PRIMECAP MANAGEMENT CO/CA/
13F-HR, 2000-07-10
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<PAGE>

                                UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                           Washington, D.C. 20549

                                  Form 13F

                             Form 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: 06/30/2000
                                               -----------------------

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:         PRIMECAP Management Company
                 -------------------------------
   Address:      225 South Lake Avenue, Ste. 400
                 -------------------------------
                 Pasadena, CA 91101
                 -------------------------------

                 -------------------------------

Form 13F File Number: 28- 01469
                         ---------------------

    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:    Rachel Aguilera
         -------------------------------
Title:   Client Account Administrator
         -------------------------------
Phone:   626/304-9222
         -------------------------------

Signature, Place, and Date of Signing:

/s/ Rachel Aguilera                Pasadena, CA          7/6/00
-------------------------------    -----------------   -------------
[Signature]                        [City, State]       [Date]

Report Type (Check only one.):

    /X/ 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
        manager are reported in this report.)

<PAGE>

    / / 13F NOTICE. (Check here if no holdings reported are in this report,
        and all holdings are reported by other reporting manager(s).)

    / / 13F COMBINATION REPORT. (Check here if a portion of the holdings for
        this reporting manager are reported in this report and a portion are
        reported by other reporting manager(s).)

   List of Other Managers Reporting for this Manager:
   [If there are no entries in this list, omit this section.]

        Form 13F File Number        Name
        28-
           ---------------          ------------------------------------
[Repeat as necessary.]

<PAGE>

<TABLE>
<CAPTION>

                                                     FORM 13F INFORMATION TABLE

             COLUMN 1                COLUMN 2      COLUMN 3  COLUMN 4      COLUMN 5      COLUMN 6   COLUMN 7          COLUMN 8
--------------------------------- ---------------- --------- -------- ----------------- ---------- --------- -----------------------
                                                              VALUE   SHRS OR  SH/ PUT/  INVSTMNT   OTHER         VOTING AUTHORITY
          NAME OF ISSUER           TITLE OF CLASS    CUSIP   (x$1000) PRN AMT  PRN CALL  DSCRETN   MANAGERS   SOLE    SHARED    NONE
--------------------------------- ---------------- --------- -------- -------- --- ---- ---------- --------- -------- -------- -----
<S>                               <C>              <C>       <C>      <C>      <C> <C>  <C>        <C>       <C>      <C>      <C>

------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------

</TABLE>


[Repeat as necessary]

<PAGE>

                             Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                                    0
                                                           --------------------

Form 13F Information Table Entry Total:
                                                           --------------------

Form 13F Information Table Value Total:                   $   30,783,600
                                                           --------------------
                                                                    (thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

     No.       Form 13F File Number         Name
               28-                                "NONE"
     ------       -----------------         ---------------------------------
     [Repeat as necessary.]

<PAGE>

<TABLE>
<CAPTION>

                                                                                                                                  1

                                                   PRIMECAP Management Company
                                                             FORM 13F
                                                           JUNE 30, 2000

