<PAGE>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: June 30, 2000
-------------
Check here if Amendment ; Amendment Number
-----
This Amendment (Check only one): is a restatement.
adds new holdings entries.
Institutional Investment Manager Filing this Report
Name: Peregrine Capital Management Inc
Address: LaSalle Plaza
800 LaSalle Avenue, Suite 1850
Minneapolis, MN 55402-2018
Form 13F File Number: 28-1523
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: Robert B. Mersky or Ronald G. Hoffman
Title President Senior Vice President
Phone: (612) 343-7610 (612) 343-7635
Signature, Place, and Date of Signing:
/s/ Robert B. Mersky Minneapolis, MN July 11, 2000
------------------------------ ---------------- -------------
[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.)
13F NOTICE. (Check here if no holdings reported in this report, and all holdings
are reported by the other reporting manager(s).)
13F COMBINATION REPORT. (Check here if a portion of the holdings for this
reporting manager is reported in this report and a portion is reported by other
reporting manager(s).)
<PAGE>
List of Other Managers Reporting for this Manager:
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers None
Form 13F Information Table Entry Total: 274
---
Form 13F Information Table Value Total: $8,007,597
----------
(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.
None
<PAGE>
<TABLE>
<CAPTION>
Form 13F
Reporting Manager: Peregrine Capital Management, Inc.
6/30/00
Title of Value Shares or Shs/ Put/ Inv Other Voting Authority
Name of Issuer Class Cusip [$1,000] Prin Amount Prin Call Desc Mgrs Sole Shared None
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ACTEL COM 004934105 2,348 51,454.00 SH DEFINED 6,101.00 0.00 45,353.00
ACTION PERFORMANCE COM 004933107 1,085 149,600.00 SH DEFINED 17,146.00 0.00 132,454.00
ADAPTEC COM 00651F108 36,198 1,591,100.00 SH DEFINED 688,000.00 0.00 903,100.00
AETRIUM COM 00817R103 1,524 265,000.00 SH DEFINED 265,000.00 0.00 0.00
AGRIUM COM 008916108 894 103,607.00 SH DEFINED 11,707.00 0.00 91,900.00
AK STEEL COM 001547108 1,694 211,800.00 SH DEFINED 24,475.00 0.00 187,325.00
ALKERMES COM 01642T108 44,557 945,500.00 SH DEFINED 389,000.00 0.00 556,500.00
AMERICA ONLINE COM 02364J104 77,951 1,479,500.00 SH DEFINED 218,800.00 0.00 1,185,700.00
AMERICAN FINL HOLDINGS COM 026075101 17,140 1,079,700.00 SH DEFINED 459,400.00 0.00 620,300.00
AMERICAN INTL GROUP COM 026874107 227,679 1,937,696.00 SH DEFINED 292,415.00 0.00 1,543,451.00
AMERICAN ITALIAN PASTA COM 027070101 14,556 703,600.00 SH DEFINED 277,400.00 0.00 426,200.00
AMERISOURCE HEALTH COM 03071P102 20,510 661,600.00 SH DEFINED 264,500.00 0.00 397,100.00
AMES DEPARTMENT STORES COM 030789507 786 101,415.00 SH DEFINED 12,145.00 0.00 89,270.00
ANADIGICS COM 032515108 3,151 92,500.00 SH DEFINED 42,200.00 0.00 50,300.00
ANCHOR GAMING COM 033037102 2,373 49,500.00 SH DEFINED 5,740.00 0.00 43,760.00
ANTEC COM 03664P105 27,801 668,900.00 SH DEFINED 279,600.00 0.00 389,300.00
APPLIED SCIENCE COM 038236105 15,929 615,600.00 SH DEFINED 260,200.00 0.00 355,400.00
