PRICE T ROWE ASSOCIATES INC /MD/
13F-HR, 1999-05-17
SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES
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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:  March 31, 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:        T. Rowe Price Associates, Inc.
Address:     100 East Pratt Street
             Baltimore, Maryland  21202


Form 13F File Number:  28-115
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:     Henry H. Hopkins
Title:    Managing Director
Phone:    410-345-6603

Signature, Place, and Date of Signing:

      /S/ Henry H. Hopkins        Baltimore, Maryland      May 14, 1999
              [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 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:
      NONE


                                  Form 13F SUMMARY PAGE 

Report Summary: 
                                     
Number of Other Included Managers: 0 
                                                                       
Form 13F Information Table Entry Total: 1789                           
                                                     
Form 13F Information Table Value Total:     70377856 
                                                                                
Information for which we are requesting confidential treatment has been omitted 
from the public 13F report and filed separately with the Commission. 
List of Other Included Managers: NONE 
<PAGE> 
<TABLE> 
<CAPTION> 
                                                              FORM 13F INFORMATION TABLE                                           
  

                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT OTH      VOTING AUTHORITY      
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (x$1000) PRN AMT  PRN CALL DSCRETN MGR   SOLE    SHARED    NONE   
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- --- -------- -------- -------- 
<S>                            <S>              <S>       <C>      <C>               <C>     <C> <C>                        
AAR CORP                       COMM STK         000361105     2981   167360 SH       SOLE           32050        0   135310 
ABR INFROMATION SERVICES       COMM STK         00077R108     1581    89700 SH       SOLE           24700        0    65000 
ADC TELECOMMUNICATIONS         COMM STK         000886101     1879    39400 SH       SOLE           30600        0     8800 
AFLAC INC                      COMM STK         001055102     2838    52124 SH       SOLE           27360        0    24764 
AES CORP.                      COMM STK         00130H105     6234   167361 SH       SOLE           86510        0    80851 
AK STEEL HOLDING CORP          COMM STK         001547108      246    10900 SH       SOLE           10100        0      800 
AMB PROPERTY CORP              COMM STK         00163T109      537    25900 SH       SOLE            1300        0    24600 
AMR CORPORATION                COMM STK         001765106    10043   171487 SH       SOLE           62490        0   108997 
AT&T CORP.                     COMM STK         001957109   290403  3638562 SH       SOLE         1003872        0  2634691 
AT&T CORP.                     COMM STK         001957208    97946  1861200 SH       SOLE           44200        0  1817000 
APP FINANCE VI MAURITIUS       CONV BND         00202NAA3     1650 10000000 PRN      SOLE               0        0 10000000 
AVT CORPORATION                COMM STK         002420107      855    35900 SH       SOLE            8100        0    27800 
AARON RENTS INC                COMM STK         002535201    16300  1043200 SH       SOLE          178200        0   865000 
AARON RENTS INC                COMM STK         002535300     1338   115100 SH       SOLE           59600        0    55500 
ABBOTT LABORATORIES            COMM STK         002824100   190226  4063572 SH       SOLE          867375        0  3196197 
ABERCROMBIE & FITCH COMPANY    COMM STK         002896207      470     5108 SH       SOLE            4000        0     1108 
ABGENIX INC                    COMM STK         00339B107    10270   677600 SH       SOLE           23200        0   654400 
ACETO CORP                     COMM STK         004446100     7933   666250 SH       SOLE           14850        0   651400 
A C NIELSON CORP               COMM STK         004833109     4047   149200 SH       SOLE           52100        0    97100 
ACTUATE SOFTWARE CORP          COMM STK         00508B102     2789    84525 SH       SOLE           61525        0    23000 
ACXIOM CORP                    COMM STK         005125109   146430  5499700 SH       SOLE          921100        0  4578600 
ADAPTEC INC                    COMM STK         00651F108      431    18900 SH       SOLE            2000        0    16900 
ADOBE SYSTEMS INC              COMM STK         00724F101   357422  6294710 SH       SOLE          379037        0  5915673 
ADVANCED FIBRE COMMS INC       COMM STK         00754A105      597    62300 SH       SOLE           60900        0     1400 
ADVANCED TISSUE SCIENCES       COMM STK         00755F103       33    15400 SH       SOLE           14300        0     1100 
ADVANTAGE LEARNING SYSTEMS     COMM STK         00757K100      441    14200 SH       SOLE           14200        0        0 
ADVO INC                       COMM STK         007585102    52835  2735800 SH       SOLE          215300        0  2520500 
AEROQUIP VICKERS INC           COMM STK         007869100     1089    19004 SH       SOLE            8093        0    10911 
ADVANCED MICRO DEVICES         COMM STK         007903107     1463    94376 SH       SOLE           41281        0    53095 
AEGON NV                       COMM STK         007924103     7894    87830 SH       SOLE               0        0    87830 
ADVENT SOFTWARE INC            COMM STK         007974108      278     6600 SH       SOLE            6600        0        0 
AETNA INC.                     COMM STK         008117103    85335  1028128 SH       SOLE          209365        0   818763 
AFFILIATED COMPUTER SVCS       COMM STK         008190100   240146  5249100 SH       SOLE          536100        0  4713000 
AFFILIATED MANAGERS GROUP      COMM STK         008252108    16105   619427 SH       SOLE          114806        0   504621 
AFFYMETRIX INC                 COMM STK         00826T108     5770   166500 SH       SOLE             200        0   166300 
AGOURON PHARMACEUTICALS        COMM STK         008488108    21476   379050 SH       SOLE          105750        0   273300 
AIR EXPRESS INTERNATIONA       COMM STK         009104100      976    64500 SH       SOLE           46950        0    17550 
AIR PRODUCTS & CHEMICALS INC.  COMM STK         009158106     8651   252588 SH       SOLE           69786        0   182802 
AIRBORNE FREIGHT CORP          COMM STK         009266107      268     8600 SH       SOLE            7300        0     1300 
AIRTOUCH COMMUNICATIONS, INC.  COMM STK         00949T100   581741  6020603 SH       SOLE          629180        0  5391423 
AKZO NOBEL N.V.                ADR              010199305      200     5400 SH       SOLE            4600        0      800 
ALAMO GROUP INC                COMM STK         011311107     5988   760400 SH       SOLE           95400        0   665000 
ALASKA AIR GROUP INC           COMM STK         011659109     3211    67600 SH       SOLE           24600        0    43000 
ALBERTO-CULVER CO CL A         COMM STK         013068101      872    37311 SH       SOLE           15410        0    21901 
ALBERTSON'S, INC.              COMM STK         013104104    27975   515079 SH       SOLE           96374        0   418705 
ALCAN ALUMINUM LTD.            COMM STK         013716105     3778   146374 SH       SOLE           60391        0    85983 
ALCOA, INC.                    COMM STK         013817101    41357  1004123 SH       SOLE          142300        0   861823 
ALEXANDER & BALDWIN INC        COMM STK         014482103    25391  1297950 SH       SOLE          236500        0  1061450 
ALEXION PHARMACEUTICAL         COMM STK         015351109     7107   830000 SH       SOLE               0        0   830000 
ALIANT COMMUNICATIONS INC.     COMM STK         016090102    54319  1327900 SH       SOLE          357400        0   970500 
ALKERMES INC                   COMM STK         01642T108    36940  1365000 SH       SOLE          310800        0  1054200 
ALLEGHENY TELEDYNE B           COMM STK         017415100    11880   627326 SH       SOLE           55704        0   571622 
ALLERGAN INC                   COMM STK         018490102     3840    43696 SH       SOLE           18732        0    24964 
ALLIANCE CAPITAL MGMT L P      COMM STK         018548107     1623    64110 SH       SOLE            5400        0    58710 
ALLIED CAPITAL CORP            COMM STK         01903Q108    31806  1739818 SH       SOLE          313800        0  1426018 
ALLIED HEALTHCARE PRODS        COMM STK         019222108      830   450000 SH       SOLE               0        0   450000 
ALLIED SIGNAL INC.             COMM STK         019512102   459193  9335564 SH       SOLE         1918518        0  7417046 
ALLIED WASTE INDUSTRIES        COMM STK         019589308   114493  7930260 SH       SOLE          792100        0  7138160 
ALLMERICA FINANCIAL CORPORATIO COMM STK         019754100      584    10600 SH       SOLE            9000        0     1600 
ALLSTATE CORPORATION           COMM STK         020002101    38359  1034994 SH       SOLE          352954        0   682040 
ALLTEL CORPORATION             COMM STK         020039103   449625  7208413 SH       SOLE         1402384        0  5806029 
ALTERA CORP                    COMM STK         021441100   258493  4346700 SH       SOLE          175100        0  4171600 
ALTIVA FINANCIAL CORP          COMM STK         021497300      333   666666 SH       SOLE               0        0   666666 
ALZA CORPORATION               COMM STK         022615108    46175  1207178 SH       SOLE          295902        0   911276 
AMAZON COM INC                 COMM STK         023135106      757     4400 SH       SOLE            2100        0     2300 
AMBAC INC                      COMM STK         023139108    23684   438600 SH       SOLE           92700        0   345900 
AMBASSADORS INTL INC           COMM STK         023178106    13383   815700 SH       SOLE          315700        0   500000 
AMERADA HESS CORP.             COMM STK         023551104   341855  6794637 SH       SOLE         1467363        0  5327274 
AMEREN CORPORATION             COMM STK         023608102     3242    89578 SH       SOLE           38426        0    51152 
AMERICA ONLINE DELAWARE        COMM STK         02364J104   470029  3219380 SH       SOLE          754090        0  2465290 
AMERICA FIRST MTG INVTS        COMM STK         023934102       60    13061 SH       SOLE               0        0    13061 
AMERICAN CAPITAL STRATEGIES    COMM STK         024937104     4351   255000 SH       SOLE            5000        0   250000 
AMERICAN ELECTRIC POWER COMPAN COMM STK         025537101     5493   138410 SH       SOLE           61232        0    77178 
AMERICAN EAGLE OUTFITTERS      COMM STK         02553D108      366     5100 SH       SOLE            5100        0        0 
AMERICAN EXPRESS COMPANY       COMM STK         025816109   215577  1834697 SH       SOLE          508238        0  1326459 
AMERICAN GENERAL CORPORATION   COMM STK         026351106   235003  3333378 SH       SOLE          582591        0  2750787 
AMERICAN GREETINGS CORPORATION COMM STK         026375105     1128    44458 SH       SOLE           19651        0    24807 
AMERICAN HOME PRODUCTS CORP.   COMM STK         026609107   692832 10618117 SH       SOLE         2286574        0  8331543 
AMERICAN HOME STAR             COMM STK         026651109      916   126100 SH       SOLE           26700        0    99400 
AMERICAN INTERNATIONAL GROUP I COMM STK         026874107   203291  1685313 SH       SOLE          574280        0  1111033 
AMERICAN ITALIAN PASTA CO      COMM STK         027070101    16643   665700 SH       SOLE           57900        0   607800 
AMERICAN ONCOLOGY              COMM STK         028910107    18049  1998471 SH       SOLE          281271        0  1717200 
AMERICAN POWR CONVERSION       COMM STK         029066107     1873    69200 SH       SOLE           17400        0    51800 
AMERICAN SAFETY RAZOR          COMM STK         029362100     7283   527300 SH       SOLE          251800        0   275500 
AMERICAN TOWERS SYSTEMS CORP   COMM STK         029912201     2556   104310 SH       SOLE           33610        0    70700 
AMERICAN STORES CO.            COMM STK         030096101    68056  2062302 SH       SOLE          206120        0  1856182 
AMERICAN SUPERCONDUCTOR        COMM STK         030111108      613    67400 SH       SOLE           13600        0    53800 
AMERICAN WATER WORKS CO., INC. COMM STK         030411102      401    13800 SH       SOLE            6000        0     7800 
AMERICREDIT CORP               COMM STK         03060R101     3436   261800 SH       SOLE           53400        0   208400 
AMERIN CORP                    COMM STK         03070X106     3184   155300 SH       SOLE           56500        0    98800 
AMERON INTL INC                COMM STK         030710107     7104   200100 SH       SOLE             100        0   200000 
AMERIPATH INC                  COMM STK         03071D109    18945  2105054 SH       SOLE          404854        0  1700200 
AMERISOURCE HEALTH CORP CL A   COMM STK         03071P102    52943  1548600 SH       SOLE          352300        0  1196300 
AMERITECH CORPORATION          COMM STK         030954101    55443   957987 SH       SOLE          374491        0   583496 
AMGEN                          COMM STK         031162100    69860   932239 SH       SOLE          310596        0   621643 
AMP INCORPORATED               COMM STK         031897101     9155   170524 SH       SOLE           60629        0   109895 
AMRESCO INC                    COMM STK         031909104     1514   198600 SH       SOLE          155900        0    42700 
AMSOUTH BANCORPORATION         COMM STK         032165102     3875    85173 SH       SOLE           35125        0    50048 
ANADARKO PETROLEUM CORP.       COMM STK         032511107    10182   269726 SH       SOLE           57444        0   212282 
ANALOG DEVICES                 COMM STK         032654105   374264 12580300 SH       SOLE         1027200        0 11553100 
ANALOGIC CORP                  COMM STK         032657207    60990  1851700 SH       SOLE          267800        0  1583900 
ANALYSTS INTERNATIONAL         COMM STK         032681108    20379  1791600 SH       SOLE          344300        0  1447300 
ANDREW CORP                    COMM STK         034425108      731    59224 SH       SOLE           24572        0    34652 
ANGLO AMER CORP S AF ADR       ADR              034861302      452    13000 SH       SOLE           13000        0        0 
ANGLOGOLD LTD                  ADR              035128206     2135   106087 SH       SOLE           20989        0    85098 
ANHEUSER-BUSCH COMPANIES INC.  COMM STK         035229103   361135  4740087 SH       SOLE          936029        0  3804058 
ANIXTER INTL INC               COMM STK         035290105    25017  2095700 SH       SOLE          234000        0  1861700 
ANN TAYLOR STORES INC.         COMM STK         036115103      544    12300 SH       SOLE           12300        0        0 
ANSWERTHINK CONSULTING GROUP   COMM STK         036916104      484    17300 SH       SOLE           17300        0        0 
AON CORPORATION                COMM STK         037389103     7375   116600 SH       SOLE           50279        0    66321 
APACHE CORP                    COMM STK         037411105     3366   129152 SH       SOLE           85921        0    43231 
APARTMENT INVT & MGMT          COMM STK         03748R101    12065   332835 SH       SOLE           68953        0   263882 
APOGEE ENTERPRISES INC         COMM STK         037598109     1193   100500 SH       SOLE             500        0   100000 
APOLLO GROUP INC CL A          COMM STK         037604105   133747  4472213 SH       SOLE          544275        0  3927938 