                                                                                                              Voting Authority
                                                                                                           ------------------------
                                                           Value     Shares/  Sh/  Put/  Invstmt Other
        Name of Issuer          Title of class    CUSIP   (x$1000)   Prn Amt  Prn  Call  Dscretn Managers   Sole   Shared     None
------------------------------  --------------  --------- --------   -------- ---  ----  ------- --------  ------  ------  --------
<S>                             <C>             <C>       <C>        <C>      <C>  <C>   <C>     <C>       <C>     <C>     <C>
A D C TELECOMMUNICATION         COM             000886101       839     10000 SH         Sole                10000
ABERCROMBIE & FITCH CO CL A     COM             002896207     16904   1387000 SH         Sole                50000          1337000
ADOBE SYS INC                   COM             00724F101   1638969  12607450 SH         Sole              1897450         10710000
ADVANCED FIBRE COMMNCT          COM             00754A105    108329   2390710 SH         Sole               510710          1880000
AGILENT TECHONOLOGIES INC       COM             008466101    158857   2153992 SH         Sole               402587          1751405
AIRBORNE FGHT CORP              COM             009266107     64388   3400000 SH         Sole                               3400000
ALASKA AIRGROUP INC.            COM             011659109     68898   2540000 SH         Sole                               2540000
ALBERTSONS INC.                 COM             013104104     44249   1330800 SH         Sole              1330800
ALCOA INC                       COM             013817101     26663    919400 SH         Sole               919400
ALEXANDER & BALDWIN             COM             014482103     18215    825600 SH         Sole               825600
ALZA CORP.                      COM             022615108     35475    600000 SH         Sole                                600000
AMERADA HESS CORP               COM             023551104     21557    349100 SH         Sole               349100
AMERICA WEST HOLDINGS CL B      COM             023657208     62934   3675000 SH         Sole                               3675000
AMERICAN AXLE & MFG.            COM             024061103     14359   1012100 SH         Sole                               1012100
AMGEN INC.                      COM             031162100     32807    467000 SH         Sole                                467000
AMPHENOL CORP                   COM             032095101     13238    200000 SH         Sole                                200000
AMR CORP                        COM             001765106    561862  21252450 SH         Sole              3606650         17645800
ANADARKO PETROLEUM              COM             032511107     77283   1567200 SH         Sole               767200           800000
ARVIN INDS INC                  COM             043339100     28641   1648400 SH         Sole               648400          1000000
ATLANTIC COAST AIR HLD          COM             048396105     50800   1600000 SH         Sole                               1600000
AUTOZONE INC.                   COM             053332102     19461    884600 SH         Sole               584600           300000
BANC ONE CORP                   COM             06423A103    119958   4516070 SH         Sole               966770          3549300
BERKLEY W R CORP                COM             084423102     17948    957200 SH         Sole               637200           320000
BERKSHIRE HATHAWAY INC CLB      COM             084670207      4018      2283 SH         Sole                 2283
BEST BUY CO INC                 COM             086516101     45161    714000 SH         Sole                13000           701000
BIOCHEM PHARMA INC              COM             09058T108    109909   4463300 SH         Sole              1858800          2604500
BIOGEN INC                      COM             090597105      6966    108000 SH         Sole                 1200           106800
BIOMET INC.                     COM             090613100    288673   7510200 SH         Sole               615200          6895000
BLOCK DRUG INC CL A             COM             093644102     12120    286443 SH         Sole                                286443
BOISE CASCADE CORP              COM             097383103     16265    628595 SH         Sole               628595
BOSTON SCIENTIFIC CORP          COM             101137107     61590   2807500 SH         Sole               375500          2432000
BURLINGTON RES INC              COM             122014103     47128   1232100 SH         Sole               757000           475100
CABLEVISION SYSTEMS             COM             12686C109     38119    561600 SH         Sole               311600           250000

<PAGE>

                                                                                                                                  2

<CAPTION>
                                                   PRIMECAP Management Company
                                                             FORM 13F
                                                           JUNE 30, 2000