ARDEN REALTY INC COM 039793104 2,388 101,603.00 SH DEFINED 11,783.00 0.00 89,820.00
ARGOSY GAMING COM 040228108 2,422 168,480.00 SH DEFINED 19,514.00 0.00 148,966.00
ARROW ELECTRONICS COM 042735100 27,615 890,800.00 SH DEFINED 383,200.00 0.00 507,600.00
ARTESYN COM 043127109 1,363 49,009.00 SH DEFINED 5,612.00 0.00 43,397.00
ASPECT COMMUNICATIONS COM 04523Q102 22,730 578,200.00 SH DEFINED 248,300.00 0.00 329,900.00
ASTORIA FINANCIAL COM 046265104 2,411 93,630.00 SH DEFINED 10,630.00 0.00 83,000.00
ASYST COM 04648X107 29,798 870,000.00 SH DEFINED 360,100.00 0.00 509,900.00
ATLANTIC COAST AIRLINES COM 048396105 21,485 676,700.00 SH DEFINED 282,200.00 0.00 394,500.00
AUTODESK COM 052769106 34,805 1,003,400.00 SH DEFINED 416,400.00 0.00 587,000.00
AUTOMATIC DATA COM 053015103 73,643 1,374,900.00 SH DEFINED 184,300.00 0.00 1,125,800.00
AVANT! COM 053487104 14,362 766,600.00 SH DEFINED 320,100.00 0.00 446,500.00
AWARE COM 05453N100 37,843 740,200.00 SH DEFINED 306,400.00 0.00 433,800.00
BANK UNITED COM 065412108 2,848 80,925.00 SH DEFINED 9,386.00 0.00 71,539.00
BANKNORTH GROUP COM 06646R107 945 61,736.05 SH DEFINED 7,094.00 0.00 54,642.05
BARR LABORATORIES COM 068306109 13,538 302,100.00 SH DEFINED 27,150.00 0.00 274,950.00
BERKLEY W.R. COM 084423102 1,550 82,680.00 SH DEFINED 9,380.00 0.00 73,300.00
BEVERLY ENTERPRISES COM 087851309 2,152 765,050.00 SH DEFINED 87,550.00 0.00 677,500.00
BIOVAIL* COM 09067J109 51,124 922,200.00 SH DEFINED 391,300.00 0.00 530,900.00
BORDERS GROUP COM 099709107 35,159 2,259,200.00 SH DEFINED 961,100.00 0.00 1,298,100.00
BORG WARNER AUTOMOTIVE COM 099724106 1,920 54,650.00 SH DEFINED 6,410.00 0.00 48,240.00
BOYD GAMING COM 103304101 1,735 311,895.00 SH DEFINED 36,354.00 0.00 275,541.00
BRANDYWINE REALTY TRUST COM 105368203 2,709 141,655.00 SH DEFINED 16,241.00 0.00 125,414.00
CAPSTONE TURBINE COM 14067D102 901 20,000.00 SH DEFINED 0.00 0.00 20,000.00
CARDINAL HEALTH COM 14149Y108 64,388 870,110.00 SH DEFINED 121,200.00 0.00 707,310.00
CAREER EDUCATION COM 141665109 15,908 328,000.00 SH DEFINED 190,000.00 0.00 138,000.00
CAREMARK RX COM 141705103 49,701 7,295,600.00 SH DEFINED 2,961,800.00 0.00 4,333,800.00
CEC ENTERTAINMENT COM 125137109 12,813 500,000.00 SH DEFINED 287,700.00 0.00 212,300.00
CENTRAL VT PUB SVC COM 155771108 1,637 148,794.00 SH DEFINED 18,302.00 0.00 130,492.00
CENTURA BANKS COM 15640T100 1,823 53,725.00 SH DEFINED 6,231.00 0.00 47,494.00
CEPHALON COM 156708109 31,428 524,900.00 SH DEFINED 199,000.00 0.00 325,900.00
CHESAPEAKE ENERGY COM 165167107 3,540 456,790.00 SH DEFINED 52,790.00 0.00 404,000.00
CINTAS COM 172908105 70,372 1,918,140.00 SH DEFINED 322,300.00 0.00 1,507,140.00
CISCO SYS INC COM 17275R102 394,405 6,205,000.00 SH DEFINED 950,300.00 0.00 4,929,400.00
CLARENT COM 180461105 11,454 160,200.00 SH DEFINED 64,900.00 0.00 95,300.00
CLICK COMMERCE COM 18681D109 2,851 126,000.00 SH DEFINED 0.00 0.00 126,000.00
COCA COLA CO COM 191216100 65,891 1,147,180.00 SH DEFINED 160,500.00 0.00 931,280.00
COMMERCIAL FEDERAL COM 201647104 2,216 142,412.00 SH DEFINED 16,312.00 0.00 126,100.00