APPLE COMPUTER INC.            COMM STK         037833100     3191    88729 SH       SOLE           38114        0    50615 
APRIA HEALTHCARE GROUP         COMM STK         037933108      166    14000 SH       SOLE            8900        0     5100 
APEX PC SOLUTIONS INC.         COMM STK         037945102      213    15250 SH       SOLE           15250        0        0 
APPLIED EXTRUSION              COMM STK         038196101     4010   822500 SH       SOLE               0        0   822500 
APPLIED MATERIALS INC          COMM STK         038222105    20718   335690 SH       SOLE          139471        0   196219 
APPLIED MICRO CIRCUITS CORP.   COMM STK         03822W109    58768  1376700 SH       SOLE          234000        0  1142700 
APTARGROUP INC                 COMM STK         038336103     4664   179400 SH       SOLE          143400        0    36000 
ARCH CHEMICAL INC WI           COMM STK         03937R102    24465  1460600 SH       SOLE          320600        0  1140000 
ARCHER DANIELS MIDLAND COMPANY COMM STK         039483102     7003   476777 SH       SOLE          181706        0   295071 
ARCHSTONE COMMUNITY TRUST      COMM STK         039581103    21293  1058055 SH       SOLE           84485        0   973570 
ARDEN REALTY GROUP INC         COMM STK         039793104    20285   911700 SH       SOLE          119200        0   792500 
ARMSTRONG WORLD INDUSTRIES INC COMM STK         042476101   113265  2506555 SH       SOLE          425529        0  2081026 
ARROW ELECTRONICS INC          COMM STK         042735100      156    10400 SH       SOLE            7200        0     3200 
ARROW INTERNATIONAL INC        COMM STK         042764100     6210   288400 SH       SOLE             100        0   288300 
ARTHROCARE CORP                COMM STK         043136100      677    41046 SH       SOLE           41046        0        0 
ASARCO INC.                    COMM STK         043413103      341    24804 SH       SOLE           11924        0    12880 
ASCEND COMMUN INC              COMM STK         043491109   356453  4257745 SH       SOLE          530625        0  3727120 
ASHLAND INC.                   COMM STK         044204105     2048    50036 SH       SOLE           21421        0    28615 
ASPECT DEVELOPEMENT INC        COMM STK         045234101      649    27900 SH       SOLE           27900        0        0 
ASPECT TELECOMMUNICATION       COMM STK         045237104       77    11700 SH       SOLE            5400        0     6300 
AT HOME CORP                   COMM STK         045919107      630     4000 SH       SOLE            1700        0     2300 
ASSOCIATES FIRST CAPITAL CORP. COMM STK         046008108   217746  4838808 SH       SOLE          765008        0  4073800 
ASTORIA FINANCIAL CORP         COMM STK         046265104      373     7475 SH       SOLE            5600        0     1875 
ATLANTIC RICHFIELD CO.         COMM STK         048825103   350073  4795523 SH       SOLE          929724        0  3865799 
ATRION CORP                    COMM STK         049904105     2638   275000 SH       SOLE               0        0   275000 
AURORA BIOSCIENCES             COMM STK         051920106      796   118403 SH       SOLE          118403        0        0 
AUSTRALIA & NEW ZEALAND BKNG.  ADR              052528304     1410    39100 SH       SOLE            3600        0    35500 
AUTODESK INC                   COMM STK         052769106     1516    37451 SH       SOLE           15543        0    21908 
AUTOLIV INC                    COMM STK         052800109      813    21653 SH       SOLE               0        0    21653 
AUTOMATIC DATA PROCESSING INC. COMM STK         053015103   258752  6253819 SH       SOLE         1169997        0  5083822 
AUTOZONE INC                   COMM STK         053332102    97548  3211445 SH       SOLE          409520        0  2801925 
AVALONBAY COMMUNITIES INC.     COMM STK         053484101      711    22491 SH       SOLE            1000        0    21491 
AVANT CORP                     COMM STK         053487104    56632  3184900 SH       SOLE          182900        0  3002000 
AVERY DENNISON CORP            COMM STK         053611109    13085   227568 SH       SOLE           43844        0   183724 
AVIATION SALES CO              COMM STK         053672101    35240   791900 SH       SOLE           62800        0   729100 
AVIS RENT A CAR INC            COMM STK         053790101    90151  3256000 SH       SOLE          180800        0  3075200 
AVON PRODUCTS                  COMM STK         054303102    10959   232854 SH       SOLE          109316        0   123538 
AVONDALE INDUSTRIES INC.       COMM STK         054350103     3183   107000 SH       SOLE           24900        0    82100 
AXENT TECHNOLOGIES INC         COMM STK         05459C108     4767   197340 SH       SOLE           66040        0   131300 
AXYS PHARMACEUTICALS INC       COMM STK         054635107      292    69810 SH       SOLE           69810        0        0 
BB&T CORPORATION               COMM STK         054937107     7745   214018 SH       SOLE           87326        0   126692 
BCE INC.                       COMM STK         05534B109   108229  2442400 SH       SOLE          438600        0  2003800 
BHA GROUP HLDGS INC            COMM STK         055446108     5961   657749 SH       SOLE           34749        0   623000 
BISYS GROUP INC                COMM STK         055472104   148853  2640400 SH       SOLE          263800        0  2376600 
B J SERVICES CO                COMM STK         055482103   126033  5377400 SH       SOLE          978200        0  4399200 
BJS WHOLESALE CLUB INC         COMM STK         05548J106    76449  2891700 SH       SOLE          673900        0  2217800 
BP AMOCO PLC                   ADR              055622104   620399  6146366 SH       SOLE         1014653        0  5131713 
BP PRUDHOE BAY ROYALTY T       COMM STK         055630107     4770   553000 SH       SOLE          550000        0     3000 
BMC SOFTWARE INC               COMM STK         055921100   302279  8149055 SH       SOLE         1157335        0  6991720 
BWAY CORP.                     COMM STK         056039100    10741   814500 SH       SOLE           42000        0   772500 
BADGER METER INC               COMM STK         056525108     3069   100000 SH       SOLE               0        0   100000 
BAKER HUGHES INCORPORATED      COMM STK         057224107   201987  8307937 SH       SOLE         1612460        0  6695477 
BALL CORP                      COMM STK         058498106      901    19200 SH       SOLE            7785        0    11415 
BALTIMORE GAS & ELECTRIC CO.   COMM STK         059165100    36592  1442061 SH       SOLE          322841        0  1119220 
BANCO BILBAO VIZCAYA, S.A.     ADR              059458208     5559   378500 SH       SOLE          126000        0   252500 
BANCO FRANCES DEL RIO          ADR              059591107     1353    76249 SH       SOLE           18515        0    57734 
BANK OF NEW YORK COMPANY, INC. COMM STK         064057102   180728  5028943 SH       SOLE         1090506        0  3938437 
BANK ONE CORPORATION           COMM STK         06423A103   302214  5488555 SH       SOLE         1126657        0  4361898 
BANK UNITED CORP.              COMM STK         065412108     3952    96600 SH       SOLE           36600        0    60000 
BANK OF AMERICA CORP           COMM STK         06605F102   409659  5800479 SH       SOLE         1362275        0  4438204 
BANKBOSTON CORPORATION         COMM STK         06605R106    99289  2292384 SH       SOLE          470384        0  1822000 
BANKERS TRUST CORPORATION      COMM STK         066365107     5758    65244 SH       SOLE           27486        0    37758 
BANTA CORP                     COMM STK         066821109      523    27500 SH       SOLE           14000        0    13500 
BARD (C.R.) INC                COMM STK         067383109     1848    36649 SH       SOLE           15223        0    21426 
BARNES & NOBLE INC             COMM STK         067774109     2676    83300 SH       SOLE           21800        0    61500 
BARRICK GOLD CORP              COMM STK         067901108    11092   650057 SH       SOLE          163434        0   486623 
BARNETT INC                    COMM STK         068062108     5213   600100 SH       SOLE             100        0   600000 
BARR LABORATORIES INC          COMM STK         068306109     1983    65000 SH       SOLE           15000        0    50000 
BARRA INC             CO       COMM STK         068313105     1172    47600 SH       SOLE           38100        0     9500 
BARRETT RESOURCES CORP         COMM STK         068480201    17927   715286 SH       SOLE           29950        0   685336 
BATTLE MOUNTAIN GOLD           COMM STK         071593107    10843  3942821 SH       SOLE         1003117        0  2939704 
BATTLE MOUNTAIN GOLD           CVPFDSTK         071593305      851    25500 SH       SOLE           25500        0        0 
BAUSCH & LOMB, INC.            COMM STK         071707103    82602  1270803 SH       SOLE          269844        0  1000959 
BAXTER INTERNATIONAL INC.      COMM STK         071813109    38877   589039 SH       SOLE          159319        0   429720 
B E AEROSPACE INC              COMM STK         073302101    30516  2073300 SH       SOLE          486500        0  1586800 
BEAR STEARNS COMPANIES INC.    COMM STK         073902108    30369   679596 SH       SOLE           36466        0   643130 
BECKMAN COULTER INC            COMM STK         075811109      345     7800 SH       SOLE            7800        0        0 
BECTON DICKINSON & CO.         COMM STK         075887109    15956   416473 SH       SOLE          164628        0   251845 
BED BATH & BEYOND              COMM STK         075896100     8885   242600 SH       SOLE          124600        0   118000 
BELL ATLANTIC CORP.            COMM STK         077853109   225728  4367162 SH       SOLE         1216950        0  3150212 
BELLSOUTH CORPORATION          COMM STK         079860102   126759  3164021 SH       SOLE          998616        0  2165405 
BELO (AH) CORP                 COMM STK         080555105     1166    63900 SH       SOLE           46400        0    17500 
BEMIS CO                       COMM STK         081437105     1419    45694 SH       SOLE           24369        0    21325 
BENTON OIL & GAS               COMM STK         083288100       40    10900 SH       SOLE           10900        0        0 
BERKLEY (W.R.) CORPORATION     COMM STK         084423102     8649   350800 SH       SOLE           99500        0   251300 
BERKSHIRE HATHAWAY INC.        COMM STK         084670108   137627     2195 SH       SOLE             524        0     1671 
BERKSHIRE HATHAWAY INC.        COMM STK         084670207     5966     2538 SH       SOLE             560        0     1978 
BEST BUY CO INC                COMM STK         086516101      749    14400 SH       SOLE           10800        0     3600 
BESTFOODS                      COMM STK         08658U101    16442   349832 SH       SOLE          149944        0   199888 
BETHLEHEM STEEL CORP.          COMM STK         087509105      786    95331 SH       SOLE           40435        0    54896 
BIG CITY RADIO INC             COMM STK         089098107     1794   495000 SH       SOLE               0        0   495000 
BILLING INFORMATION            COMM STK         090063108    15785  1322300 SH       SOLE          101100        0  1221200 
BINDVIEW DEV CORP              COMM STK         090327107      433    13900 SH       SOLE           13900        0        0 
BIOCHEM PHARMA INC             COMM STK         09058T108      701    35100 SH       SOLE           27900        0     7200 
BIOGEN INC                     COMM STK         090597105   211306  1849000 SH       SOLE          393000        0  1456000 
BIOMET INC                     COMM STK         090613100     3261    77698 SH       SOLE           34006        0    43692 
BIOMIRA INC                    COMM STK         09161R106      368   109120 SH       SOLE          109120        0        0 
BLACK & DECKER CORPORATION     COMM STK         091797100     5466    98590 SH       SOLE           29200        0    69390 
BLACK BOX CORP                 COMM STK         091826107     2023    65400 SH       SOLE           15600        0    49800 
BLACK HILLS CORP               COMM STK         092113109    11603   544400 SH       SOLE          144400        0   400000 
BLANCH E. W. HLDGS INC         COMM STK         093210102     1838    35000 SH       SOLE            8100        0    26900 
H & R BLOCK INC                COMM STK         093671105   226376  4778388 SH       SOLE          774270        0  4004118 
BLYTH INDUSTRIES INC           COMM STK         09643P108     6187   261900 SH       SOLE           61550        0   200350 
BOEING COMPANY                 COMM STK         097023105   132229  3874832 SH       SOLE         1010368        0  2864464 
BOISE CASCADE CORP.            COMM STK         097383103     1129    35011 SH       SOLE           14580        0    20431 
THE BON-TON STORES INC         COMM STK         09776J101    12066  1595500 SH       SOLE          424800        0  1170700 
BONE CARE INTERNATIONAL INC    COMM STK         098072101     9508   922000 SH       SOLE               0        0   922000 
BORDERS GROUP INC              COMM STK         099709107    27347  1944700 SH       SOLE          433900        0  1510800 
BORON LEPORE & ASSOC           COMM STK         10001P102    10821  1030600 SH       SOLE           46200        0   984400 
BOSTON PROPERTIES INC          COMM STK         101121101     2767    87500 SH       SOLE             800        0    86700 
BOSTON SCIENTIFIC CORP         COMM STK         101137107    19094   470729 SH       SOLE          251966        0   218763 
BOWATER INCORPORATED           COMM STK         102183100      297     7500 SH       SOLE            6700        0      800 
BOYDS COLLECTION LTD           COMM STK         103354106    26734  1485200 SH       SOLE          323200        0  1162000 
BRADLEES INC                   COMM STK         104499207     1071   300640 SH       SOLE               0        0   300640 
BREED TECHNOLOGIES             COMM STK         106702103       48    13400 SH       SOLE            7800        0     5600 
BRIGGS & STRATTON CORP         COMM STK         109043109      791    16042 SH       SOLE            7135        0     8907 
BRIGHAM EXPLORATION CO         COMM STK         109178103     1732   615900 SH       SOLE           45000        0   570900 
BRIGHT POINT INC.              COMM STK         109473108    10938  1847000 SH       SOLE           79300        0  1767700 
BRINKER INTERNATIONAL          COMM STK         109641100     3266   126525 SH       SOLE           43650        0    82875 
BRISTOL-MYERS SQUIBB COMPANY   COMM STK         110122108   418860  6512884 SH       SOLE         1706880        0  4806004 
BRITISH TELECOMMUNICATIONS PLC ADR              111021408     6994    42600 SH       SOLE           11600        0    31000 
BROADVISION INC                COMM STK         111412102      718    12000 SH       SOLE           11100        0      900 
BROOKS AUTOMATION INC.         COMM STK         11434A100     6741   300000 SH       SOLE               0        0   300000 
BROWN-FORMAN CORP.             COMM STK         115637209   123086  2135990 SH       SOLE          351306        0  1784684 
BROWNING-FERRIS INDUSTRIES INC COMM STK         115885105   240739  6242819 SH       SOLE          866221        0  5376598 
BRUNSWICK CORPORATION          COMM STK         117043109     1450    76080 SH       SOLE           36563        0    39517 
BUCKLE INC                     COMM STK         118440106     1690    75100 SH       SOLE           16100        0    59000 
BUILDING MATERIALS             COMM STK         120113105     4584   450000 SH       SOLE               0        0   450000 
BURLINGTON INDUSTRIES INC.     COMM STK         121693105      124    18700 SH       SOLE            1000        0    17700 
BURLINGTON NORTHERN SANTA FE C COMM STK         12189T104   199123  6056970 SH       SOLE          875865        0  5181105 