                                                                                                              Voting Authority
                                                                                                           ------------------------
                                                           Value     Shares/  Sh/  Put/  Invstmt Other
        Name of Issuer          Title of class    CUSIP   (x$1000)   Prn Amt  Prn  Call  Dscretn Managers   Sole   Shared     None
------------------------------  --------------  --------- --------   -------- ---  ----  ------- --------  ------  ------  --------
<S>                             <C>             <C>       <C>        <C>      <C>  <C>   <C>     <C>       <C>     <C>     <C>
CANADIAN PAC LTD NEW            COM             135923100     22089    843500 SH         Sole               843500
CARNIVAL CORP                   COM             143658102      4475    229500 SH         Sole                29500           200000
CATERPILLAR INC DEL             COM             149123101    259158   7650410 SH         Sole              1880410          5770000
CHICAGO BRIDGE & IRON           COM             N19808109      4870    331600 SH         Sole               271600            60000
CHIRON CORP                     COM             170040109    124683   2624900 SH         Sole               645900          1979000
CHUBB CORP.                     COM             171232101     72226   1174400 SH         Sole               374400           800000
CIRC CITY STORES                COM             172737108      9691    292000 SH         Sole                14000           278000
CIT GROUP INC CL A              COM             125577106     92399   5686100 SH         Sole              1099400          4586700
CITRIX SYSTEMS INC.             COM             177376100    120077   6340700 SH         Sole               800700          5540000
CLEARNET COMMUNS. INC           COM             184902104     58885   2120790 SH         Sole               442290          1678500
CNF TRANSN INC                  COM             12612W104     29191   1283100 SH         Sole              1283100
COHERENT INC                    COM             192479103    202978   2420000 SH         Sole                               2420000
COMPAQ COMPUTER CORP            COM             204493100    415651  16260186 SH         Sole              1260186         15000000
CONCURRENT COMPUTER CORP        COM             206710204     58603   4465000 SH         Sole                               4465000
COSTCO WHOLESALE CORP.          COM             22160K105     82064   2486780 SH         Sole               486780          2000000
CUMMINS ENGINE INC              COM             231021106      9927    364300 SH         Sole               364300
CUNO INC                        COM             126583103     23125   1000000 SH         Sole                               1000000
DEERE & CO                      COM             244199105     90595   2448500 SH         Sole                               2448500
DELPHI AUTOMOTIVE SYS           COM             247126105     16640   1142678 SH         Sole              1142678
DELTA AIR LINES DEL             COM             247361108    907642  17950900 SH         Sole              3365100         14585800
DESCARTES SYS GRP INC           COM             249906108     99784   3245000 SH         Sole                               3245000
DILLARDS INC CL A               COM             254067101     15208   1241500 SH         Sole                               1241500
DIONEX CORP                     COM             254546104     27285   1020000 SH         Sole                               1020000
DISNEY WALT CO.                 COM             254687106     71275   1836400 SH         Sole               236400          1600000
DONALDSON INC                   COM             257651109     21330   1080000 SH         Sole                               1080000
DOW CHEMICAL COMPANY            COM             260543103     17306    573300 SH         Sole               573300
DRESS BARN INC                  COM             261570105     25798   1166000 SH         Sole                 6000          1160000
EDWARDS LIFE                    COM             28176E108      6660    360000 SH         Sole                                360000
ENGELHARD CORP                  COM             292845104    142636   8359600 SH         Sole              1959600          6400000
ENRON CORP                      COM             293561882      2838     44000 SH         Sole                 4000            40000
ERICSSON L M TEL CO ADR CLB     COM             294821400    932617  46630843 SH         Sole              9143863         37486981
ESCO ELECTRONICS CORP.          COM             269030102      3400    200000 SH         Sole                                200000
EVANS & SUTHERLAND COMP.        COM             299096107      5355    840000 SH         Sole                                840000

<PAGE>

                                                                                                                                  3

<CAPTION>
                                                   PRIMECAP Management Company
                                                             FORM 13F
                                                           JUNE 30, 2000