CONCORD COMM COM 206186108 5,331 133,700.00 SH DEFINED 46,200.00 0.00 87,500.00
CONCORD EFS COM 206197105 17,586 676,400.00 SH DEFINED 274,100.00 0.00 402,300.00
CONMED COM 207410101 2,239 86,517.00 SH DEFINED 9,789.00 0.00 76,728.00
CONSOLIDATED STORES COM 210149100 16,200 1,350,000.00 SH DEFINED 529,500.00 0.00 820,500.00
COOPER COMPANIES COM 216648402 21,630 594,638.00 SH DEFINED 218,793.00 0.00 375,845.00
COPART COM 217204106 22,965 1,435,300.00 SH DEFINED 593,400.00 0.00 841,900.00
COPPER MOUNTAIN COM 217510106 20,753 235,500.00 SH DEFINED 101,400.00 0.00 134,100.00
COR THERAPEUTICS COM 217753102 25,184 295,200.00 SH DEFINED 115,000.00 0.00 180,200.00
CORE LABS* COM N22717107 32,039 1,104,800.00 SH DEFINED 456,700.00 0.00 648,100.00
CORN PRODUCTS COM 219023108 2,374 89,600.00 SH DEFINED 10,164.00 0.00 79,436.00
CORSAIR COMM COM 220406102 14,950 520,000.00 SH DEFINED 215,600.00 0.00 304,400.00
COSTCO COM 22160K105 71,519 2,167,240.00 SH DEFINED 325,700.00 0.00 1,730,640.00
COVENANT TRANSPORT COM 22284P105 935 116,851.00 SH DEFINED 13,293.00 0.00 103,558.00
CROMPTON CORP COM 227116100 2,794 228,046.00 SH DEFINED 26,346.00 0.00 201,700.00
CTS COM 126501105 1,831 40,696.00 SH DEFINED 4,491.00 0.00 36,205.00
CUBIST PHARM. COM 229678107 40,222 816,700.00 SH DEFINED 333,400.00 0.00 483,300.00
CYMER COM 232572107 13,699 286,900.00 SH DEFINED 114,700.00 0.00 172,200.00
CYTEC INDUSTRIES COM 232820100 2,928 118,620.00 SH DEFINED 13,520.00 0.00 105,100.00
D.R. HORTON COM 23331A109 2,211 163,000.00 SH DEFINED 18,620.00 0.00 144,380.00
DAIN RAUSCHER COM 233856103 17,272 261,700.00 SH DEFINED 109,800.00 0.00 151,900.00
DAL-TILE COM 23426R108 4,443 538,500.00 SH DEFINED 228,400.00 0.00 310,100.00
DALLAS SEMICONDUCTOR COM 235204104 8,150 200,000.00 SH DEFINED 0.00 0.00 200,000.00
DELTEK SYSTEMS COM 24785A108 1,006 170,400.00 SH DEFINED 19,700.00 0.00 150,700.00
DEVELOPERS DIVERSIFIED COM 251591103 2,131 142,675.00 SH DEFINED 16,375.00 0.00 126,300.00
DEVON ENERGY COM 25179M103 38,297 681,600.00 SH DEFINED 287,600.00 0.00 394,000.00
DIACRIN COM 25243N103 3,445 437,500.00 SH DEFINED 207,200.00 0.00 230,300.00
DIAGNOSTIC PRODUCTS COM 252450101 1,344 42,000.00 SH DEFINED 4,725.00 0.00 37,275.00
DIGIMARC COM 253807101 5,604 145,550.00 SH DEFINED 74,800.00 0.00 70,750.00
DIGITAL MICROWAVE COM 253859102 24,682 647,400.00 SH DEFINED 292,700.00 0.00 354,700.00
DIRECT FOCUS COM 254931108 14,901 304,100.00 SH DEFINED 222,900.00 0.00 81,200.00
DOLLAR THRIFTY GROUP COM 256743105 3,844 208,495.00 SH DEFINED 24,261.00 0.00 184,234.00
DONALDSON LUFKIN JEN COM 257661108 1,286 30,300.00 SH DEFINED 30,300.00 0.00 0.00
DST SYSTEMS COM 233326107 53,909 708,160.00 SH DEFINED 130,600.00 0.00 545,160.00
DUPONT PHOTOMASKS COM 26613X101 2,052 29,963.00 SH DEFINED 3,417.00 0.00 26,546.00
E LOYALTY COM 290151109 13,903 1,090,400.00 SH DEFINED 440,000.00 0.00 650,400.00
EL PASO ELECTRIC COM 283677854 3,579 319,876.00 SH DEFINED 36,605.00 0.00 283,271.00
ELECTROGLAS COM 285324109 8,398 390,600.00 SH DEFINED 158,500.00 0.00 232,100.00