BURR BROWN CORP                COMM STK         122574106    74093  3119700 SH       SOLE          172650        0  2947050 
BUSINESS RESOURCE GROUP        COMM STK         12329K104     1018   360000 SH       SOLE               0        0   360000 
CBL & ASSOC PROPERTIES         COMM STK         124830100      460    19800 SH       SOLE             400        0    19400 
CBT GROUP PLC                  ADR              124853300      337    29400 SH       SOLE               0        0    29400 
CCB FINL CORP                  COMM STK         124875105      227     4200 SH       SOLE            2800        0     1400 
CDW COMPUTER CENTERS INC       COMM STK         125129106     4577    66750 SH       SOLE           23950        0    42800 
CEM CORP                       COMM STK         125165100     2503   300000 SH       SOLE               0        0   300000 
C.H. ROBINSON WORLDWIDE        COMM STK         12541W100    22259   877200 SH       SOLE          132600        0   744600 
CIGNA CORP.                    COMM STK         125509109    13663   163015 SH       SOLE           70248        0    92767 
CIT GROUP, INC.                COMM STK         125577106   137580  4501600 SH       SOLE          456100        0  4045500 
CKE RESTAURANTS INC            COMM STK         12561E105      736    37272 SH       SOLE            8022        0    29250 
CLECO CORPORATION              COMM STK         12561M107    22042   747200 SH       SOLE          180000        0   567200 
CMAC INVT CORP                 COMM STK         125662106    88171  2260800 SH       SOLE          395400        0  1865400 
CMG INFORMATION SERVICES       COMM STK         125750109     2726    14900 SH       SOLE           11600        0     3300 
CMS ENERGY CORP.               COMM STK         125896100      429    10700 SH       SOLE            6100        0     4600 
CSS INDS INC                   COMM STK         125906107    15900   714600 SH       SOLE           79600        0   635000 
CSK AUTO CORP                  COMM STK         125965103    34811  1162800 SH       SOLE          262200        0   900600 
CNA FINANCIAL CORP.            COMM STK         126117100      237     6100 SH       SOLE            2500        0     3600 
CSG SYSTEMS INTERNAT INC       COMM STK         126349109      291     6400 SH       SOLE            6400        0        0 
CSX CORPORATION                COMM STK         126408103     9041   232190 SH       SOLE          127792        0   104398 
CUNO INC                       COMM STK         126583103     5078   361900 SH       SOLE           64700        0   297200 
CVS CORPORATION                COMM STK         126650100   121860  2565471 SH       SOLE          808972        0  1756499 
CV THERAPEUTICS INC            COMM STK         126667104     1444   300000 SH       SOLE               0        0   300000 
CABLEVISION SYSTEMS            COMM STK         12686C109      222     3000 SH       SOLE            1400        0     1600 
CABLETRON SYSTEMS INC          COMM STK         126920107      980   119661 SH       SOLE           45409        0    74252 
CABLE DESGN TECHNOLOGIES       COMM STK         126924109      425    38640 SH       SOLE            3300        0    35340 
CADBURY SCHWEPPES PLC          ADR              127209302     3592    61859 SH       SOLE            7673        0    54186 
CADENCE DESIGN SYSTEMS         COMM STK         127387108     5153   200100 SH       SOLE           93900        0   106200 
CALIBER LEARNING NETWORK       COMM STK         129914107     2118   560000 SH       SOLE               0        0   560000 
CALLAWAY GOLF CO               COMM STK         131193104      282    27700 SH       SOLE           10900        0    16800 
CAMBIOR INC                    COMM STK         13201L103    12312  3077900 SH       SOLE          575000        0  2502900 
CAMBRIDGE TECH PARTNERS        COMM STK         132524109      937    67400 SH       SOLE           18300        0    49100 
CAMDEN PROPERTY TRUST          COMM STK         133131102     7437   300500 SH       SOLE           44200        0   256300 
CAMERON ASHLEY, INC.           COMM STK         133290106     5825   638400 SH       SOLE          238400        0   400000 
CAMPBELL SOUP COMPANY          COMM STK         134429109   105924  2603347 SH       SOLE          534488        0  2068859 
CANADIAN PACIFIC LIMITED       COMM STK         135923100    18854   970000 SH       SOLE          295000        0   675000 
CAPITAL ONE FINANCIAL CORP.    COMM STK         14040H105   133947   887063 SH       SOLE          209900        0   677163 
CARBO CERAMICS, INC            COMM STK         140781105     9701   448600 SH       SOLE          136100        0   312500 
CARDIAC PATHWAYS CORP          COMM STK         141408104       34    25000 SH       SOLE           20000        0     5000 
CARDINAL HEALTH, INC.          COMM STK         14149Y108    55870   846514 SH       SOLE          341114        0   505400 
CARNIVAL CORP.                 COMM STK         143658102   119280  2456208 SH       SOLE          521150        0  1935058 
CARRIAGE SERVICES INC          COMM STK         143905107     1293    85500 SH       SOLE           20400        0    65100 
CAROLINA POWER & LIGHT CO.     COMM STK         144141108     3998   105725 SH       SOLE           44435        0    61290 
CARRAMERICA REALTY CORP        COMM STK         144418100    15570   705700 SH       SOLE            1800        0   703900 
CASE CORP                      COMM STK         14743R103     1243    48986 SH       SOLE           19650        0    29336 
CASELLA WASTE SYS INC.         COMM STK         147448104    21344   946000 SH       SOLE               0        0   946000 
CASEYS GENERAL STORES          COMM STK         147528103    43422  2925300 SH       SOLE          478800        0  2446500 
CATALINA MARKETING CORP        COMM STK         148867104   206864  2408900 SH       SOLE          292900        0  2116000 
CATELLUS DEVELOPMENT CORP.     COMM STK         149111106     5274   394300 SH       SOLE            1200        0   393100 
CATERPILLAR INC.               COMM STK         149123101    14258   310371 SH       SOLE          118182        0   192189 
CEDAR FAIR                     COMM STK         150185106     6381   253980 SH       SOLE           24600        0   229380 
CELL GENESYS INC               COMM STK         150921104     5603  1142024 SH       SOLE           76524        0  1065500 
CENTENNIAL HEALTHCARE CO       COMM STK         150937100      291    32807 SH       SOLE           32807        0        0 
CELLNET DATA SYSTEMS INC       COMM STK         15115M101      170    29502 SH       SOLE           29502        0        0 
CENDANT CORP.                  COMM STK         151313103   143769  9128198 SH       SOLE          541172        0  8587026 
CENTERPOINT PROPERTIES         COMM STK         151895109      228     7300 SH       SOLE             300        0     7000 
CENTEX CORP                    COMM STK         152312104     1431    42882 SH       SOLE           19454        0    23428 
CENTOCOR INC                   COMM STK         152342101      757    20500 SH       SOLE            6900        0    13600 
CENTOCOR INC                   CONV BND         152342AE1     6696  6825000 PRN      SOLE         3275000        0  3550000 
CENTRAL AND SOUTH WEST CORP.   COMM STK         152357109     5324   227176 SH       SOLE          143447        0    83729 
CENTRAL GARDEN & PET CO        COMM STK         153527106     8458   500300 SH       SOLE             300        0   500000 
CENTRAL HUDSON GAS & ELECTRIC  COMM STK         153609102     1085    30300 SH       SOLE             300        0    30000 
CENTRAL NEWSPAPERS INC         COMM STK         154647101      317    10200 SH       SOLE            1600        0     8600 
CENTRAL PARKING CORP           COMM STK         154785109     1349    39100 SH       SOLE            8450        0    30650 
CENTURY COMMUN CORP-CL A       COMM STK         156503104     5497   118300 SH       SOLE           26500        0    91800 
CENTURY TELEPHONE ENTERPRISES  COMM STK         156686107     8282   117900 SH       SOLE           42550        0    75350 
CEPHALON INC                   COMM STK         156708109     2338   265300 SH       SOLE             300        0   265000 
CERIDIAN CORPORATION           COMM STK         15677T106   105295  2879872 SH       SOLE          382340        0  2497532 
THE CHALONE WINE GROUP LTD     COMM STK         157639105     2161   281057 SH       SOLE               0        0   281057 
CHAMPION INTERNATIONAL CORP.   COMM STK         158525105     9580   233304 SH       SOLE           38666        0   194638 
CHANCELLOR MEDIA CORP          COMM STK         158915108    97964  2080200 SH       SOLE          117300        0  1962900 
CHARTER ONE FINANCIAL          COMM STK         160903100     9346   322958 SH       SOLE           73459        0   249499 
CHASE MANHATTAN CORPORATION    COMM STK         16161A108   344124  4232118 SH       SOLE          821840        0  3410278 
CHATTEM                        COMM STK         162456107      952    30400 SH       SOLE            9200        0    21200 
CHECKFREE CORP                 COMM STK         162816102    48787  1145400 SH       SOLE          197000        0   948400 
CHEESECAKE FACTORY INC         COMM STK         163072101      223     9300 SH       SOLE             200        0     9100 
CHELSEA GCA REALTY INC         COMM STK         163262108     8694   311900 SH       SOLE             500        0   311400 
CHEVRON CORPORATION            COMM STK         166751107   382246  4322217 SH       SOLE          922237        0  3399980 
CHIEFTAN INTL FDG              CVPFDSTK         168672202     1017    42800 SH       SOLE               0        0    42800 
CHIEFTAIN INTERNATIONAL        COMM STK         16867C101     5983   488400 SH       SOLE          238400        0   250000 
CHILDREN'S COMP SVC            COMM STK         16875K202     4021   731000 SH       SOLE           34000        0   697000 
CHIRON CORP                    COMM STK         170040109      414    18896 SH       SOLE            7200        0    11696 
CHIRON CORP                    CONV BND         170040AB5    24077 24780000 PRN      SOLE        11780000        0 13000000 
CHOICEPOINT INC                COMM STK         170388102      557    11170 SH       SOLE            9390        0     1780 
CHRIS CRAFT INDS INC           COMM STK         170520100    47676  1044964 SH       SOLE          390976        0   653988 
CHROMCRAFT REVINGTON INC       COMM STK         171117104    15635  1060000 SH       SOLE           40000        0  1020000 
CHUBB CORPORATION              COMM STK         171232101   108140  1846574 SH       SOLE          376014        0  1470560 
CIBER INC                      COMM STK         17163B102    39860  2077400 SH       SOLE          479500        0  1597900 
CINCINNATI BELL INC.           COMM STK         171870108     2793   124500 SH       SOLE           38200        0    86300 
CINAR FILMS INC SUB VTG        COMM STK         171905300     4875   213700 SH       SOLE               0        0   213700 
CINCINNATI FINL CORP           COMM STK         172062101     4459   122272 SH       SOLE           58137        0    64135 
CINERGY CORP.                  COMM STK         172474108     3235   117625 SH       SOLE           59972        0    57653 
CIRCUIT CITY STORES INC        COMM STK         172737108   223540  2917331 SH       SOLE          444130        0  2473201 
CISCO SYSTEMS INC              COMM STK         17275R102   473264  4318352 SH       SOLE         1303542        0  3014810 
CINTAS CORPORATION             COMM STK         172908105    14080   215473 SH       SOLE           57681        0   157792 
CIRCUS CIRCUS ENTERPRISES, INC COMM STK         172909103    19723  1123000 SH       SOLE          531600        0   591400 
CITIGROUP INC.                 COMM STK         172967101   807247 12637916 SH       SOLE         3402527        0  9235389 
CITIZENS BKG CORP MICH         COMM STK         174420109    13969   387700 SH       SOLE           74500        0   313200 
CITIZENS UTILITIES CO.         COMM STK         177342201      104    13374 SH       SOLE            4200        0     9174 
CITRIX SYSTEMS INC.            COMM STK         177376100   114614  3011200 SH       SOLE          185300        0  2825900 
CITY NATIONAL CORPORATION      COMM STK         178566105     4532   146800 SH       SOLE           51400        0    95400 
CLARIFY INC                    COMM STK         180492100      870    32800 SH       SOLE            7700        0    25100 
CLAYTON HOMES INC              COMM STK         184190106      166    15050 SH       SOLE           13000        0     2050 
CLEAR CHANNEL COMMUNICATIONS,  COMM STK         184502102   148381  2212571 SH       SOLE          399164        0  1813407 
CLOROX COMPANY                 COMM STK         189054109    13218   112795 SH       SOLE           57641        0    55154 
COACH USA INC.                 COMM STK         18975L106    90830  3302900 SH       SOLE          439400        0  2863500 
COASTAL CORP.                  COMM STK         190441105     5586   169274 SH       SOLE           90576        0    78698 
COCA-COLA COMPANY              COMM STK         191216100   185390  3020613 SH       SOLE         1174022        0  1846591 
COCA-COLA ENTERPRISES INC.     COMM STK         191219104     8037   265698 SH       SOLE          117500        0   148198 
COFLEXIP SPONSORED ADR         ADR              192384105    11385   330000 SH       SOLE               0        0   330000 
COGNEX CORP                    COMM STK         192422103    39522  1677325 SH       SOLE           96625        0  1580700 
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COGNOS INC                     COMM STK         19244C109     2411   102600 SH       SOLE           22700        0    79900 
COINMACH LAUNDRY               COMM STK         19259L101     2520   248900 SH       SOLE           48600        0   200300 
COLD METAL PRODUCTS INC.       COMM STK         192861102      958   547500 SH       SOLE               0        0   547500 
COLE NATIONAL CORP             COMM STK         193290103    30262  1658200 SH       SOLE             200        0  1658000 
COLE KENNETH PRODUCTIONS       COMM STK         193294105     1448    54900 SH       SOLE            9900        0    45000 
COLGATE-PALMOLIVE CO.          COMM STK         194162103   118202  1284802 SH       SOLE          270597        0  1014205 
COLONIAL PROPERTIES TRUST      COMM STK         195872106      536    21000 SH       SOLE             300        0    20700 
COLTEC INDUSTRIES INC.         COMM STK         196879100     1069    58800 SH       SOLE            7400        0    51400 
COLUMBIA BANCORP               COMM STK         197227101     1406   100000 SH       SOLE               0        0   100000 
COLUMBIA ENERGY GROUP          COMM STK         197648108     2911    55708 SH       SOLE           23259        0    32449 
COLUMBIA/HCA HEALTHCARE CORP.  COMM STK         197677107     9344   493431 SH       SOLE          247293        0   246138 
COLUMBIA SPORTSWEAR            COMM STK         198516106     8804   440900 SH       SOLE           80700        0   360200 
COMAIR HLDGS INC               COMM STK         199789108     6145   259761 SH       SOLE          102918        0   156843 
COMFORT SYSTEMS USA INC        COMM STK         199908104    44802  3063400 SH       SOLE          505600        0  2557800 
COMARCO INC                    COMM STK         200080109     9231   408000 SH       SOLE            8000        0   400000 
COMCAST CORPORATION            COMM STK         200300200   183219  2909684 SH       SOLE          355511        0  2554173 
COMDISCO, INC.                 COMM STK         200336105      207    11600 SH       SOLE            9500        0     2100 
COMERICA INCORPORATED          COMM STK         200340107     6649   106483 SH       SOLE           46882        0    59601 
COMMERCE BANCORP INC NJ        COMM STK         200519106     2957    71681 SH       SOLE           16262        0    55419 