                                                                                                              Voting Authority
                                                                                                           ------------------------
                                                           Value     Shares/  Sh/  Put/  Invstmt Other
        Name of Issuer          Title of class    CUSIP   (x$1000)   Prn Amt  Prn  Call  Dscretn Managers   Sole   Shared     None
------------------------------  --------------  --------- --------   -------- ---  ----  ------- --------  ------  ------  --------
<S>                             <C>             <C>       <C>        <C>      <C>  <C>   <C>     <C>       <C>     <C>     <C>
F M C CORP COM NEW              COM             302491303     24128    416000 SH         Sole               416000
FEDEX CORP                      COM             31428X106    868805  22863300 SH         Sole              4637300         18226000
FLEETWOOD ENTERPRISES           COM             339099103     35527   2493100 SH         Sole              1255000          1238100
FORD MTR CO DEL                 COM             345370100       215      5000 SH         Sole                 5000
FOX ENTERTAINMENT GRP           COM             35138T107     51638   1700000 SH         Sole                               1700000
GAP INC DEL                     COM             364760108      3398    108750 SH         Sole                                108750
GC COS INC                      COM             36155Q109      4475    200000 SH         Sole                                200000
GENENTECH INC.                  COM             368710406     11890     69128 SH         Sole                11348            57780
GENERAL DYNAMICS CORP.          COM             369550108       523     10000 SH         Sole                10000
GENERAL MOTORS HUGHES           COM             370442832   1046427  11925090 SH         Sole              2001059          9924031
GENERAL MTRS CORP               COM             370442105    246655   4248089 SH         Sole              1615725          2632364
GLOBAL CROSSING                 COM             G3921A100     54114   2056602 SH         Sole               406602          1650000
GRANITE CONSTR INC              COM             387328107     51450   2100000 SH         Sole                               2100000
GUIDANT CORP                    COM             401698105    479586   9688612 SH         Sole               148348          9540264
HARCOURT GEN INC                COM             41163G101    336108   6181300 SH         Sole              1009100          5172200
HARMONIC LIGHTWAVES             COM             413160102      2475    100000 SH         Sole                                100000
HCC INSURANCE HOLDINGS          COM             404132102     26425   1400000 SH         Sole                               1400000
HEWLETT PACKARD CO              COM             428236103    641686   5138630 SH         Sole               738630          4400000
HORACE MANN EDUCATORS CORP NEW  COM             440327104     15675   1045000 SH         Sole               745000           300000
HOUGHTON MIFFLIN CO             COM             441560109     16378    350800 SH         Sole               250800           100000
ICOS CORP                       COM             449295104     70356   1599000 SH         Sole                               1599000
INPUT/OUTPUT INC                COM             457652105     44722   5300350 SH         Sole              2477350          2823000
INTEL CORP                      COM             458140100   1054634   7888800 SH         Sole              2138800          5750000
INTL PAPER CO                   COM             460146103     11919    399800 SH         Sole               399800
IONICS INC.                     COM             462218108     20978    685000 SH         Sole                                685000
JEFFERSON PILOT CORP.           COM             475070108     55015    974800 SH         Sole               174800           800000
JOHNSON & JOHNSON               COM             478160104    203750   2000000 SH         Sole                               2000000
KENNAMETAL INC                  COM             489170100     36191   1688200 SH         Sole               428200          1260000
KFORCE.COM INC.                 COM             775835101       780    112500 SH         Sole                                112500
LANDEC CORP                     COM             514766104      5519   1015000 SH         Sole                               1015000
LATTICE SEMICONDUCTOR           COM             518415104     63226    914660 SH         Sole               584660           330000
LEUCADIA NATL CORP              COM             527288104      8908    390500 SH         Sole               390500
LEXMARK INTL GRP INC CL A       COM             529771107    119819   1781700 SH         Sole               381700          1400000

<PAGE>

                                                                                                                                  4

<CAPTION>
                                                   PRIMECAP Management Company
                                                             FORM 13F
                                                           JUNE 30, 2000