EMC CORP COM 268648102 177,510 2,307,200.00 SH DEFINED 307,300.00 0.00 1,895,500.00
ENERGEN COM 29265N108 2,017 92,456.00 SH DEFINED 10,589.00 0.00 81,867.00
EVEREST REINS HLDGS* COM G3223R108 23,821 724,600.00 SH DEFINED 331,700.00 0.00 392,900.00
EW BLANCH HOLDINGS COM 093210102 1,895 93,280.00 SH DEFINED 10,580.00 0.00 82,700.00
EXFO ELECTRO-OPTICAL* COM 302043104 878 20,000.00 SH DEFINED 4,500.00 0.00 15,500.00
FAIRCHILD SEMI COM 303726103 37,912 936,100.00 SH DEFINED 414,300.00 0.00 521,800.00
FARM FAMILY HOLDINGS INC COM 307901108 2,469 79,810.00 SH DEFINED 9,410.00 0.00 70,400.00
FASTENAL CO COM 311900104 27,516 543,520.00 SH DEFINED 101,500.00 0.00 417,120.00
FIBERMARK COM 315646109 2,307 186,442.00 SH DEFINED 21,997.00 0.00 164,445.00
FIRST DATA CORP COM 319963104 137,744 2,775,700.00 SH DEFINED 440,600.00 0.00 2,198,400.00
FIRST INDUSTRIAL COM 32054K103 2,650 89,840.00 SH DEFINED 10,420.00 0.00 79,420.00
FIRST REPUBLIC BANK COM 336158100 1,479 74,178.00 SH DEFINED 8,791.00 0.00 65,387.00
FIRSTFED FINANCIAL COM 337907109 2,233 158,070.00 SH DEFINED 18,117.00 0.00 139,953.00
FISERV COM 337738108 71,191 1,646,043.00 SH DEFINED 309,787.00 0.00 1,256,281.00
FOUNDATION HEALTH COM 350404109 2,093 161,000.00 SH DEFINED 18,502.00 0.00 142,498.00
FRANCHISE FINANCIAL COM 351807102 2,785 121,084.00 SH DEFINED 13,924.00 0.00 107,160.00
FRANKLIN RES INC COM 354613101 380 12,500.00 SH DEFINED 12,500.00 0.00 0.00
FRONTIER ARLINES COM 359065109 2,025 141,475.00 SH DEFINED 16,245.00 0.00 125,230.00
GASONICS COM 367278108 15,093 382,700.00 SH DEFINED 107,200.00 0.00 275,500.00
GEHL COM 368483103 891 62,500.00 SH DEFINED 7,325.00 0.00 55,175.00
GENERAL SEMI COM 370787103 19,516 1,323,100.00 SH DEFINED 516,700.00 0.00 806,400.00
GENZYME COM 372917104 52,388 881,400.00 SH DEFINED 373,100.00 0.00 508,300.00
GLENBOROUGH COM 37803P105 3,281 188,144.00 SH DEFINED 21,844.00 0.00 166,300.00
GOLDMAN SACHS COM 38141G104 227,204 2,394,775.00 SH DEFINED 338,300.00 0.00 1,946,875.00
GRIFFON COM 398433102 2,025 363,999.00 SH DEFINED 41,165.00 0.00 322,834.00
GSI LUMONICS* COM 36229U102 6,273 178,600.00 SH DEFINED 67,600.00 0.00 111,000.00
GUILFORD PHARM COM 401829106 13,952 926,300.00 SH DEFINED 358,100.00 0.00 568,200.00
HAEMONETICS COM 405024100 19,341 921,000.00 SH DEFINED 412,500.00 0.00 508,500.00
HARLEYSVILLE GROUP I COM 412824104 2,511 149,901.00 SH DEFINED 17,123.00 0.00 132,778.00
HARMAN INT'L COM 413086109 3,115 51,072.00 SH DEFINED 5,822.00 0.00 45,250.00
HARRIS COM 413875105 36,945 1,128,100.00 SH DEFINED 471,800.00 0.00 656,300.00
HB FULLER COM 359694106 1,253 27,500.00 SH DEFINED 3,152.00 0.00 24,348.00
HCC INSURANCE COM 404132102 3,220 170,599.00 SH DEFINED 20,099.00 0.00 150,500.00
HEALTH MGMT ASSOC. COM 421933102 42,393 3,245,400.00 SH DEFINED 1,382,900.00 0.00 1,862,500.00
HEALTHCARE REALTY TRUST COM 421946104 2,334 136,772.00 SH DEFINED 15,862.00 0.00 120,910.00
HENRY SCHEIN COM 806407102 2,471 143,275.00 SH DEFINED 16,321.00 0.00 126,954.00
HIGHWOODS PROPERTIES COM 431284108 2,575 107,281.00 SH DEFINED 12,391.00 0.00 94,890.00