COMMERCE BANCSHARES INC        COMM STK         200525103      213     5526 SH       SOLE            4701        0      825 
COMMNET CELLULAR INC           COMM STK         202604203     9855   619550 SH       SOLE               0        0   619550 
COMMUNITY FIRST BANKSHARES INC COMM STK         203902101    28745  1439524 SH       SOLE          206300        0  1233224 
COMPANIA DE TELECOM DE         ADR              204449300      806    34200 SH       SOLE            6375        0    27825 
COMPAQ COMPUTER CORP           COMM STK         204493100    47509  1499301 SH       SOLE          596466        0   902835 
COMPLETE BUSINESS              COMM STK         20452F107     5547   283100 SH       SOLE           33100        0   250000 
COMPUCOM SYSTEMS INC           COMM STK         204780100     7750  2666500 SH       SOLE          740500        0  1926000 
COMPUTER ASSOCIATES INTL       COMM STK         204912109    25413   714594 SH       SOLE          306766        0   407828 
COMPUTER NETWORK TECH CO       COMM STK         204925101      266    16500 SH       SOLE           16500        0        0 
COMPUSA INC                    COMM STK         204932107     7157  1022400 SH       SOLE            5700        0  1016700 
COMPUTER SCIENCES CORP         COMM STK         205363104     5989   108517 SH       SOLE           48098        0    60419 
COMPUWARE CORPORATION          COMM STK         205638109    69865  2922470 SH       SOLE          748100        0  2174370 
COMPX INTERNATIONAL INC        COMM STK         20563P101    15012  1177400 SH       SOLE          363700        0   813700 
COMSAT CORPORATION             COMM STK         20564D107      399    13800 SH       SOLE            8600        0     5200 
COMVERSE TECHNOLOGY INC        COMM STK         205862402     6523    76800 SH       SOLE           32000        0    44800 
CONAGRA, INC.                  COMM STK         205887102    19873   777426 SH       SOLE          177441        0   599985 
COM21 INC                      COMM STK         205937105      330    22708 SH       SOLE           22708        0        0 
CONCEPTUS INC                  COMM STK         206016107       75    64438 SH       SOLE           64438        0        0 
CONCORD COMMUNICATIONS INC     COMM STK         206186108     1107    19600 SH       SOLE           19100        0      500 
CONCORD EFS INC                COMM STK         206197105     4255   154725 SH       SOLE           71775        0    82950 
CONCUR TECHNOLOGIES INC        COMM STK         206708109     9801   217500 SH       SOLE           12300        0   205200 
CONE MLS CORP INC              COMM STK         206814105     3763   771800 SH       SOLE          165800        0   606000 
CONECTIV, INC.                 COMM STK         206829103      951    49100 SH       SOLE            1700        0    47400 
CONSECO INC.                   COMM STK         208464107    10316   334113 SH       SOLE          138014        0   196099 
CONSOLIDATED EDISON, INC.      COMM STK         209115104     7917   174718 SH       SOLE           77718        0    97000 
CONSOLIDATED GRAPHICS  INC     COMM STK         209341106     4718    81700 SH       SOLE           37300        0    44400 
CONSOLIDATED NATURAL GAS CO.   COMM STK         209615103     4038    82933 SH       SOLE           46520        0    36413 
CONSOLIDATED PAPERS INC        COMM STK         209759109    78439  3337850 SH       SOLE          699050        0  2638800 
CONSOLIDATED PRODUCTS, INC.    COMM STK         209798107    26398  1503113 SH       SOLE          314613        0  1188500 
CONSOLIDATED STORES            COMM STK         210149100     3056   100802 SH       SOLE           50467        0    50335 
CONVERGYS CORP                 COMM STK         212485106      185    10800 SH       SOLE            6700        0     4100 
COOPER CAMERON CORP            COMM STK         216640102    31839   939900 SH       SOLE          136400        0   803500 
COOPER INDUSTRIES INC.         COMM STK         216669101   104043  2440897 SH       SOLE          384303        0  2056594 
COOPER TIRE & RUBBER CO        COMM STK         216831107      921    50140 SH       SOLE           21123        0    29017 
COORS ADOLPH CO CLASS B        COMM STK         217016104     1455    26949 SH       SOLE           13175        0    13774 
COR THERAUPETICS INC           COMM STK         217753102    16320  1637079 SH       SOLE          340724        0  1296355 
CORDANT TECHNOLOGIES           COMM STK         218412104      267     6700 SH       SOLE            6700        0        0 
CORN PRODUCTS INTERNATIONAL    COMM STK         219023108      340    14200 SH       SOLE            5725        0     8475 
CORNING INCORPORATED           COMM STK         219350105   215849  3597477 SH       SOLE          726443        0  2871034 
CORPORATE EXPRESS, INC.        COMM STK         219888104      661   128195 SH       SOLE          121095        0     7100 
CORPORATE EXECUTIVE BOARD CO   COMM STK         21988R102     7875   300000 SH       SOLE               0        0   300000 
CORRPRO COS INC                COMM STK         220317101     3720   327000 SH       SOLE           55000        0   272000 
CORSAIR COMMUNICATIONS INC     COMM STK         220406102     1213   236637 SH       SOLE               0        0   236637 
CORT BUSINESS SERVICES  CORP   COMM STK         220493100    32007  1384100 SH       SOLE          275600        0  1108500 
COST PLUS INC CALIF COM        COMM STK         221485105     2648    90150 SH       SOLE             150        0    90000 
COSTCO COMPANIES, INC.         COMM STK         22160Q102   164111  1791729 SH       SOLE          215307        0  1576422 
COTELLIGENT GROUP INC          COMM STK         221630106     1110   125100 SH       SOLE           26200        0    98900 
COULTER PHARMACEUTICAL         COMM STK         222116105    10264   473261 SH       SOLE          165161        0   308100 
COUNTRYWIDE CREDIT INDUSTRIES  COMM STK         222372104     5471   145892 SH       SOLE           33242        0   112650 
COURIER CORP                   COMM STK         222660102     3981   193000 SH       SOLE               0        0   193000 
COUSINS PROPERTIES INC         COMM STK         222795106     6334   218900 SH       SOLE             400        0   218500 
COVANCE INC                    COMM STK         222816100    58053  2316337 SH       SOLE          534900        0  1781437 
COX COMMUNICATIONS INC.        COMM STK         224044107    86436  1142950 SH       SOLE          243550        0   899400 
COX RADIO INC CLASS A          COMM STK         224051102     2147    41900 SH       SOLE           14700        0    27200 
CRANE CO.                      COMM STK         224399105     1041    43031 SH       SOLE           19499        0    23532 
CRAWFORD & CO CL B             COMM STK         224633107      281    26950 SH       SOLE             400        0    26550 
CREATIVE BIOMOLECULES IN       COMM STK         225270107      111    47300 SH       SOLE           17200        0    30100 
CRESCENT R E EQUITIES          COMM STK         225756105   114807  5339850 SH       SOLE         1047450        0  4292400 
CRESTLINE CAPITAL CORP         COMM STK         226153104     1191    77480 SH       SOLE             310        0    77170 
CROSS A T CO CL A              COMM STK         227478104      276    37800 SH       SOLE           22800        0    15000 
CROSS TIMBERS OIL COMPANY      COMM STK         227573102     4649   658300 SH       SOLE          298300        0   360000 
CROSS TIMBERS OIL COMPANY      CVPFDSTK         227573201    11628   547190 SH       SOLE           47800        0   499390 
CROWN CORK & SEAL COMPANY, INC COMM STK         228255105    17468   611576 SH       SOLE          149047        0   462529 
CUBIST PHARMACEUTICALS I       COMM STK         229678107       63    20000 SH       SOLE           20000        0        0 
CULP INC.                      COMM STK         230215105     5664   974400 SH       SOLE          217700        0   756700 
CUMMINS ENGINE                 COMM STK         231021106      906    25464 SH       SOLE           10695        0    14769 
CURATIVE TECH INC              COMM STK         231264102      450    38900 SH       SOLE           13000        0    25900 
CYBERIAN OUTPOST INC           COMM STK         231914102     3821   171000 SH       SOLE               0        0   171000 
CYBEX COMPUTER PRODUCTS        COMM STK         232522102     2074   115400 SH       SOLE           29150        0    86250 
CYPRUS AMAX MINERALS CO.       COMM STK         232809103     5982   493402 SH       SOLE           77207        0   416195 
CYTEC INDUSTRIES INC           COMM STK         232820100     6727   301471 SH       SOLE             800        0   300671 
CYTYC CORP                     COMM STK         232946103    12720   910600 SH       SOLE           59200        0   851400 
DA CONSULTING GROUP INC        COMM STK         233027101      585    60000 SH       SOLE               0        0    60000 
DPL, INC.                      COMM STK         233293109     5902   357675 SH       SOLE            6275        0   351400 
DQE, INC.                      COMM STK         23329J104   128744  3354899 SH       SOLE          499987        0  2854912 
DST SYSTEMS INC                COMM STK         233326107    55906   930800 SH       SOLE          228550        0   702250 
DAISYTEK INTERNATIONAL C       COMM STK         234053106    16689  1000100 SH       SOLE             100        0  1000000 
DALLAS SEMICONDUCTOR CORP      COMM STK         235204104     5369   139000 SH       SOLE           43400        0    95600 
DAN RIVER INC                  COMM STK         235774106    14487  1704300 SH       SOLE          424000        0  1280300 
DANA CORP.                     COMM STK         235811106     4825   126977 SH       SOLE           55928        0    71049 
DANAHER CORP                   COMM STK         235851102   261693  5008479 SH       SOLE         1418140        0  3590339 
DARDEN RESTAURANTS, INC.       COMM STK         237194105     2120   102767 SH       SOLE           47264        0    55503 
DATA GENERAL                   COMM STK         237688106      325    32109 SH       SOLE           15023        0    17086 
DATA PROCESSING RESOURCES CORP COMM STK         237823109     3912   285800 SH       SOLE           43400        0   242400 
DATASTREAM SYSTEMS INC         COMM STK         238124101      469    53200 SH       SOLE           13000        0    40200 
DAVE & BUSTERS INC             COMM STK         23833N104     2698   131800 SH       SOLE           33600        0    98200 
DAVOX CORP                     COMM STK         239208101      275    15442 SH       SOLE           15442        0        0 
DAY RUNNER INC                 COMM STK         239545106      263    24100 SH       SOLE            6100        0    18000 
DAYTON HUDSON CORP.            COMM STK         239753106   137133  2058286 SH       SOLE          329478        0  1728808 
DAYTON MINING CORPORATION      COMM STK         239902109      309  3298000 SH       SOLE          294700        0  3003300 
DEAN FOODS CO                  COMM STK         242361103      606    17000 SH       SOLE           16500        0      500 
DEERE & COMPANY                COMM STK         244199105    47012  1217144 SH       SOLE          271904        0   945240 
DELL COMPUTER CORP             COMM STK         247025109   136932  3347469 SH       SOLE         1168472        0  2178997 
DELTA AIR LINES INC.           COMM STK         247361108    21182   304779 SH       SOLE           45540        0   259239 
DELTIC TIMBER CORP             COMM STK         247850100     2772   116712 SH       SOLE           96712        0    20000 
DELTA FINANCIAL CORP.          COMM STK         247918105     5789  1029200 SH       SOLE          129400        0   899800 
DELUXE CORP                    COMM STK         248019101     1526    52403 SH       SOLE           23841        0    28562 
DENTSPLY INTERNATIONAL INC     COMM STK         249030107     1939    83500 SH       SOLE           17700        0    65800 
DEUTSCHE TELEKOM AG            ADR              251566105     1848    45700 SH       SOLE           12400        0    33300 
DEVELOPERS DIVERSIFIED         COMM STK         251591103      464    32400 SH       SOLE             800        0    31600 
DEVON ENERGY CORPORATION       COMM STK         251799102    15771   572187 SH       SOLE          108800        0   463387 
DEVRY INC                      COMM STK         251893103    12038   415100 SH       SOLE           84800        0   330300 
DIAGEO PLC                     ADR              25243Q205     5336   116638 SH       SOLE           52028        0    64610 
DIAL CORP NEW                  COMM STK         25247D101      230     6700 SH       SOLE            4500        0     2200 
DIALOGIC CORP                  COMM STK         252499108     2148    70200 SH       SOLE           14000        0    56200 
DIATIDE INC           CO       COMM STK         252842109      311    75388 SH       SOLE           75388        0        0 
DIEBOLD INC                    COMM STK         253651103     7174   298912 SH       SOLE           31900        0   267012 
DIGITAL GENERATION SYSTE       COMM STK         253921100       58    13325 SH       SOLE           13325        0        0 
DILLARD'S INC.                 COMM STK         254067101     1834    72269 SH       SOLE           30326        0    41943 
DIME BANCORP, INC.             COMM STK         25429Q102      416    17920 SH       SOLE           15020        0     2900 
DIONEX CORP                    COMM STK         254546104     2716    72300 SH       SOLE           59500        0    12800 
DISCOUNT AUTO PTS INC          COMM STK         254642101    27554  1281600 SH       SOLE          181600        0  1100000 
DISNEY (WALT) COMPANY          COMM STK         254687106   106724  3428895 SH       SOLE         1432421        0  1996474 
DIXIE GROUP INC.               CONV BND         255519AA8      530   659000 PRN      SOLE               0        0   659000 
DOCUMENTUM INC                 COMM STK         256159104      218    10000 SH       SOLE           10000        0        0 
DOLLAR GEN CORP                COMM STK         256669102    10865   319562 SH       SOLE          168690        0   150872 
DOLLAR TREE STORES INC.        COMM STK         256747106     3777   122450 SH       SOLE           40725        0    81725 
DOMINION RESOURCES INC.        COMM STK         257470104     7635   206714 SH       SOLE          119966        0    86748 
DOMTAR INC                     COMM STK         257561100    38442  3482600 SH       SOLE         1591400        0  1891200 
DONALDSON CO INC               COMM STK         257651109     2524   140222 SH       SOLE           50700        0    89522 
DONALDSON LUFKIN & JENRE       COMM STK         257661108      272     3900 SH       SOLE            1700        0     2200 
DONCASTERS PLC                 ADR              257692103     3739   243200 SH       SOLE           39700        0   203500 
DONNELLEY (R.R.) & SONS COMPAN COMM STK         257867101    82580  2565598 SH       SOLE          496621        0  2068977 
DOVER CORPORATION              COMM STK         260003108    14428   438866 SH       SOLE           97793        0   341073 
DOVER DOWNS ENTERTAINMNT       COMM STK         260086103     4650   300000 SH       SOLE               0        0   300000 
DOW CHEMICAL COMPANY           COMM STK         260543103   269362  2890540 SH       SOLE          567962        0  2322578 
DOW JONES & CO. INC.           COMM STK         260561105    95468  2023160 SH       SOLE          408032        0  1615128 
DOWNEY FINANCIAL CORP          COMM STK         261018105    10268   560700 SH       SOLE          103400        0   457300 
DU PONT (EI) DE NEMOURS & CO.  COMM STK         263534109   294043  5064257 SH       SOLE         1113687        0  3950570 
DUANE READE INC                COMM STK         263578106    28524  1023300 SH       SOLE          210100        0   813200 
