MORGAN STANLEY DEAN WITTER CONVERTIBLE SECURITIES TRUST
NSAR-B, EX-99, 2000-11-29
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        EXHIBIT 77(O) MORGAN STANLEY DEAN WITTER CONVERTIBLE SECURITIES TRUST
        10f-3 transactions for the period April 1, 2000 - September 30, 2000

<S>                 <C>        <C>     <C>        <C>      <C>           <C>         <C>

                                                               TOTAL
                                                               ISSUED/
                         DATE       PRICE   SHARES     % of    PRINCIPAL         PURCHASED
SECURITY                 PURCHASED  SHARE   PURCHASED  Assets  AMOUNT            BY FUND   BROKER(S)

Active Power Inc.        08/07/00 $ 17.00    4,000    0.035% $  136,000,000.00   0.050%    Goldman Sachs
Avon Products            07/07/00 $ 47.57    6,000    0.939% $  840,938,000.00   0.713%    SSB, BOA, D, JPM, Chase
Crown Castle             07/27/00 $ 50.00   30,000    0.494% $  350,000,000.00   0.373%    GS, CSFB, Legg
Dupont Photomasks        07/12/00 $100.00    1,000    0.329% $  100,000,000.00   1.000%    CSFB
I3 Mobile Inc.           04/06/00 $ 16.00   10,000    0.054% $   81,600,000.00   0.196%    Deutsche Bank
International Rectifier  07/14/00 $100.00    2,000    0.658% $  450,000,000.00   0.444%    BOA
Metlife                  04/04/00 $ 50.00   80,000    1.331% $1,006,250,000.00   0.795%    GS, CSFB, DLJ, LEH
Quanta Sevices           07/05/00 $100.00    2,000    0.658% $  172,500,000.00   1.159%    BOA, BS, FU
Southern Energy Inc.     09/26/00 $ 22.00   15,400    0.086% $1,276,000,000.00   0.220%    William Capital Growth
Southern Energy Inc.     09/26/00 $ 50.00   10,000    0.165% $  300,000,000.00   0.167%    GS, UBS, ML, DLJ, ABN



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