HOME DEPOT INC COM 437076102 207,583 4,156,862.00 SH DEFINED 594,360.00 0.00 3,340,852.00
HOUGHTON MIFFLIN COM 441560109 36,827 788,800.00 SH DEFINED 333,200.00 0.00 455,600.00
IMATION COM 45245A107 1,608 54,751.00 SH DEFINED 6,301.00 0.00 48,450.00
IMR GLOBAL COM 45321W106 11,238 860,300.00 SH DEFINED 335,800.00 0.00 524,500.00
IMS HEALTH COM 449934108 90,836 5,046,460.00 SH DEFINED 796,200.00 0.00 4,008,460.00
IN FOCUS CORP COM 45665B106 31,299 972,400.00 SH DEFINED 398,700.00 0.00 573,700.00
INFORMIX COM 456779107 18,863 2,536,200.00 SH DEFINED 1,114,850.00 0.00 1,421,350.00
INGRAM MICRO COM 457153104 32,176 1,845,200.00 SH DEFINED 827,200.00 0.00 1,018,000.00
INSIGHT COMMUNICATIONS COM 45768V108 3,934 251,800.00 SH DEFINED 192,200.00 0.00 59,600.00
INTEGRATED CIRCUIT SYSTEMS COM 45811K208 7,535 440,000.00 SH DEFINED 271,600.00 0.00 168,400.00
INTEGRATED DEVICE COM 458118106 35,458 592,200.00 SH DEFINED 253,300.00 0.00 338,900.00
INTEGRATED SILICON SOLUTIONS COM 45812P107 17,852 469,800.00 SH DEFINED 212,100.00 0.00 257,700.00
INTEL COM 458140100 473,644 3,542,920.00 SH DEFINED 522,920.00 0.00 2,841,000.00
INTELLIGENT POLYMERS LTD* COM G48029105 1,331 36,600.00 SH DEFINED 1,600.00 0.00 35,000.00
INTERMUNE PHARMACEUTICALS COM 45885B100 5,102 123,500.00 SH DEFINED 0.00 0.00 123,500.00
INTERWEST BANK COM 460931108 1,047 74,762.00 SH DEFINED 8,727.00 0.00 66,035.00
ISLE OF CAPRI COM 464592104 2,610 192,430.00 SH DEFINED 22,007.00 0.00 170,423.00
ITC DELTACOM COM 45031T104 28,105 1,259,600.00 SH DEFINED 481,500.00 0.00 778,100.00
IVAX COM 465823102 24,153 582,000.00 SH DEFINED 247,700.00 0.00 334,300.00
JACK IN THE BOX COM 466367109 29,008 1,178,000.00 SH DEFINED 510,800.00 0.00 667,200.00
JDS UNIPHASE COM 46612J101 42,795 357,000.00 SH DEFINED 51,800.00 0.00 287,400.00
KING PHARMACEUTICALS COM 495582108 25,013 570,100.00 SH DEFINED 213,900.00 0.00 356,200.00
KULICKE & SOFFA COM 501242101 26,968 454,200.00 SH DEFINED 195,900.00 0.00 258,300.00
L.M. ERICSSON COM 294821400 167,372 8,368,600.00 SH DEFINED 1,073,600.00 0.00 6,895,200.00
LENNAR COM 526057104 2,516 124,230.00 SH DEFINED 14,130.00 0.00 110,100.00
LINCARE COM 532791100 24,229 983,900.00 SH DEFINED 425,800.00 0.00 558,100.00
LINENS 'N THINGS COM 535679104 18,646 687,400.00 SH DEFINED 287,200.00 0.00 400,200.00
LOUISIANA-PACIFIC COM 546347105 20,810 1,913,600.00 SH DEFINED 824,800.00 0.00 1,088,800.00
LTX CORP COM 502392103 14,450 413,600.00 SH DEFINED 171,300.00 0.00 242,300.00
LUMINEX COM 55027E102 2,435 58,500.00 SH DEFINED 58,500.00 0.00 0.00
MACROVISION COM 555904101 2,659 41,600.00 SH DEFINED 36,700.00 0.00 4,900.00
MAIL WELL COM 560321200 2,592 300,543.00 SH DEFINED 34,503.00 0.00 266,040.00
MASTEC COM 576323109 16,571 433,950.00 SH DEFINED 178,800.00 0.00 255,150.00
MATTSON TECH COM 577223100 6,770 208,300.00 SH DEFINED 44,300.00 0.00 164,000.00
MCSI INC COM 593261100 9,729 376,000.00 SH DEFINED 199,900.00 0.00 176,100.00
MDC HOLDINGS COM 552676108 1,707 91,640.00 SH DEFINED 10,686.00 0.00 80,954.00
MEDTRONIC INC COM 585055106 230,265 4,622,625.00 SH DEFINED 689,500.00 0.00 3,693,425.00