DUFF & PHELPS UTILS            COMM STK         264324104      366    34070 SH       SOLE               0        0    34070 
DUKE ENERGY CORPORATION        COMM STK         264399106   124201  2273702 SH       SOLE          508886        0  1764816 
DUKE RLTY INVTS INC NEW        COMM STK         264411505      787    36600 SH       SOLE            2600        0    34000 
DUN & BRADSTREET CORP WI       COMM STK         26483B106    98908  2776376 SH       SOLE          571585        0  2204791 
DYCOM INDUSTRIES INC           COMM STK         267475101     5072   116600 SH       SOLE           45450        0    71150 
DYNEX CAP INC                  COMM STK         26817Q100       35    10500 SH       SOLE           10500        0        0 
EEX CORP                       COMM STK         26842V207     3365   690178 SH       SOLE          126165        0   564013 
E4L INC                        COMM STK         268452109     8438  1000000 SH       SOLE               0        0  1000000 
E G & G INC                    COMM STK         268457108      804    30498 SH       SOLE           14306        0    16192 
EMC CORP-MASS                  COMM STK         268648102   332711  2604391 SH       SOLE          473734        0  2130657 
ENSCO INTERNATIONAL INC        COMM STK         26874Q100      161    12100 SH       SOLE            9000        0     3100 
ENI SPA                        ADR              26874R108     3718    58900 SH       SOLE           14600        0    44300 
EPIX MEDICAL INC               COMM STK         26881Q101     6336   782793 SH       SOLE           82793        0   700000 
ETEC SYSTEMS INC               COMM STK         26922C103     1574    53400 SH       SOLE           14100        0    39300 
E-TEK DYNAMICS INC             COMM STK         269240107      688    19200 SH       SOLE           18300        0      900 
E TRADE GROUP INC              COMM STK         269246104     5639    96700 SH       SOLE           22800        0    73900 
EAGLE USA AIR FREIGHT          COMM STK         270018104    39446  1218400 SH       SOLE           88200        0  1130200 
EARTHGRAINS CO COM             COMM STK         270319106      960    43264 SH       SOLE            9948        0    33316 
EASTERN ENTERPRISES            COMM STK         27637F100      656    18036 SH       SOLE            7960        0    10076 
EASTMAN CHEMICAL CO.           COMM STK         277432100     2229    52986 SH       SOLE           22081        0    30905 
EASTMAN KODAK COMPANY          COMM STK         277461109   257847  4036739 SH       SOLE          753508        0  3283231 
EATON CORP.                    COMM STK         278058102     5030    70344 SH       SOLE           43417        0    26927 
EATON VANCE CORP               COMM STK         278265103     4033   200400 SH       SOLE           25600        0   174800 
EBAY INC                       COMM STK         278642103      535     3900 SH       SOLE            1500        0     2400 
                               COMM STK         27874N105      220    22000 SH       SOLE           19000        0     3000 
ECLIPSE SURGICAL TECHNOL       COMM STK         278849104      126    12000 SH       SOLE           12000        0        0 
ECO SOIL SYSTEMS INC           COMM STK         278858105     2305   325000 SH       SOLE               0        0   325000 
ECOLAB INC                     COMM STK         278865100    10179   286745 SH       SOLE          218938        0    67807 
EDISON INTERNATIONAL           COMM STK         281020107    10052   451771 SH       SOLE          168979        0   282792 
EDUCATION MANAGEMENT CORP      COMM STK         28139T101      781    25400 SH       SOLE           25400        0        0 
EDWARDS A G INC                COMM STK         281760108     5398   165145 SH       SOLE            9550        0   155595 
EL PASO ENERGY CORP            COMM STK         283905107     1015    31062 SH       SOLE            8990        0    22072 
ELN CORP PLC ADR               ADR              284131208     1279    18675 SH       SOLE           13475        0     5200 
ELANTEC SEMICONDUCTOR IN       COMM STK         284155108      278    40000 SH       SOLE           40000        0        0 
ELECTRO-RENT CORP              COMM STK         285218103    29324  3224600 SH       SOLE          582800        0  2641800 
ELECTRO SCIENTIFIC INC         COMM STK         285229100      288    11500 SH       SOLE           11500        0        0 
EMS TECHNOLOGIES               COMM STK         285397105    11193   788900 SH       SOLE           84600        0   704300 
ELECTRONIC ARTS INC            COMM STK         285512109     9470   199500 SH       SOLE           67200        0   132300 
ELECTRONIC DATA SYSTEMS CORP.  COMM STK         285661104    20818   427582 SH       SOLE          197300        0   230282 
ELECTRONICS FOR IMAGING        COMM STK         286082102   107604  2732800 SH       SOLE          131900        0  2600900 
ELF AQUITAINE S.A.             ADR              286269105    12870   191200 SH       SOLE           30700        0   160500 
EMCON COM                      COMM STK         290843101     2413   715000 SH       SOLE               0        0   715000 
EMERSON ELECTRIC CO.           COMM STK         291011104    33595   634612 SH       SOLE          177337        0   457275 
EMMIS COMMUNICATIONS CORP      COMM STK         291525103    47840   957400 SH       SOLE          110800        0   846600 
EMPRESA NACIAONAL ELEC CHILE S ADR              29244T101      582    41400 SH       SOLE            7500        0    33900 
ENDESA SA SPONSORED ADR        ADR              29258N107     2743   110260 SH       SOLE           28260        0    82000 
ENERGY CONVERSION DEVIC        COMM STK         292659109     3691   401700 SH       SOLE               0        0   401700 
ENERGY EAST CORP               COMM STK         29266M109      657    12500 SH       SOLE           11800        0      700 
ENGELHARD CORP                 COMM STK         292845104     2236   132032 SH       SOLE           75310        0    56722 
ENGINEERING ANIMATION          COMM STK         292872108     2579    61500 SH       SOLE           14200        0    47300 
ENDOCARDIAL SOLUTIONS IN       COMM STK         292962107     1686   187388 SH       SOLE          187388        0        0 
ENRON CORP.                    COMM STK         293561106    19346   301104 SH       SOLE          116403        0   184701 
ENTERCOM COMMUNICATIONS CORP   COMM STK         293639100     5306   150000 SH       SOLE               0        0   150000 
ENTERGY CORPORATION            COMM STK         29364G103    62567  2275152 SH       SOLE          534191        0  1740961 
ENTRUST TECHNOLOGIES           COMM STK         293848107     3277   217980 SH       SOLE          105000        0   112980 
EQUIFAX INC                    COMM STK         294429105    25373   738127 SH       SOLE          170572        0   567555 
EQUITABLE COMPANIES, INC.      COMM STK         29444G107      476     6800 SH       SOLE            2900        0     3900 
EQUITY OFFICE PROPERTIES TRUST COMM STK         294741103    29773  1170441 SH       SOLE         1005400        0   165041 
EQUITY RESIDENTIAL PPTYS       COMM STK         29476L107      930    22549 SH       SOLE            6200        0    16349 
ERICSSON (TELEFONAKTIEBOLAGET  ADR              294821400     6140   257500 SH       SOLE           82500        0   175000 
ERIE INDEMNITY                 COMM STK         29530P102     5022   184300 SH       SOLE           34000        0   150300 
EUPHONIX INC                   COMM STK         298416108       23    20000 SH       SOLE           20000        0        0 
EXAR CORP                      COMM STK         300645108     2181   134200 SH       SOLE           28900        0   105300 
EXCEL SWITCHING CORP.          COMM STK         30067V108      624    31000 SH       SOLE           31000        0        0 
EXODUS COMMUNICATIONS          COMM STK         302088109     2467    18388 SH       SOLE           15173        0     3215 
EXPEDITORS INC WASH INC        COMM STK         302130109    14684   271920 SH       SOLE           74900        0   197020 
EXPERT SOFTWARE                COMM STK         302131107       87    42367 SH       SOLE           42367        0        0 
EXPRESS SCRIPTS CL A COM       COMM STK         302182100    10634   123700 SH       SOLE           70800        0    52900 
EXTENDED STAY AMERICA          COMM STK         30224P101    59509  5841400 SH       SOLE          531400        0  5310000 
EXXON CORPORATION              COMM STK         302290101   435590  6173112 SH       SOLE         1690818        0  4482294 
FBL FINANCIAL GROUP INC.       COMM STK         30239F106     2457   122100 SH       SOLE           99900        0    22200 
FLIR SYSTEMS INC               COMM STK         302445101     2723   150000 SH       SOLE               0        0   150000 
FMC CORP.                      COMM STK         302491303     8494   172024 SH       SOLE           21270        0   150754 
FPL GROUP INC.                 COMM STK         302571104     8231   154580 SH       SOLE           59344        0    95236 
FVC COM INC                    COMM STK         30266P100      975    76500 SH       SOLE           76500        0        0 
FAB INDUSTRIES INC             COMM STK         302747100     4571   302200 SH       SOLE            2200        0   300000 
FACTSET RESEARCH SYSTEMS       COMM STK         303075105     1460    33850 SH       SOLE           13050        0    20800 
FAIR ISSAC & COMPANY INC       COMM STK         303250104      511    13800 SH       SOLE            9000        0     4800 
FAIRFIELD CMNTYS INC CO        COMM STK         304231301      571    63900 SH       SOLE           19500        0    44400 
FAMILY DOLLAR STORES INC       COMM STK         307000109    79118  3439900 SH       SOLE          642300        0  2797600 
FASTENAL CO                    COMM STK         311900104     1531    43700 SH       SOLE           14900        0    28800 
FDX CORPORATION                COMM STK         31304N107     9334   100570 SH       SOLE           40827        0    59743 
FEDERAL HOME LOAN MORTGAGE COR COMM STK         313400301   506029  8858279 SH       SOLE         2239964        0  6618315 
FEDERAL NATIONAL MORTGAGE ASSO COMM STK         313586109   608921  8793076 SH       SOLE         1936872        0  6856204 
FED REALTY INV TRUST           COMM STK         313747206    37555  1772500 SH       SOLE           21200        0  1751300 
FEDERATED DEPARTMENT STORES, I COMM STK         31410H101     8631   215115 SH       SOLE           94894        0   120221 
FIFTH THIRD BANCORP            COMM STK         316773100    13111   198742 SH       SOLE           96759        0   101983 
FILENET CORP                   COMM STK         316869106    11548  1642400 SH       SOLE           57400        0  1585000 
FINANCIAL FED CORP             COMM STK         317492106    24679  1298900 SH       SOLE           80400        0  1218500 
FINOVA GROUP (THE) INC.        COMM STK         317928109    65542  1263467 SH       SOLE          285367        0   978100 
FIRST AMERICAN CORPORATION     COMM STK         318900107     2094    56784 SH       SOLE           44050        0    12734 
FIRST BELL BANCORP INC         COMM STK         319301107     2260   133900 SH       SOLE           28900        0   105000 
FIRST CONSULTING GROUP INC.    COMM STK         31986R103      474    42881 SH       SOLE           30330        0    12551 
FIRST DATA CORPORATION         COMM STK         319963104   483353 11306511 SH       SOLE         1400017        0  9906494 
FIRST FINANCIAL FUND INC       INVCOSTK         320228109     7304   990438 SH       SOLE          350728        0   639710 
FIRST INTERNATIONAL BANCORP    COMM STK         32054Q100     5586   591900 SH       SOLE           22900        0   569000 
FIRST MARINER BANK             COMM STK         320795107     1437   121000 SH       SOLE           20000        0   101000 
FIRST REP BK SAN FRANCISCO     COMM STK         336158100    19594   812200 SH       SOLE          172200        0   640000 
FIRST SECURITY CORPORATION     COMM STK         336294103     7511   389538 SH       SOLE          105749        0   283789 
FIRST TENNESSEE NATIONAL CORP. COMM STK         337162101     5196   141500 SH       SOLE            9800        0   131700 
FIRST UNION CORPORATION        COMM STK         337358105    74304  1390490 SH       SOLE          515945        0   874545 
FIRST VIRGINIA BANKS INC       COMM STK         337477103      738    16150 SH       SOLE            8900        0     7250 
FIRST WASH RLTY TR INCCO       COMM STK         337489504    17589   820500 SH       SOLE           80700        0   739800 
FIRSTAR CORP                   COMM STK         33763V109    14415   161067 SH       SOLE           68372        0    92695 
FISCHER IMAGING CORP           COMM STK         337719108       13    10189 SH       SOLE           10189        0        0 
FISERV INC                     COMM STK         337738108      975    18200 SH       SOLE           16150        0     2050 
FIRSTMERIT CORP                COMM STK         337915102      771    30032 SH       SOLE            8832        0    21200 
FIRSTENERGY CORP.              COMM STK         337932107   195617  7001938 SH       SOLE         1348670        0  5653268 
FLEET FINANCIAL GROUP INC.     COMM STK         338915101   137356  3650655 SH       SOLE          835051        0  2815604 
FLEETWOOD ENTERPRISES          COMM STK         339099103      584    20412 SH       SOLE            8910        0    11502 
FLORIDA PROGRESS CORP.         COMM STK         341109106      464    12300 SH       SOLE            5800        0     6500 
FLOWERS INDUSTRIES INC.        COMM STK         343496105      392    15900 SH       SOLE           14800        0     1100 
FLUOR CORP                     COMM STK         343861100     1283    47516 SH       SOLE           21190        0    26326 
FOOD LION INC.                 COMM STK         344775200      145    15800 SH       SOLE            6500        0     9300 
FORD MOTOR COMPANY             COMM STK         345370100    50772   894656 SH       SOLE          419889        0   474767 
FOREST LABS INC                COMM STK         345838106     2785    49400 SH       SOLE           16500        0    32900 
FORTE SOFTWARE INC             COMM STK         349546101      467   101000 SH       SOLE               0        0   101000 
FORTUNE BRANDS, INC.           COMM STK         349631101   169953  4392960 SH       SOLE          897424        0  3495536 
FOSSIL INCORPORATED            COMM STK         349882100     2381    79600 SH       SOLE           20400        0    59200 
FOSTER WHEELER CORP            COMM STK         350244109      388    32039 SH       SOLE           11342        0    20697 
FOUNDATION HEALTH SYSTEMS - A  COMM STK         350404109      134    10965 SH       SOLE            7900        0     3065 
FOX ENTERTAINMENT GROUP        COMM STK         35138T107   154401  5692200 SH       SOLE          800700        0  4891500 
FRANCE TELECOM SA              ADR              35177Q105     5366    66500 SH       SOLE            5500        0    61000 
FRANKFORT FIRST BANCORP        COMM STK         352128201     1494   101500 SH       SOLE           22000        0    79500 
FRANKLIN ELECTRIC CO INC       COMM STK         353514102     9672   147800 SH       SOLE           47800        0   100000 
FRANKLIN RESOURCES INC         COMM STK         354613101    76980  2737078 SH       SOLE          316530        0  2420548 
FREDS INC CLASS A              COMM STK         356108100     4949   446100 SH       SOLE          204800        0   241300 
FREEPORT-MCMORAN COPPER AND GO COMM STK         35671D857     1285   118167 SH       SOLE           49690        0    68477 
FREMONT GEN CORP               COMM STK         357288109     2023   106100 SH       SOLE             800        0   105300 
FRESH CHOICE INC               COMM STK         358032100     1333   540000 SH       SOLE               0        0   540000 
