINED                                287000
D WASHINGTON MUTUAL INC          COMMON STOCK     939322103     5868   165000 SH       DEFINED                                165000
D WASTE MANAGEMENT INC DEL       COMMON STOCK     94106L109   130285  2423900 SH       DEFINED                               2423900
D WATERS CORP                    COMMON STOCK     941848103     9196   173100 SH       DEFINED                                173100
D WEBSTER FINANCIAL CORP         COMMON STOCK     947890109    31557  1163400 SH       DEFINED                               1163400
D WELLPOINT HEALTH NETWORKS INC  COMMON STOCK     94973H108   362526  4271296 SH       DEFINED                               4271296
D WELLS FARGO & CO-NEW           COMMON STOCK     949746101   107756  2520600 SH       DEFINED                               2520600
D WHOLE FOODS MARKET INC         COMMON STOCK     966837106    13160   273800 SH       DEFINED                                273800
D WILLIAMS COMPANIES INC         COMMON STOCK     969457100   100745  2367000 SH       DEFINED                               2367000
D WINSTAR COMMUNICATIONS INC     COMMON STOCK     975515107    15580   319600 SH       DEFINED                                319600
D WOODHEAD INDUSTRIES INC W/RTS  COMMON STOCK     979438108     2496   203750 SH       DEFINED                                203750
D XEROX CORP                     COMMON STOCK     984121103   222996  3775600 SH       DEFINED                               3775600
D ZEBRA TECHNOLOGIES CORP-CL A   COMMON STOCK     989207105    30965   805600 SH       DEFINED                                805600
D ***ACE LTD-ORD                 COMMON STOCK     G0070K103    74730  2645300 SH       DEFINED                               2645300
D ***ANNUITY & LIFE RE HOLDINGS  COMMON STOCK     G03910109    20423   910200 SH       DEFINED                                910200
D ***ESG RE LTD                  FOREIGN COMMON S G31215109     5700   380000 SH       DEFINED                                380000
D ***GEMSTAR INTERNATIONAL GROUP FOREIGN COMMON S G3788V106    10101   154800 SH       DEFINED                                154800
D GLOBAL CROSSING LTD            COMMON STOCK     G3921A100     1187    27837 SH       DEFINED                                 27837
D ***LORAL SPACE &               COMMON STOCK     G56462107    50020  2778900 SH       DEFINED                               2778900
D ***MIH LIMITED CL A            FOREIGN COMMON S G6116R101      800    30200 SH       DEFINED                                 30200
D ***RSL COMMUNICATIONS LTD-CL A COMMON STOCK     G7702U102    12554   650050 SH       DEFINED                                650050
D ***SCOTTISH ANNUNITY & LIFE    COMMON STOCK     G7885T104     9061   842900 SH       DEFINED                                842900
D ***XL CAPITAL LTD-CL A         COMMON STOCK     G98255105    55686   985590 SH       DEFINED                                985590
D ***GILAT COMMUNICATIONS LTD    COMMON STOCK     M50876107      400    25000 SH       DEFINED                                 25000
S REPORT SUMMARY                429 DATA RECORDS            15527114            1 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED


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