MERCK & CO INC COM 589331107 107,655 1,404,960.00 SH DEFINED 193,960.00 0.00 1,144,100.00
MICHAELS STORES COM 594087108 23,163 505,600.00 SH DEFINED 191,000.00 0.00 314,600.00
MICROSOFT CORP COM 594918104 280,225 3,502,810.00 SH DEFINED 548,950.00 0.00 2,770,360.00
MODIS PROF. SERVICES COM 607830106 10,027 1,315,000.00 SH DEFINED 547,400.00 0.00 767,600.00
MONY GROUP COM 615337102 3,367 99,571.00 SH DEFINED 11,311.00 0.00 88,260.00
MTI TECHNOLOGY COM 553903105 1,649 206,100.00 SH DEFINED 24,025.00 0.00 182,075.00
MYLAN COM 628530107 7,997 438,200.00 SH DEFINED 171,800.00 0.00 266,400.00
NCO GROUP COM 628858102 2,821 121,990.00 SH DEFINED 13,836.00 0.00 108,154.00
NEUROCRINE BIOSCIENCES COM 64125C109 19,851 558,200.00 SH DEFINED 226,700.00 0.00 331,500.00
NEWHALL LD & FARMING COM 651426108 9,869 372,400.00 SH DEFINED 102,200.00 0.00 270,200.00
NEWPORT NEWS COM 652228107 2,643 71,930.00 SH DEFINED 8,322.00 0.00 63,608.00
NOKIA COM 654902204 205,328 4,111,700.00 SH DEFINED 601,200.00 0.00 3,306,500.00
NORTEK INC COM 656559101 2,124 107,537.00 SH DEFINED 12,399.00 0.00 95,138.00
NOVA CORP COM 669784100 36,537 1,307,800.00 SH DEFINED 514,300.00 0.00 793,500.00
OFFICE MAX COM 67622M108 2,042 408,405.00 SH DEFINED 47,445.00 0.00 360,960.00
OGE ENERGY COM 670837103 2,057 111,200.00 SH DEFINED 12,813.00 0.00 98,387.00
OLD REPUBLIC INT'L COM 680223104 2,584 156,635.00 SH DEFINED 18,010.00 0.00 138,625.00
OPTIMAL ROBOTICS* COM 68388R208 6,884 179,400.00 SH DEFINED 0.00 0.00 179,400.00
ORACLE COM 68389X105 123,698 1,471,500.00 SH DEFINED 216,800.00 0.00 1,180,500.00
ORBOTECH* COM M75253100 27,454 295,600.00 SH DEFINED 119,000.00 0.00 176,600.00
ORCHID BIOSCIENCES COM 68571P100 4,450 117,200.00 SH DEFINED 0.00 0.00 117,200.00
ORTHODONTIC CTRS COM 68750P103 13,233 584,900.00 SH DEFINED 191,200.00 0.00 393,700.00
OSHKOSH TRUCK COM 688239201 21,225 593,700.00 SH DEFINED 243,600.00 0.00 350,100.00
OUTBACK STEAKHOUSE COM 689899102 26,574 908,500.00 SH DEFINED 378,700.00 0.00 529,800.00
PACIFIC SUNWEAR COM 694873100 11,813 630,000.00 SH DEFINED 262,500.00 0.00 367,500.00
PACKAGING CORP COM 695156109 17,428 1,721,300.00 SH DEFINED 716,900.00 0.00 1,004,400.00
PARADYNE NETWORKS COM 69911G107 8,987 276,000.00 SH DEFINED 119,500.00 0.00 156,500.00
PARK ELECTROCHEMICAL CORP COM 700416209 1,710 47,420.00 SH DEFINED 5,498.00 0.00 41,922.00
PAYCHEX INC COM 704326107 158,058 3,763,277.00 SH DEFINED 625,116.50 0.00 2,963,510.50
PENTAIR COM 709631105 30,026 845,800.00 SH DEFINED 356,000.00 0.00 489,800.00
PEREGRINE SYSTEMS COM 71366Q101 30,712 885,400.00 SH DEFINED 383,600.00 0.00 501,800.00
PERFORM. FOOD GROUP COM 713755106 1,974 61,685.00 SH DEFINED 7,109.00 0.00 54,576.00
PFF BANCORP COM 69331W104 1,600 87,668.00 SH DEFINED 10,068.00 0.00 77,600.00
PFIZER INC COM 717081103 290,130 6,044,370.00 SH DEFINED 844,250.00 0.00 4,901,270.00
PHILLIPS VAN HEUSEN COM 718592108 2,521 265,343.00 SH DEFINED 31,045.00 0.00 234,298.00
PHOTRONICS COM 719405102 19,477 686,400.00 SH DEFINED 274,700.00 0.00 411,700.00