FRONTIER CORPORATION           COMM STK         35906P105    10571   203783 SH       SOLE           49832        0   153951 
FROZEN FOOD EXPRESS INDS       COMM STK         359360104     4508   728500 SH       SOLE           44200        0   684300 
FUEL-TECH N V                  COMM STK         359523107       93    61800 SH       SOLE               0        0    61800 
FUND AMERICAN ENTERPRISE       COMM STK         360768105    15488   116400 SH       SOLE           54700        0    61700 
FURON COMPANY                  COMM STK         361106107    20369  1613400 SH       SOLE          324100        0  1289300 
FUSION MED TECHNOLOGIES        COMM STK         361128101      783   149146 SH       SOLE          104573        0    44573 
G&K SERVICES INC               COMM STK         361268105     2647    57300 SH       SOLE           15800        0    41500 
GATX CORPORATION               COMM STK         361448103    42351  1285800 SH       SOLE          238800        0  1047000 
GPU, INC.                      COMM STK         36225X100    42628  1142449 SH       SOLE          100382        0  1042067 
GTE CORPORATION                COMM STK         362320103   364875  6030984 SH       SOLE         1340345        0  4690639 
GABLES RESIDENTIAL TRUST       COMM STK         362418105      646    29300 SH       SOLE             300        0    29000 
GALILEO INTERNATIONAL INC      COMM STK         363547100   227263  4697940 SH       SOLE          629240        0  4068700 
GALLAGHER ARTHUR J & CO        COMM STK         363576109     4218    91700 SH       SOLE             100        0    91600 
GANNETT CO., INC.              COMM STK         364730101    26815   425636 SH       SOLE          177069        0   248567 
GAP, INC. (THE)                COMM STK         364760108    39061   580297 SH       SOLE          185221        0   395076 
GARDEN FRESH RESTAURANT        COMM STK         365235100     7299   510000 SH       SOLE           60000        0   450000 
GARTNER GROUP INC CL A         COMM STK         366651107   230282 10206400 SH       SOLE         1104400        0  9102000 
GATEWAY 2000 INC               COMM STK         367833100     9026   131646 SH       SOLE           66350        0    65296 
GENENTECH INC COM SPL          COMM STK         368710307    64887   732150 SH       SOLE          154800        0   577350 
GENERAL AMERICAN INVS          INVCOSTK         368802104      387    12266 SH       SOLE               0        0    12266 
GENERAL DYNAMICS CORPORATION   COMM STK         369550108     5512    85795 SH       SOLE           37816        0    47979 
GENERAL ELECTRIC COMPANY       COMM STK         369604103  1006616  9099356 SH       SOLE         2549953        0  6549403 
GENERAL MILLS INC.             COMM STK         370334104   322799  4271946 SH       SOLE          802587        0  3469359 
GENERAL MOTORS CORP.           COMM STK         370442105   184174  2119989 SH       SOLE          530434        0  1589555 
GENERAL NUTRITION COS          COMM STK         37047F103    32029  2292900 SH       SOLE          173000        0  2119900 
GENTEX CORP                    COMM STK         371901109     7672   355800 SH       SOLE          143500        0   212300 
GENSYS TELECOMMUNICATIONS LABS COMM STK         371931106      244    16200 SH       SOLE           16200        0        0 
GENUINE PARTS CO               COMM STK         372460105   129164  4482904 SH       SOLE          911017        0  3571887 
GENZYME CORP GENERAL           COMM STK         372917104      252     5000 SH       SOLE            4100        0      900 
GEORGIA-PACIFIC CORP.          COMM STK         373298108   127122  1712083 SH       SOLE          288187        0  1423896 
GEORGIA-PACIFIC CORP.          COMM STK         373298702     4402   196194 SH       SOLE           34444        0   161750 
GEOTEL COMMUNICATIONS CORP     COMM STK         373656107     4388    96300 SH       SOLE           47100        0    49200 
GETCHELL GOLD CORPORATION      COMM STK         374265106    14529   554800 SH       SOLE           49800        0   505000 
GIANT CEMENT HLDG INC          COMM STK         374450104    15205   889500 SH       SOLE          109500        0   780000 
GIBRALTAR STEEL CORP           COMM STK         37476F103    15619   787100 SH       SOLE          176200        0   610900 
GILEAD SCIENCES INC            COMM STK         375558103    84627  1862500 SH       SOLE          349500        0  1513000 
GILLETTE COMPANY               COMM STK         375766102   129235  2174306 SH       SOLE          686288        0  1488018 
GLACIER BANCORP                COMM STK         37637Q105    15831   811870 SH       SOLE          127670        0   684200 
GLAXO WELLCOME PLC             ADR              37733W105    14467   216123 SH       SOLE           82923        0   133200 
GLENBOROUGH REALTY TRUST INC   COMM STK         37803P105    15451   908900 SH       SOLE          277000        0   631900 
GLIATECH INC                   COMM STK         37929C103      578    25000 SH       SOLE           25000        0        0 
GLOBAL INDUSTRIES              COMM STK         379336100      169    16600 SH       SOLE           14600        0     2000 
GLOBAL IMAGING SYSTEMS         COMM STK         37934A100     4605   350000 SH       SOLE               0        0   350000 
GLOBAL MARINE INC              COMM STK         379352404      143    12200 SH       SOLE           10800        0     1400 
GOLDEN STAR RESOURCES          COMM STK         38119T104     1213  1493000 SH       SOLE          143000        0  1350000 
GOLDEN WEST FINANCIAL CORPORAT COMM STK         381317106     3871    40535 SH       SOLE           18217        0    22318 
GOODRICH (B.F.) COMPANY        COMM STK         382388106     1734    50522 SH       SOLE           22538        0    27984 
GOODYEAR TIRE & RUBBER CO.     COMM STK         382550101    13253   266061 SH       SOLE           55223        0   210838 
GOODYS FAMILY CLOTHING         COMM STK         382588101    14917  1067900 SH       SOLE          275000        0   792900 
GRACE W R & CO DEL             COMM STK         38388F108      555    45769 SH       SOLE           20935        0    24834 
GRAINGER (W.W.), INC.          COMM STK         384802104     6414   148947 SH       SOLE           32918        0   116029 
GREAT ATLANTIC & PACIFIC TEA C COMM STK         390064103     6852   228415 SH       SOLE           12485        0   215930 
GREAT LAKES CHEMICAL CORP.     COMM STK         390568103   274801  7477571 SH       SOLE         1508460        0  5969111 
GREAT PLAINS SOFTWARE          COMM STK         39119E105    41105  1066800 SH       SOLE          169500        0   897300 
GREENPOINT FINANCIAL CORP.     COMM STK         395384100      400    11524 SH       SOLE           10524        0     1000 
GREY ADVERTISING INC           COMM STK         397838103    19508    56230 SH       SOLE           11230        0    45000 
GROUP 1 AUTOMOTIVE INC         COMM STK         398905109     1921    78200 SH       SOLE           10300        0    67900 
GROUP MAINTENANCE AMERICA CORP COMM STK         39943E107    18040  1585900 SH       SOLE          335200        0  1250700 
GUCCI GRP N V COM NY REG       ADR              401566104      825    10250 SH       SOLE           10250        0        0 
GUIDANT CORP                   COMM STK         401698105    81307  1343925 SH       SOLE          395128        0   948797 
GUILFORD PHARMACEUTICALS INC   COMM STK         401829106     9790   863050 SH       SOLE           76250        0   786800 
GUITAR CENTER INC              COMM STK         402040109     1821    89500 SH       SOLE           22400        0    67100 
GULFSTREAM AEROSPACE CORP      COMM STK         402734107     1045    24100 SH       SOLE           16300        0     7800 
GYMBOREE CORPORATION           COMM STK         403777105      156    17300 SH       SOLE            6900        0    10400 
HCIA INC                       COMM STK         403908106     3798   844100 SH       SOLE           95500        0   748600 
HMT TECHNOLOGY CORP            COMM STK         403917107      117    33300 SH       SOLE           33300        0        0 
HCC INS HLDGS INC              COMM STK         404132102      474    22300 SH       SOLE           22300        0        0 
HCR MANOR CARE                 COMM STK         404134108    23590  1034064 SH       SOLE          257257        0   776807 
HRPT PROPERTIES TRUST          COMM STK         40426W101      143    10600 SH       SOLE            9200        0     1400 
HS RESOURCES                   COMM STK         404297103     9116  1041800 SH       SOLE           21800        0  1020000 
HA-LO INDS INC                 COMM STK         404429102     1938   157385 SH       SOLE           35150        0   122235 
HAGLER BAILLY INC              COMM STK         405183104    10039  1250000 SH       SOLE               0        0  1250000 
HAIN FOOD GROUP INC            COMM STK         405219106      992    60100 SH       SOLE           60100        0        0 
HALLIBURTON CO.                COMM STK         406216101   136294  3540105 SH       SOLE          696814        0  2843291 
HANCOCK FABRICS INC            COMM STK         409900107    11705  1854300 SH       SOLE          284700        0  1569600 
HANNA (M.A.) CO                COMM STK         410522106      160    12500 SH       SOLE           11600        0      900 
HANSON PLC                     ADR              411352404     9387   213337 SH       SOLE          100462        0   112875 
HARCOURT GENERAL, INC.         COMM STK         41163G101     6809   153660 SH       SOLE           42368        0   111292 
HARLEY-DAVIDSON                COMM STK         412822108     4712    81950 SH       SOLE           50550        0    31400 
HARLEYSVILLE GRO               COMM STK         412824104     8268   430200 SH       SOLE           88300        0   341900 
HARMAN INTL INDS               COMM STK         413086109     2363    64300 SH       SOLE           11900        0    52400 
HARNISCHFEGER INDUSTRIES       COMM STK         413345109      145    25525 SH       SOLE           12853        0    12672 
HARRAHS ENTERTAINMENT          COMM STK         413619107     1679    88098 SH       SOLE           36794        0    51304 
HARRIS CORPORATION             COMM STK         413875105     1435    50140 SH       SOLE           21319        0    28821 
HARSCO CORP                    COMM STK         415864107     1705    67700 SH       SOLE           22200        0    45500 
HARTE HANKS COMMUN INC         COMM STK         416196103     3732   136000 SH       SOLE           50000        0    86000 
HARTFORD FINANCIAL SERVICES GR COMM STK         416515104    12521   220394 SH       SOLE           71330        0   149064 
HARTFORD LIFE INC.             COMM STK         416592103      649    11800 SH       SOLE           11500        0      300 
HASBRO INCORPORATED            COMM STK         418056107   106932  3695270 SH       SOLE          746453        0  2948817 
HASKEL INTERNATIONAL INC       COMM STK         418106100     1852   150000 SH       SOLE               0        0   150000 
HAUSER INC COM NEW             COMM STK         419141304     3208  1236700 SH       SOLE          207400        0  1029300 
HAVERTY FURN COS INC           COMM STK         419596101     6346   250100 SH       SOLE             100        0   250000 
HEALTHSOUTH REHAB              COMM STK         421924101    32400  3122852 SH       SOLE          674935        0  2447917 
HEALTHSOUTH REHAB              CONV BND         421924AF8    15370 18795000 PRN      SOLE         8795000        0 10000000 
HEALTH MANAGEMENT ASSOC        COMM STK         421933102     2518   206584 SH       SOLE           97775        0   108809 
HEALTHCARE FINANCIAL PARTNERS  COMM STK         42219W108     1965    75200 SH       SOLE           17900        0    57300 
HEARTLAND EXPRESS INC          COMM STK         422347104     1674   110227 SH       SOLE           24600        0    85627 
HEFTEL BROADCASTING   CL       COMM STK         422799106     3386    78000 SH       SOLE           33600        0    44400 
HEILIG MEYERS CO               COMM STK         422893107       54    10500 SH       SOLE            6000        0     4500 
HEINZ (HJ) COMPANY             COMM STK         423074103   165353  3490302 SH       SOLE          927690        0  2562612 
HELMERICH & PAYNE INC          COMM STK         423452101     1798    79268 SH       SOLE           17041        0    62227 
HENRY (JACK) & ASSOCIATE       COMM STK         426281101      344     9370 SH       SOLE            7170        0     2200 
HERCULES INC.                  COMM STK         427056106   179156  7095277 SH       SOLE         1164371        0  5930906 
HERSHEY FOODS CORPORATION      COMM STK         427866108     7788   139079 SH       SOLE           49781        0    89298 
HEWLETT-PACKARD COMPANY        COMM STK         428236103   491673  7250481 SH       SOLE         1392546        0  5857935 
HIBERNIA CORP CLASS A          COMM STK         428656102      194    14800 SH       SOLE           12800        0     2000 
HILTON HOTELS CORPORATION      COMM STK         432848109    59193  4209304 SH       SOLE          934889        0  3274415 
HILTON HOTELS CORPORATION      CONV BND         432848AL3    14816 15720000 PRN      SOLE         7320000        0  8400000 
HITACHI LTD-ADR                ADR              433578507     2437    33500 SH       SOLE            8300        0    25200 
HOLLYWOOD CASINOS              COMM STK         436132203       97    92500 SH       SOLE               0        0    92500 
HOLOPHANE CORP                 COMM STK         43645B106    34252  1556900 SH       SOLE          284700        0  1272200 
HOME DEPOT INC.                COMM STK         437076102   275112  4419466 SH       SOLE         1164381        0  3255085 
ADTL HOME PRODUCTS INTL        COMM STK         437305105     3353   371300 SH       SOLE               0        0   371300 
HOMESTAKE MINING COMPANY     1 COMM STK         437614100    34478  3997392 SH       SOLE         1216346        0  2781046 
HOMESTAKE MINING COMPANY     1 CONV BND         437614AA8    25058 25700000 PRN      SOLE        11680000        0 14020000 
HOMESTEAD VILLAGE INC.         COMM STK         437851108      103    42200 SH       SOLE             200        0    42000 
HON INDUSTRIES                 COMM STK         438092108     5734   261400 SH       SOLE           31800        0   229600 
HONDA MOTOR COMPANY LTD.       ADR              438128308     5545    62300 SH       SOLE           16600        0    45700 
HONEYWELL INC.                 COMM STK         438506107   106617  1406331 SH       SOLE          288439        0  1117892 
HONG KONG TELECOMM LTD         ADR              438579203     1713    87572 SH       SOLE           28638        0    58934 
HORACE MANN EDUCATORS          COMM STK         440327104     1707    73600 SH       SOLE           11200        0    62400 
HOST MARRIOTT CORP             COMM STK         44107P104    10254   921719 SH       SOLE            7230        0   914489 
HOUSEHOLD INTERNATIONAL, INC.  COMM STK         441815107    84825  1859185 SH       SOLE          206908        0  1652277 
HUB GROUP INC         CL       COMM STK         443320106     1511    63950 SH       SOLE           20350        0    43600 
HUBBELL INC CLASS B            COMM STK         443510102      947    25600 SH       SOLE            3400        0    22200 
HUBBELL INC CLASS B            COMM STK         443510201   136494  3412354 SH       SOLE          464500        0  2947854 
HUMANA INC                     COMM STK         444859102     1858   107731 SH       SOLE           46616        0    61115 
HUMAN GENOME SCIENCES          COMM STK         444903108    15744   454300 SH       SOLE           36200        0   418100 
HUNTINGTON BANCSHARES          COMM STK         446150104     4618   149123 SH       SOLE           68634        0    80489 
ICN PHARMACEUTICALS INC        COMM STK         448924100      275    10900 SH       SOLE           10000        0      900 
HYPERION SOLUTIONS CORP        COMM STK         44914M104     2186   150740 SH       SOLE           47480        0   103260 