                                                                                                              Voting Authority
                                                                                                           ------------------------
                                                           Value     Shares/  Sh/  Put/  Invstmt Other
        Name of Issuer          Title of class    CUSIP   (x$1000)   Prn Amt  Prn  Call  Dscretn Managers   Sole   Shared     None
------------------------------  --------------  --------- --------   -------- ---  ----  ------- --------  ------  ------  --------
<S>                             <C>             <C>       <C>        <C>      <C>  <C>   <C>     <C>       <C>     <C>     <C>
LIBERTY CORP S C                COM             530370105     21987    523500 SH         Sole               523500
LILLY ELI & CO                  COM             532457108    108787   1089232 SH         Sole               157592           931640
LINCOLN NATIONAL CORP.          COM             534187109     43549   1205500 SH         Sole               205500          1000000
LINDSAY MFG CO                  COM             535555106      3103    158100 SH         Sole                                158100
LOWES COS INC                   COM             548661107     67055   1633000 SH         Sole                35000          1598000
LSI LOGIC CORP                  COM             502161102    107952   1994500 SH         Sole               594500          1400000
LUCENT TECHNOLOGIES INC.        COM             549463107    177837   3001462 SH         Sole                35112          2966350
MACDERMID INC                   COM             554273102     39974   1701000 SH         Sole                               1701000
MANPOWER INC                    COM             56418H100    107018   3344300 SH         Sole              1389900          1954400
MATTEL INC                      COM             577081102     21196   1607300 SH         Sole               357300          1250000
MAXIM INTEGRATED PRODS          COM             57772K101     13588    200000 SH         Sole                                200000
MBIA, INC.                      COM             55262C100     78637   1631900 SH         Sole               231900          1400000
MCCLATCHY CO CL A               COM             579489105     37862   1143000 SH         Sole               143000          1000000
MEDTRONIC INC                   COM             585055106    206408   4143700 SH         Sole               678700          3465000
MENTOR CORP MINN                COM             587188103      2104     77400 SH         Sole                12200            65200
MERITOR AUTOMOTIVE              COM             59000G100      2200    200000 SH         Sole                                200000
METAWAVE COMMUNICATIONS CORP.   COM             591409107     27622   1035000 SH         Sole                               1035000
METRO-GOLDWYN MAYER             COM             591610100     13063    500000 SH         Sole                                500000
MICRON TECHNOLOGY INC           COM             595112103   2214617  25148240 SH         Sole              2206240         22942000
MICROSOFT CORP.                 COM             594918104    351776   4397200 SH         Sole               397200          4000000
MIDWEST EXPRESS HOLDINGS        COM             597911106     36172   1682400 SH         Sole               609400          1073000
MILLIPORE CORP                  COM             601073109    446013   5917260 SH         Sole              1107260          4810000
MINERALS TECHNOLOGIES INC.      COM             603158106     41400    900000 SH         Sole                                900000
MISSISSIPPI CHEM COM NEW        COM             605288208      2850    599900 SH         Sole               599900
MOLEX INC                       COM             608554101     11749    244140 SH         Sole                                244140
MOLEX INC CL A                  COM             608554200      8545    244140 SH         Sole                                244140
MOTOROLA, INC.                  COM             620076109    666886  22946630 SH         Sole              2851080         20095550
NEIMAN MARCUS B                 COM             640204301     40773   1469293 SH         Sole               254392          1214901
NEIMAN MARCUS GRP CLASS A       COM             640204202    120342   3986470 SH         Sole               845870          3140600
NEWS CORP LTD ADR               COM             652487802    169124   3560500 SH         Sole              1310500          2250000
NIKE INC CL B                   COM             654106103     19349    486000 SH         Sole                20000           466000
NOBLE AFFILIATES INC            COM             654894104    136886   3674800 SH         Sole               534800          3140000
NOKIA CORP SPONSORED ADR        COM             654902204     75464   1511160 SH         Sole               279160          1232000

<PAGE>

                                                                                                                                  5

<CAPTION>
                                                   PRIMECAP Management Company
                                                             FORM 13F
                                                           JUNE 30, 2000