PLX TECHNOLOGY COM 693417107 16,119 388,400.00 SH DEFINED 155,100.00 0.00 233,300.00
POWER INTEGRATIONS COM 739276103 22,340 948,100.00 SH DEFINED 406,900.00 0.00 541,200.00
PRECISION DRILLING* COM 74022D100 46,327 1,199,400.00 SH DEFINED 483,000.00 0.00 716,400.00
PRENTISS PROPERTIES COM 740706106 2,813 117,205.00 SH DEFINED 13,435.00 0.00 103,770.00
PRIDE INTERNATIONAL COM 741932107 995 40,185.00 SH DEFINED 4,717.00 0.00 35,468.00
PROFESSIONAL DETAILING COM 74312N107 10,331 303,300.00 SH DEFINED 136,800.00 0.00 166,500.00
RADIAN GROUP COM 750236101 35,490 685,800.00 SH DEFINED 260,900.00 0.00 424,900.00
REHABCARE GROUP COM 759148109 2,538 93,126.00 SH DEFINED 10,707.00 0.00 82,419.00
RENAL CARE GROUP COM 759930100 29,376 1,201,300.00 SH DEFINED 515,500.00 0.00 685,800.00
RGS ENERGY GROUP INC COM 74956K104 1,842 82,765.00 SH DEFINED 9,465.00 0.00 73,300.00
RHYTHMS NET CONNECTIONS COM 762430205 8,752 696,700.00 SH DEFINED 251,800.00 0.00 444,900.00
ROSLYN BANCORP COM 778162107 34,175 2,057,600.00 SH DEFINED 853,300.00 0.00 1,204,300.00
RUBY TUESDAY COM 781182100 29,024 2,310,400.00 SH DEFINED 965,100.00 0.00 1,345,300.00
RUDDICK CORP COM 781258108 2,052 173,700.00 SH DEFINED 19,997.00 0.00 153,703.00
SANTA FE INT'L* COM G7805C108 39,955 1,143,600.00 SH DEFINED 524,600.00 0.00 619,000.00
SAWTEK COM 805468105 25,535 443,600.00 SH DEFINED 193,700.00 0.00 249,900.00
SCG HOLDING COM 783884109 28,615 1,308,100.00 SH DEFINED 523,700.00 0.00 784,400.00
SCHLUMBERGER LTD COM 806857108 30,008 402,120.00 SH DEFINED 47,100.00 0.00 337,620.00
SCHWAB CHARLES CP NE COM 808513105 272,941 8,117,200.00 SH DEFINED 1,374,725.00 0.00 6,310,925.00
SCICLONE PHARM COM 80862K104 3,914 302,500.00 SH DEFINED 218,900.00 0.00 83,600.00
SEA CONTAINERS* COM 811371707 2,176 103,000.00 SH DEFINED 11,864.00 0.00 91,136.00
SEACOR SMIT COM 811904101 1,529 39,529.50 SH DEFINED 4,629.50 0.00 34,900.00
SEMX COM 816854103 335 48,710.00 SH DEFINED 5,759.00 0.00 42,951.00
SENSORMATIC ELECTRONICS COM 817265101 15,019 949,800.00 SH DEFINED 331,800.00 0.00 618,000.00
SKYWEST COM 830879102 24,294 655,500.00 SH DEFINED 280,800.00 0.00 374,700.00
SOLECTRON COM 834182107 245,666 5,866,650.00 SH DEFINED 946,700.00 0.00 4,624,950.00
SONIC CORP COM 835451105 12,617 429,500.00 SH DEFINED 178,600.00 0.00 250,900.00
SOUTHDOWN COM 841297104 2,656 45,995.00 SH DEFINED 5,245.00 0.00 40,750.00
SOUTHWEST SECURITIES COM 845224104 1,248 33,510.00 SH DEFINED 3,660.00 0.00 29,850.00
SPECTRA SITE COM 84760T100 23,557 830,200.00 SH DEFINED 277,700.00 0.00 552,500.00
SPINNAKER EXPLORATION COM 84855W109 6,701 261,500.00 SH DEFINED 119,700.00 0.00 141,800.00
STANDARD PACIFIC COM 85375C101 1,909 190,940.00 SH DEFINED 21,940.00 0.00 169,000.00
STAPLES COM 855030102 73,085 4,753,495.00 SH DEFINED 754,800.00 0.00 3,770,895.00
STATE STREET COM 857477103 66,261 624,740.00 SH DEFINED 90,700.00 0.00 503,240.00
STONERIDGE COM 86183P102 1,245 142,256.00 SH DEFINED 16,456.00 0.00 125,800.00
STORAGE USA COM 861907103 2,405 81,533.00 SH DEFINED 9,287.00 0.00 72,246.00
SUNGARD DATA SYS INC COM 867363103 29,238 943,160.00 SH DEFINED 186,200.00 0.00 715,960.00