ICG COMMUNICATIONS INC         COMM STK         449246107    14866   746800 SH       SOLE           71200        0   675600 
IDEC PHARMACEUTICALS           COMM STK         449370105      710    15200 SH       SOLE           15200        0        0 
IDX SYSTEMS CORP               COMM STK         449491109      291    20100 SH       SOLE           14900        0     5200 
IMC FERTILIZER GROUP           COMM STK         449669100    12320   602800 SH       SOLE           52300        0   550500 
IMS HEALTH INC                 COMM STK         449934108    16654   502761 SH       SOLE          208928        0   293833 
ITLA CAPITAL CORPORATION       COMM STK         450565106     1401    95000 SH       SOLE           20100        0    74900 
ITT EDUCATIONAL SERVICES       COMM STK         45068B109    37480   997800 SH       SOLE          118600        0   879200 
ITT INDUSTRIES INC             COMM STK         450911102     2510    70959 SH       SOLE           30611        0    40348 
IDEX CORP                      COMM STK         45167R104     6371   270400 SH       SOLE          177900        0    92500 
IDEXX LABS INC                 COMM STK         45168D104      312    13600 SH       SOLE           13600        0        0 
IKON OFFICE SOLUTIONS          COMM STK         451713101     1631   127277 SH       SOLE           73794        0    53483 
ILLINOIS TOOL WORKS INC.       COMM STK         452308109    13456   217476 SH       SOLE           98833        0   118643 
ILLINOVA CORP.                 COMM STK         452317100     2907   137200 SH       SOLE           35300        0   101900 
ILOG SA                        ADR              452360100      119    23200 SH       SOLE            6960        0    16240 
IMAX                           COMM STK         45245E109    29312  1496000 SH       SOLE          110400        0  1385600 
IMMUNEX CORP NEW               COMM STK         452528102     1131    13600 SH       SOLE           12400        0     1200 
IMPERIAL CHEMICAL INDUSTRIES P ADR              452704505    82301  2298100 SH       SOLE          514300        0  1783800 
IMPERIAL CR INDS INC           COMM STK         452729106      146    16500 SH       SOLE            7900        0     8600 
IMPERIAL CREDIT COMM MRTG      COMM STK         45272T102      392    36400 SH       SOLE             800        0    35600 
IMPERIAL SUGAR CO NEW          COMM STK         453096109     5610   925400 SH       SOLE          273800        0   651600 
IMPERIAL TOBACCO GROUP         ADR              453142101      333    16425 SH       SOLE             675        0    15750 
IMRGLOBAL CORP                 COMM STK         45321W106     1883   105900 SH       SOLE           41300        0    64600 
INACOM CORP                    COMM STK         45323G109     9914  1279272 SH       SOLE          279272        0  1000000 
INCO LIMITED                   COMM STK         453258402   120650  9062915 SH       SOLE         1313648        0  7749267 
INCO LIMITED                   COMM STK         453258709     1017   145300 SH       SOLE           90000        0    55300 
INCO LIMITED                   CONV BND         453258AH8     5683  6350000 PRN      SOLE         3150000        0  3200000 
INCO LIMITED                   CONV BND         453258AK1    35552 40400000 PRN      SOLE        18400000        0 22000000 
INCYTE PHARMACEUTICALS         COMM STK         45337C102    19695   983203 SH       SOLE           65506        0   917697 
INFINITY BROADCASTING CORP     COMM STK         45662S102   129705  5037100 SH       SOLE          722100        0  4315000 
INFOUSA INC                    COMM STK         456818103     1756   382200 SH       SOLE           18800        0   363400 
INFOUSA INC                    COMM STK         456818202     4578  1101400 SH       SOLE           26400        0  1075000 
ING GROUP, NV                  ADR              456837103      631    11487 SH       SOLE            3174        0     8313 
INGERSOLL-RAND CO.             COMM STK         456866102     5796   116786 SH       SOLE           52007        0    64779 
INHALE THERAPEUTIC SYSTEMS     COMM STK         457191104    49528  1828023 SH       SOLE          546723        0  1281300 
INSIGHT ENTERPRISES INC        COMM STK         45765U103     4883   195800 SH       SOLE           55625        0   140175 
INSITUFORM TECHNOLOGIES        COMM STK         457667103    45608  2587700 SH       SOLE          243500        0  2344200 
INNOVATIVE VALVE TECHNOLOGIES  COMM STK         45767J106       39    77200 SH       SOLE               0        0    77200 
INNKEEPERS USA TRUST           COMM STK         4576J0104     9985  1072200 SH       SOLE          199200        0   873000 
INSPIRE INSURANCE SOLUTIONS    COMM STK         457732105     9455   500100 SH       SOLE             100        0   500000 
INTEL CORP.                    COMM STK         458140100   561413  4722720 SH       SOLE         1219450        0  3503270 
INTELLIGENT MEDICAL            COMM STK         45815T106     1277   950000 SH       SOLE               0        0   950000 
INTELLIQUEST INFORMATION       COMM STK         45816H101    10983  1065056 SH       SOLE          315056        0   750000 
INTER-TEL INC                  COMM STK         458372109     1370    88200 SH       SOLE           27700        0    60500 
INTERCARDIA INC                COMM STK         45844M106     3579   415000 SH       SOLE               0        0   415000 
INTERIM SERVICES INC           COMM STK         45868P100    67032  4468832 SH       SOLE          547400        0  3921432 
INTERMEDIA COMMUNICATIONS OF F COMM STK         458801107    10745   401700 SH       SOLE           39400        0   362300 
INTERNATIONAL BUSINESS MACHINE COMM STK         459200101   155362   876511 SH       SOLE          375463        0   501048 
INTL FLAVORS & FRAGRANCE       COMM STK         459506101   230553  6137862 SH       SOLE         1132605        0  5005257 
INTERNATIONAL GAME TECHNOLOGY  COMM STK         459902102      243    16700 SH       SOLE            6600        0    10100 
INTL MULTIFOODS CORP           COMM STK         460043102     5733   245900 SH       SOLE           61300        0   184600 
INTERNATIONAL NETWORK SVCS     COMM STK         460053101     5606    80200 SH       SOLE           32500        0    47700 
INTERNATIONAL PAPER CO.        COMM STK         460146103   102572  2431342 SH       SOLE          538379        0  1892963 
INTERNATIONAL SHIPHOLDING CORP COMM STK         460321201    11341   907262 SH       SOLE           74100        0   833162 
INTERPORE INTL                 COMM STK         46062W107       72    16104 SH       SOLE            7200        0     8904 
INTERPUBLIC GROUP COS          COMM STK         460690100    27402   351876 SH       SOLE           76397        0   275479 
INTERVOICE INC                 COMM STK         461142101     1700   155000 SH       SOLE           39000        0   116000 
INTEVAC INC                    COMM STK         461148108     3327   578640 SH       SOLE          578640        0        0 
INTIMATE BRANDS INC CL A       COMM STK         461156101     3042    63200 SH       SOLE           23700        0    39500 
INTUIT                         COMM STK         461202103   121167  1191200 SH       SOLE          161900        0  1029300 
ITG INVESTMENT TECH GRP        COMM STK         461450108    10923   215500 SH       SOLE            4800        0   210700 
IPALCO ENTERPRISES, INC.       COMM STK         462613100      452    20600 SH       SOLE           17400        0     3200 
IRIDEX CORPORATION             COMM STK         462684101     1677   383286 SH       SOLE           33286        0   350000 
IRON MOUNTAIN                  COMM STK         46284P104    14590   467350 SH       SOLE           41400        0   425950 
ISIS PHARMACEUTICALS           COMM STK         464330109      697    59200 SH       SOLE           59200        0        0 
ISLE OF CAPRI CASINOS          COMM STK         464592104     1929   419900 SH       SOLE           25000        0   394900 
IT GROUP INC                   COMM STK         465266104    18518  1438300 SH       SOLE          300400        0  1137900 
IT GROUP INC                   CVPFDSTK         465266302     3391   155000 SH       SOLE               0        0   155000 
IVEX PACKAGING CORP.           COMM STK         465855104     7241   476800 SH       SOLE          214900        0   261900 
J & J SNACK FOODS CORP         COMM STK         466032109     2421   118800 SH       SOLE           23500        0    95300 
JLG INDUSTRIES INC             COMM STK         466210101    34406  2525200 SH       SOLE          608700        0  1916500 
JP REALTY INC                  COMM STK         46624A106     6930   352000 SH       SOLE           57700        0   294300 
J S B FINANCIAL INC            COMM STK         46624M100      491     9800 SH       SOLE            3300        0     6500 
JABIL CIRCUIT INCORPORAT       COMM STK         466313103      608    15000 SH       SOLE           13400        0     1600 
JACOR COMM INC                 COMM STK         469858401   165642  2180400 SH       SOLE          181600        0  1998800 
JEFFERSON-PILOT CORPORATION    COMM STK         475070108     6342    93605 SH       SOLE           32849        0    60756 
FABRI-CENTERS OF AMERICA       COMM STK         47758P208    14513  1350000 SH       SOLE          187000        0  1163000 
JOHNS MANVILLE CORP            COMM STK         478129109     6455   374200 SH       SOLE          177600        0   196600 
JOHNSON & JOHNSON              COMM STK         478160104   346591  3699441 SH       SOLE         1285423        0  2414018 
JOHNSON CONTROLS INC.          COMM STK         478366107     3626    58129 SH       SOLE           25965        0    32164 
JONES APPAREL GROUP INC        COMM STK         480074103    93711  3354300 SH       SOLE          647400        0  2706900 
JONES LANG LASALLE INC         COMM STK         48020Q107    32715  1090500 SH       SOLE          264000        0   826500 
JONES PHARMA INC               COMM STK         480236108     3393    98350 SH       SOLE           36250        0    62100 
JOS A BANK CLOTHIERS INC       COMM STK         480838101     1231   200000 SH       SOLE               0        0   200000 
JOSTENS INC                    COMM STK         481088102      482    22671 SH       SOLE           10698        0    11973 
JUNO LIGHTING INC              COMM STK         482047107    17483   779200 SH       SOLE          236700        0   542500 
KLA INSTRUMENTS                COMM STK         482480100    26461   544540 SH       SOLE          132439        0   412101 
K MART CORPORATION             COMM STK         482584109     5451   324199 SH       SOLE          136443        0   187756 
KN ENERGY INC.                 COMM STK         482620101      548    27479 SH       SOLE           25350        0     2129 
K-TRON INTERNATIONAL INC       COMM STK         482730108     4563   250000 SH       SOLE               0        0   250000 
K V PHARMACEUTICAL CO          COMM STK         482740206      764    53400 SH       SOLE           18000        0    35400 
KANSAS CITY POWER & LIGHT CO.  COMM STK         485134100    21744   883000 SH       SOLE          419600        0   463400 
KANSAS CITY SO IND INC         COMM STK         485170104     4614    80950 SH       SOLE           52750        0    28200 
KAUFMAN & BROAD HOME COR       COMM STK         486168107      685    30349 SH       SOLE           14092        0    16257 
KAYDON CORP                    COMM STK         486587108     1179    40760 SH       SOLE           19800        0    20960 
KEANE INC                      COMM STK         486665102     2837   133100 SH       SOLE           45600        0    87500 
KELLOGG COMPANY                COMM STK         487836108   120019  3549546 SH       SOLE          744347        0  2805199 
KENNAMETAL INC                 COMM STK         489170100      515    29400 SH       SOLE           18000        0    11400 
KERAVISION INC                 COMM STK         492061106      673    44100 SH       SOLE           31800        0    12300 
KERR-MCGEE CORP.               COMM STK         492386107    13449   409875 SH       SOLE          170720        0   239156 
KEYCORP                        COMM STK         493267108    15008   495098 SH       SOLE          152744        0   342354 
KEYSPAN ENERGY                 COMM STK         49337K106      471    18740 SH       SOLE           17100        0     1640 
KEYSTONE AUTO INDS INCCO       COMM STK         49338N109     7475   462700 SH       SOLE           51300        0   411400 
KILROY RLTY CORP               COMM STK         49427F108     1308    63800 SH       SOLE           10300        0    53500 
KIMBERLY-CLARK CORP.           COMM STK         494368103   328670  6856225 SH       SOLE         1504787        0  5351438 
KIMCO REALTY CORP              COMM STK         49446R109     1077    29200 SH       SOLE           13600        0    15600 
KING PHARMACEUTICAL INC        COMM STK         495582108    10022   362800 SH       SOLE           12800        0   350000 
KING WORLD PRODUCTIONS         COMM STK         495667107     1458    47719 SH       SOLE           21830        0    25889 
KNOLL INC                      COMM STK         498904101     7918   321525 SH       SOLE          262525        0    59000 
KNIGHT-RIDDER INC.             COMM STK         499040103   148617  2972341 SH       SOLE          626026        0  2346315 
KOHLS CORP                     COMM STK         500255104    14647   206661 SH       SOLE           68750        0   137911 
PHILIPS ELECTRONICS N.V.       ADR              500472105     4856    58900 SH       SOLE           13600        0    45300 
KROGER CO.                     COMM STK         501044101    16738   279551 SH       SOLE           82996        0   196555 
KROLL O GARA CO                COMM STK         501050108      800    29500 SH       SOLE           29500        0        0 
LG&E ENERGY CORP.              COMM STK         501917108      224    10769 SH       SOLE            6700        0     4069 
LSI LOGIC CORP                 COMM STK         502161102     3105    99550 SH       SOLE           44473        0    55077 
LSI INDUSTRIES INC             COMM STK         50216C108     6825   400000 SH       SOLE               0        0   400000 
L-3 COMMUNICATION CORP         COMM STK         502424104     2831    61200 SH       SOLE           16200        0    45000 
LA-Z-BOY CHAIR CO              COMM STK         505336107      226    11900 SH       SOLE           11000        0      900 
LAFARGE CORP                   COMM STK         505862102      213     7600 SH       SOLE            6100        0     1500 
LAMAR ADVERTISING              COMM STK         512815101    18503   544700 SH       SOLE           90200        0   454500 
LANCASTER COLONY CORP          COMM STK         513847103     3734   140398 SH       SOLE           44100        0    96298 
LANDAUER INC                   COMM STK         51476K103    19811   821200 SH       SOLE          109500        0   711700 
LANDS END INC                  COMM STK         515086106     1631    47100 SH       SOLE           35900        0    11200 
LANDSTAR SYS INC      CO       COMM STK         515098101    13895   417900 SH       SOLE          107700        0   310200 
LASON HOLDINGS INC             COMM STK         51808R107    18237   324400 SH       SOLE           53700        0   270700 
LATTICE SEMICONDUCTOR          COMM STK         518415104    48000  1053500 SH       SOLE           68500        0   985000 
LAYNE CHRISTENSEN CO           COMM STK         521050104     7273  1271800 SH       SOLE          247100        0  1024700 
LEAR CORP                      COMM STK         521865105      879    20600 SH       SOLE           18400        0     2200 
LEARNING TREE INTERNATIO       COMM STK         522015106     8418   847100 SH       SOLE           30900        0   816200 
LEASING SOLUTION INC.          COMM STK         522113109      925   400000 SH       SOLE               0        0   400000 