                                                                                                              Voting Authority
                                                                                                           ------------------------
                                                           Value     Shares/  Sh/  Put/  Invstmt Other
        Name of Issuer          Title of class    CUSIP   (x$1000)   Prn Amt  Prn  Call  Dscretn Managers   Sole   Shared     None
------------------------------  --------------  --------- --------   -------- ---  ----  ------- --------  ------  ------  --------
<S>                             <C>             <C>       <C>        <C>      <C>  <C>   <C>     <C>       <C>     <C>     <C>
NORTEL NETWORK CORP. (HOLDING   COM             656568102    697725  10223080 SH         Sole               973880          9249200
NOVARTIS AG                     COM             66987v109    205776   5144400 SH         Sole              1132900          4011500
NOVOSTE CORP                    COM             67010C100      8540    140000 SH         Sole                                140000
OM GROUP INC                    COM             670872100     45602   1036400 SH         Sole                               1036400
OPTIMAL ROBOTICS                COM             68388R208     22258    580000 SH         Sole                                580000
OSTEOTECH INC.                  COM             688582105      3465    330000 SH         Sole                20000           310000
PALL CORP                       COM             696429307     13875    750000 SH         Sole                                750000
PE CORP.-CELERA GENOMICS        COM             69332S201    146402   1565800 SH         Sole               125800          1440000
PE CORP.-PE BIOSYSTEMS          COM             69332S102    370264   5620700 SH         Sole               940700          4680000
PHARMACIA CORP                  COM             71713U102   2123600  41085377 SH         Sole              6292496         34792881
PHELPS DODGE CORP.              COM             717265102      1500     40342 SH         Sole                40342
PINNACLE WEST CAP CORP          COM             723484101     10434    308000 SH         Sole               308000
PITNEY BOWES INC                COM             724479100    120436   3010900 SH         Sole               610900          2400000
PLANTRONICS INC NEW             COM             727493108    197274   1708000 SH         Sole                               1708000
POGO PRODUCING CO               COM             730448107     90690   4099000 SH         Sole               699000          3400000
POLO RALPH LAUREN CORP          COM             731572103     19950   1400000 SH         Sole                               1400000
POTASH CORP SASK INC            COM             73755L107    169078   3063700 SH         Sole               663700          2400000
POWERWAVE TECHN                 COM             739363109     37840    860000 SH         Sole                10000           850000
PROTEIN DESIGN LABS             COM             74369L103     32116    194700 SH         Sole                 1000           193700
QUESTAR CORP                    COM             748356102     13059    674000 SH         Sole               674000
RADIOSHACK                      COM             750438103    142125   3000000 SH         Sole                               3000000
RAMBUS INC DEL COM              COM             750917106    288400   2800000 SH         Sole                               2800000
RAYTHEON COMPANY A              COM             755111309     28102   1445750 SH         Sole              1445750
RAYTHEON COMPANY B              COM             755111408     26217   1361900 SH         Sole              1361900
RESEARCH IN MOTION              COM             760975102     42988    950000 SH         Sole                                950000
REX STORES CORP COM             COM             761624105     11656    500000 SH         Sole                                500000
ROBERT HALF INTL                COM             770323103    415570  14581400 SH         Sole              2581400         12000000
ROYAL CARIBBEAN                 COM             V7780T103      2220    120000 SH         Sole               120000
RYDER SYS INC                   COM             783549108     10959    578700 SH         Sole               578700
SABRE HOLDINGS CORP             COM             785905100    553557  19423067 SH         Sole              3051626         16371441
SCHLUMBERGER LTD                COM             806857108     43327    580600 SH         Sole               160100           420500
SEAGRAM LTD                     COM             811850106    222244   3831800 SH         Sole               731800          3100000
SELECTICA INC.                  COM             816288104      1752     25000 SH         Sole                                 25000

<PAGE>

                                                                                                                                  6

<CAPTION>
                                                   PRIMECAP Management Company
                                                             FORM 13F
                                                           JUNE 30, 2000