SUPERVALU INC COM 868536103 2,567 134,649.00 SH DEFINED 15,379.00 0.00 119,270.00
SYBRON COM 87114F106 22,681 1,144,800.00 SH DEFINED 498,500.00 0.00 646,300.00
T. ROWE PRICE COM 741477103 113,461 2,669,680.00 SH DEFINED 442,200.00 0.00 2,100,880.00
T/R SYSTEMS COM 87263U102 956 150,000.00 SH DEFINED 0.00 0.00 150,000.00
TCF FINANCIAL COM 872275102 22,872 890,400.00 SH DEFINED 349,600.00 0.00 540,800.00
TECH DATA COM 878237106 28,337 650,500.00 SH DEFINED 255,100.00 0.00 395,400.00
TECHNITROL COM 878555101 3,240 33,445.00 SH DEFINED 3,823.00 0.00 29,622.00
TEKELEC COM 879101103 17,921 371,900.00 SH DEFINED 148,900.00 0.00 223,000.00
TEREX COM 880779103 3,022 213,916.00 SH DEFINED 24,636.00 0.00 189,280.00
TESORO PETROLEUM COM 881609101 2,370 234,041.00 SH DEFINED 26,841.00 0.00 207,200.00
TEVA PHARMACEU* COM 881624209 48,269 870,700.00 SH DEFINED 355,500.00 0.00 515,200.00
TEXAS INDUSTRIES COM 882491103 2,591 89,725.00 SH DEFINED 10,125.00 0.00 79,600.00
THE TOPPS CO COM 890786106 2,455 213,500.00 SH DEFINED 24,559.00 0.00 188,941.00
THREE FIVE SYSTEMS COM 88554L108 10,411 176,450.00 SH DEFINED 73,550.00 0.00 102,900.00
TIDEWATER COM 886423102 31,970 888,065.00 SH DEFINED 381,065.00 0.00 507,000.00
TOWER AUTOMOTIVE COM 891707101 13,492 1,079,395.00 SH DEFINED 331,185.00 0.00 748,210.00
TRACTOR SUPPLY CO COM 892356106 1,885 113,831.00 SH DEFINED 13,431.00 0.00 100,400.00
TRIANGLE PHARM. COM 89589H104 7,303 805,800.00 SH DEFINED 232,100.00 0.00 573,700.00
TROPICAL SPORTSWEAR INT'L COM 89708P102 2,239 127,920.00 SH DEFINED 14,587.00 0.00 113,333.00
TWINLAB COM 901774109 3,715 582,700.00 SH DEFINED 326,200.00 0.00 256,500.00
UGI COM 902681105 2,809 137,020.00 SH DEFINED 15,697.00 0.00 121,323.00
UIL HOLDINGS CORP COM 902748102 2,231 51,000.00 SH DEFINED 5,821.00 0.00 45,179.00
UNION BANCAL COM 908906100 10,033 540,500.00 SH DEFINED 212,500.00 0.00 328,000.00
UNITED GLOBAL COM COM 913247508 23,095 494,000.00 SH DEFINED 215,300.00 0.00 278,700.00
UNITED THERAPEUTICS COM 91307C102 3,457 31,900.00 SH DEFINED 31,900.00 0.00 0.00
VALERO ENERGY COM 91913Y100 40,345 1,270,700.00 SH DEFINED 538,700.00 0.00 732,000.00
VANS COM 921930103 7,351 502,600.00 SH DEFINED 371,000.00 0.00 131,600.00
VARIAN MEDICAL SYSTEMS COM 92220P105 23,780 607,800.00 SH DEFINED 293,600.00 0.00 314,200.00
VARIAN SEMI COM 922207105 11,256 179,200.00 SH DEFINED 77,500.00 0.00 101,700.00
VINTAGE PETROLEUM COM 927460105 31,466 1,394,600.00 SH DEFINED 546,900.00 0.00 847,700.00
VIRGINIA CAPITAL COM 927758102 4,436 290,900.00 SH DEFINED 140,100.00 0.00 150,800.00
WATCHGUARD TECH COM 941105108 12,526 228,000.00 SH DEFINED 96,300.00 0.00 131,700.00
WEBSTER FINL CORP CO COM 947890109 2,057 92,729.00 SH DEFINED 10,594.00 0.00 82,135.00
WHOLE FOODS MARKET COM 966837106 47,943 1,160,500.00 SH DEFINED 491,600.00 0.00 668,900.00
WPS RESOURCES CORP COM 92931B106 3,122 103,862.00 SH DEFINED 11,970.00 0.00 91,892.00
XIRCOM COM 983922105 1,852 38,982.00 SH DEFINED 4,371.00 0.00 34,611.00
Total ( 274 items ) 8,007,597 - 0.00 0.00 0.00
</TABLE>