                                                                                                              Voting Authority
                                                                                                           ------------------------
                                                           Value     Shares/  Sh/  Put/  Invstmt Other
        Name of Issuer          Title of class    CUSIP   (x$1000)   Prn Amt  Prn  Call  Dscretn Managers   Sole   Shared     None
------------------------------  --------------  --------- --------   -------- ---  ----  ------- --------  ------  ------  --------
<S>                             <C>             <C>       <C>        <C>      <C>  <C>   <C>     <C>       <C>     <C>     <C>
SIGMA ALDRICH CORP              COM             826552101    126097   4311000 SH         Sole                11000          4300000
SILICON IMAGE                   COM             82705T102      4988    100000 SH         Sole                                100000
SKYLINE CORP                    COM             830830105      3068    142700 SH         Sole               142700
SONY CORP ADR NEW               COM             835699307    598705   6348100 SH         Sole               500700          5847400
SOUTHWEST AIRLS CO              COM             844741108    274246  14481612 SH         Sole              1423362         13058250
SPRINT FON GROUP                COM             852061100    240720   4720000 SH         Sole               420000          4300000
ST PAUL COS INC                 COM             792860108     53365   1563800 SH         Sole               463800          1100000
STRATTEC SEC CORP               COM             863111100     13117    403600 SH         Sole               183600           220000
SYMBOL TECHNOLOGIES             COM             871508107    186176   3447700 SH         Sole                               3447700
TARGET CORPORATION              COM             87612E106     21727    374600 SH         Sole                14600           360000
TEKTRONIX INC                   COM             879131100    431017   5824560 SH         Sole              1099560          4725000
TELLABS INC                     COM             879664100    136875   2000000 SH         Sole                               2000000
TEMPLE INLAND INC               COM             879868107     79099   1883300 SH         Sole               583300          1300000
TETRA TECH                      COM             88162G103     29280   1280000 SH         Sole                               1280000
TEXAS INSTRS INC                COM             882508104   1744161  25392700 SH         Sole              4726700         20666000
THOMAS & BETTS                  COM             884315102     40163   2100000 SH         Sole                               2100000
TIFFANY & CO.                   COM             886547108     16254    240800 SH         Sole                24400           216400
TJX COS INC NEW                 COM             872540109    124494   6639700 SH         Sole                48600          6591100
TOM HILFIGER COMPANY            COM             G8915Z102     74916   9988800 SH         Sole              3988800          6000000
TORCHMARK CORP                  COM             891027104     95560   3870800 SH         Sole              1270800          2600000
TOSCO CORP                      COM             891490302     28264    998300 SH         Sole               998300
TRANSATLANTIC HLDGS             COM             893521104     47109    562500 SH         Sole                                562500
UAL CORP COM PAR $0.01          COM             902549500    223988   3849420 SH         Sole               119420          3730000
UMB FINANCIAL CORP              COM             902788108      2166     66000 SH         Sole                                 66000
UNION PAC RES GRP               COM             907834105    260258  11829900 SH         Sole              3229900          8600000
UNION PACIFIC CORP.             COM             907818108    273700   7360000 SH         Sole              1220000          6140000
UNITED PARCEL SERVICE INC.      COM             911312106     23228    393695 SH         Sole                78425           315270
UNUMPROVIDENT COMPANIES         COM             915294106     38028   1895500 SH         Sole               395500          1500000
VARCO INTL INC                  COM             922122106     61361   2639192 SH         Sole              1616042          1023150
VULCAN MATERIALS CO.            COM             929160109     20259    474600 SH         Sole               474600
WASHINGTON MUTUAL, INC.         COM             939322103     43659   1512000 SH         Sole               752000           760000
WASHINGTON POST CO.             COM             939640108     10325     21600 SH         Sole                 4800            16800
WELLS FARGO & CO.               COM             949746101    125922   3249600 SH         Sole               249600          3000000

<PAGE>

                                                                                                                                  7

<CAPTION>
                                                   PRIMECAP Management Company
                                                             FORM 13F
                                                           JUNE 30, 2000

                                                                                                              Voting Authority
                                                                                                           ------------------------
                                                           Value     Shares/  Sh/  Put/  Invstmt Other
        Name of Issuer          Title of class    CUSIP   (x$1000)   Prn Amt  Prn  Call  Dscretn Managers   Sole   Shared     None
------------------------------  --------------  --------- --------   -------- ---  ----  ------- --------  ------  ------  --------
<S>                             <C>             <C>       <C>        <C>      <C>  <C>   <C>     <C>       <C>     <C>     <C>
WESTVACO CORP                   COM             961548104     23252    937100 SH         Sole               937100
WILLAMETTE INDS INC             COM             969133107      9608    352600 SH         Sole               352600
WORLDCOM INC.                   COM             98157D106    169632   3697700 SH         Sole               347700          3350000
XILINX INC                      COM             983919101    132100   1600000 SH         Sole                               1600000
YOUNG & RUBICAM, INC.           COM             987425105     22875    400000 SH         Sole                                400000
ZENITH NATL INS CORP            COM             989390109     10519    495000 SH         Sole               345000           150000
REPORT SUMMARY                 204 DATA RECORDS            30781109            0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>



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