LEE ENTERPRISES                COMM STK         523768109     1699    58600 SH       SOLE            8600        0    50000 
LEGATO SYSTEMS INC             COMM STK         524651106     5090    98900 SH       SOLE           34200        0    64700 
LEGGETT & PLATT INC            COMM STK         524660107     1538    76900 SH       SOLE           36850        0    40050 
LEGG MASON, INC.               COMM STK         524901105    26329   781564 SH       SOLE           60966        0   720598 
LEHMAN BROTHERS HOLDINGS INC.  COMM STK         524908100     4625    77399 SH       SOLE           32333        0    45066 
LENNAR CORP                    COMM STK         526057104     3327   148700 SH       SOLE          134700        0    14000 
LEUCADIA NATIONAL              COMM STK         527288104    20724   685100 SH       SOLE          304400        0   380700 
LEVEL ONE COMMUNICATIONS       COMM STK         527295109     7435   152800 SH       SOLE           51250        0   101550 
LEVEL 3 COMMUNICATIONS         COMM STK         52729N100      634     8700 SH       SOLE            4000        0     4700 
LEXMARK INTERNATIONAL GR       COMM STK         529771107     2693    24100 SH       SOLE            8600        0    15500 
LIFELINE SYSTEMS INC           COMM STK         532192101     6142   264900 SH       SOLE           54700        0   210200 
LIGAND PHARMACEUTICALS         COMM STK         53220K207     5221   630400 SH       SOLE             400        0   630000 
LILLY (ELI) AND COMPANY        COMM STK         532457108   197329  2324932 SH       SOLE          711589        0  1613343 
LILLY INDUSTRIES INC           COMM STK         532491107      850    54850 SH       SOLE           42850        0    12000 
LIMITED (THE), INC.            COMM STK         532716107     5916   149306 SH       SOLE           64077        0    85229 
LINCARE HLDGS INC              COMM STK         532791100     5043   179500 SH       SOLE           70600        0   108900 
LINCOLN ELECTRIC HLDGS         COMM STK         533900106     1077    57800 SH       SOLE           32800        0    25000 
LINCOLN NATIONAL CORPORATION   COMM STK         534187109   111628  1128976 SH       SOLE          253825        0   875151 
LINEAR TECHNOLOGY CORP         COMM STK         535678106    69499  1353600 SH       SOLE          204700        0  1148900 
LINENS N THINGS INC            COMM STK         535679104    14357   316400 SH       SOLE           59200        0   257200 
LIPOSOME COMPANY INC           COMM STK         536310105      941    69900 SH       SOLE           18300        0    51600 
LIQUI-BOX CORP                 COMM STK         536314107     8485   173600 SH       SOLE           63600        0   110000 
LITTELFUSE INC                 COMM STK         537008104    19063  1033900 SH       SOLE          340200        0   693700 
LIZ CLAIBORNE                  COMM STK         539320101     1602    49102 SH       SOLE           18380        0    30722 
LO-JACK CORPORATION            COMM STK         539451104     3893   492400 SH       SOLE           98600        0   393800 
LOCKHEED MARTIN CORPORATION    COMM STK         539830109    23691   628621 SH       SOLE          242146        0   386475 
LOEWS CORPORATION              COMM STK         540424108    86191  1154986 SH       SOLE          488083        0   666903 
LONE STAR TECHNOLOGIES         COMM STK         542312103     7010   560800 SH       SOLE          230800        0   330000 
LONGS DRUG STORES CORP         COMM STK         543162101      841    27619 SH       SOLE           11420        0    16199 
LOUISIANA-PACIFIC CORPORATION  COMM STK         546347105     1330    71424 SH       SOLE           28085        0    43339 
LOWE'S COMPANIES INC.          COMM STK         548661107    15528   256661 SH       SOLE          110664        0   145997 
LUBRIZOL CORP.                 COMM STK         549271104     2100    93350 SH       SOLE           82450        0    10900 
LUCENT TECHNOLOGIES INC.       COMM STK         549463107   113678  1055019 SH       SOLE          429778        0   625241 
LUNAR CORP                     COMM STK         550362107     2144   329900 SH       SOLE          139200        0   190700 
LYDALL INC                     COMM STK         550819106     4159   500300 SH       SOLE             300        0   500000 
LYONDELL PETROCHEMICAL CO.     COMM STK         552078107      172    12600 SH       SOLE            4500        0     8100 
M&T BANK CORPORATION           COMM STK         55261F104      240      500 SH       SOLE             100        0      400 
MBIA INC.                      COMM STK         55262C100     4533    78153 SH       SOLE           32539        0    45614 
MBNA CORPORATION               COMM STK         55262L100    13097   548576 SH       SOLE          239147        0   309429 
MCN ENERGY GROUP, INC.         COMM STK         55267J100      252    15696 SH       SOLE           12400        0     3296 
MCI WORLDCOM, INC.             COMM STK         55268B106   924462 10442211 SH       SOLE         1848465        0  8593746 
MGIC INVT CORP WIS             COMM STK         552848103    67074  1912986 SH       SOLE          206098        0  1706888 
M/A/R/C INC                    COMM STK         552914103     1063   100000 SH       SOLE               0        0   100000 
MGM GRAND INC                  COMM STK         552953101      377    11198 SH       SOLE           10200        0      998 
MMC NETWORKS INC               COMM STK         55308N102      165    10300 SH       SOLE           10300        0        0 
MPW INDUSTRIAL SERVICES GRP    COMM STK         553444100     3499   430600 SH       SOLE           46400        0   384200 
MSC INDUSTRIAL DIRECT          COMM STK         553530106    64432  3790100 SH       SOLE          835700        0  2954400 
M S CARRIER INC                COMM STK         553533100     3363   126300 SH       SOLE             200        0   126100 
MYR GROUP INC                  COMM STK         554053108     5065   433333 SH       SOLE               0        0   433333 
MACDERMID INC                  COMM STK         554273102      377    11100 SH       SOLE           11100        0        0 
MACK CALI REALTY CORP          COMM STK         554489104      643    21900 SH       SOLE            3200        0    18700 
MACMILLAN BLOEDEL LTD.         COMM STK         554783209    49690  4466500 SH       SOLE         2141500        0  2325000 
MACROMEDIA INC                 COMM STK         556100105     2257    49800 SH       SOLE           17900        0    31900 
MADISON GAS & ELECTRIC C       COMM STK         557497104     6818   350200 SH       SOLE             200        0   350000 
MAIL-WELL                      COMM STK         560321200      420    31400 SH       SOLE           30300        0     1100 
MALLINCKRODT INC.              COMM STK         561232109     1340    50315 SH       SOLE           23648        0    26667 
MANPOWER INC $.01 PAR          COMM STK         56418H100      919    39300 SH       SOLE           24200        0    15100 
MANUFACTURED HOMES             COMM STK         564682102    10270   427900 SH       SOLE             500        0   427400 
MARKEL CORP                    COMM STK         570535104    19611   108800 SH       SOLE           26900        0    81900 
MARSH & MCLENNAN CO INC        COMM STK         571748102    23878   321863 SH       SOLE          124529        0   197334 
MARSHALL & ILSLEY CORP.        COMM STK         571834100     5335    96289 SH       SOLE           30889        0    65400 
MARRIOTT INTL INC NEW          COMM STK         571903202     5541   164795 SH       SOLE           70710        0    94085 
MARTIN INDUSTRIES INC          COMM STK         57326K102     1038   400000 SH       SOLE               0        0   400000 
MARTIN MARIETTA MATERIALS      COMM STK         573284106      217     3800 SH       SOLE            3200        0      600 
MASCO CORPORATION              COMM STK         574599106   111875  3960178 SH       SOLE          818902        0  3141276 
MASTECH CORP                   COMM STK         57632N105     1796   138800 SH       SOLE           36500        0   102300 
MATERIAL SCIENCES CORP         COMM STK         576674105     5545   869800 SH       SOLE          211800        0   658000 
MATTEL INC.                    COMM STK         577081102    24787   996454 SH       SOLE          312147        0   684307 
MATTHEWS INTL CORP             COMM STK         577128101    28298  1023200 SH       SOLE          340400        0   682800 
MAXIM INTEGRATED               COMM STK         57772K101   517274  9557032 SH       SOLE         1467600        0  8089432 
MAY DEPARTMENT STORES CO.      COMM STK         577778103    91557  2340112 SH       SOLE          543805        0  1796308 
MAXIMUS INC                    COMM STK         577933104     4631   159000 SH       SOLE           29200        0   129800 
MAYTAG CORP.                   COMM STK         578592107     3600    59626 SH       SOLE           27150        0    32476 
MCCORMICK & CO. INC.           COMM STK         579780206   165890  5726525 SH       SOLE         1187250        0  4539275 
MCDERMOTT INTERNATIONAL INC.   COMM STK         580037109    20475   808873 SH       SOLE           78112        0   730761 
MCDONALD'S CORP.               COMM STK         580135101   163779  3614435 SH       SOLE         1295820        0  2318615 
MCGRATH RENTCORP               COMM STK         580589109    37018  2063700 SH       SOLE          277300        0  1786400 
MCGRAW-HILL COMPANIES, INC.    COMM STK         580645109    13536   248364 SH       SOLE           78362        0   170002 
MCKESSON HBOC INC              COMM STK         58155Q103    77227  1170105 SH       SOLE          305383        0   864722 
MCLEOD, INC.                   COMM STK         582266102     2123    50500 SH       SOLE           40700        0     9800 
MEAD CORPORATION               COMM STK         582834107     3037    98774 SH       SOLE           30457        0    68317 
MEDALLION FINANCIAL CORP       COMM STK         583928106     6436   427300 SH       SOLE          132400        0   294900 
MEDAPHIS CORP                  COMM STK         584028104       38    15700 SH       SOLE            1100        0    14600 
MEDCO RESEARCH INC             COMM STK         584059109     3448   132600 SH       SOLE           28900        0   103700 
MEDE AMERICA CORP              COMM STK         584067102     4977   250000 SH       SOLE               0        0   250000 
MEDIA GENERAL CL A             COMM STK         584404107     1562    33600 SH       SOLE            7100        0    26500 
MEDIAONE GROUP, INC.           COMM STK         58440J104    76934  1211554 SH       SOLE          439124        0   772430 
MEDICAL ASSURANCE INC          COMM STK         58449U100    31316  1118429 SH       SOLE          167325        0   951104 
MEDIMMUNE INC                  COMM STK         584699102    31200   526300 SH       SOLE          138700        0   387600 
MEDQUIST INC                   COMM STK         584949101     2404    79800 SH       SOLE           18200        0    61600 
MEDITRUST CORPORATION          COMM STK         58501T306     1150    92469 SH       SOLE           87647        0     4822 
MEDPARTNERS INC                COMM STK         58503X107       60    12664 SH       SOLE            9446        0     3218 
MEDTRONIC INC                  COMM STK         585055106   116989  1630514 SH       SOLE          556655        0  1073859 
MELITA INTERNATIONAL COR       COMM STK         585493109      196    15100 SH       SOLE           15100        0        0 
MELLON BANK CORPORATION        COMM STK         585509102   476436  6769965 SH       SOLE         1494173        0  5275792 
MEMBERWORKS INC                COMM STK         586002107     9195   254100 SH       SOLE            4100        0   250000 
MENS WEARHOUSE INC             COMM STK         587118100     5115   177325 SH       SOLE           89050        0    88275 
MENTOR CORP-MINN               COMM STK         587188103    35692  2430100 SH       SOLE          343000        0  2087100 
MERCANTILE BANCORPORATION INC. COMM STK         587342106    21210   446536 SH       SOLE          110400        0   336136 
MERCANTILE BANKSHARES CORPORAT COMM STK         587405101    89118  2439500 SH       SOLE          437550        0  2001950 
MERCK & CO. INC.               COMM STK         589331107   508844  6345682 SH       SOLE         1879534        0  4466148 
MERCURY GENERAL CORP NEW       COMM STK         589400100     4722   135400 SH       SOLE           35060        0   100340 
MERCURY INTERACTIVE CPCO       COMM STK         589405109     4489   125900 SH       SOLE           64600        0    61300 
MEREDITH CORP                  COMM STK         589433101    26334   837669 SH       SOLE          305783        0   531886 
MERRILL CORP                   COMM STK         590175105      763    57600 SH       SOLE           11600        0    46000 
MERRILL LYNCH & CO., INC.      COMM STK         590188108    21960   248311 SH       SOLE          113109        0   135202 
MESA AIR GROUP INC             COMM STK         590479101      116    18700 SH       SOLE             300        0    18400 
MESABA HOLDINGS INC            COMM STK         59066B102     1845   138950 SH       SOLE           34700        0   104250 
META GROUP INC                 COMM STK         591002100    21135  1371850 SH       SOLE          250150        0  1121700 
METAMOR WORLDWIDE INC          COMM STK         59133P100    58041  4164400 SH       SOLE          435100        0  3729300 
METHODE ELECTRONICS CL A       COMM STK         591520200    20245  1835200 SH       SOLE          448800        0  1386400 
METROMEDIA FIBER NETWORK       COMM STK         591689104     1138    21900 SH       SOLE           21300        0      600 
METROMEDIA INTL GROUP          COMM STK         591695101     6283  1288900 SH       SOLE          288900        0  1000000 
METRO NETWORKS INC             COMM STK         591918107    13519   246500 SH       SOLE           72000        0   174500 
METZLER GROUP (THE)            COMM STK         592903108     1941    62000 SH       SOLE           30600        0    31400 
MEYER (FRED) INC.              COMM STK         592907109   263650  4478134 SH       SOLE          776870        0  3701264 
MICREL SEMICONDUCTOR           COMM STK         594793101    37156   742650 SH       SOLE           35650        0   707000 
MICROSOFT CORP                 COMM STK         594918104   933596 10420320 SH       SOLE         2998060        0  7422260 
MICROSTRATEGY INC              COMM STK         594972101      318    16500 SH       SOLE           16500        0        0 
MICROCHIP TECHNOLGY INC        COMM STK         595017104     4729   136825 SH       SOLE           58400        0    78425 
MICROCIDE PHARMACEUTICAL       COMM STK         595018102      115    27761 SH       SOLE           27761        0        0 
MICROMUSE INC                  COMM STK         595094103      851    18500 SH       SOLE           18500        0        0 
MICRON TECHNOLOGY              COMM STK         595112103    10620   220109 SH       SOLE          118427        0   101682 
MICROTOUCH SYS INC             COMM STK         595145103      130    10800 SH       SOLE           10800        0        0 
MIDAMERICAN ENERGY HOLDINGS CO COMM STK         59562V107      795    28400 SH       SOLE           26000        0     2400 
MILACRON INC.                  COMM STK         598709103      455    28887 SH       SOLE           11890        0    16997 
MILLENIUM PHARMACEUTICALS INC  COMM STK         599902103    34053  1095175 SH       SOLE          275975        0   819200 
MILLENNIUM CHEMICALS INC.      COMM STK         599903101     3287   165400 SH       SOLE           13500        0   151900 
MILLER (HERMAN) INC            COMM STK         600544100      285    15700 SH       SOLE           14500        0     1200 
MILLIPORE CORP                 COMM STK         601073109     1040    43093 SH       SOLE           26866        0    16227 
MINDSPRING ENTERPRISESCO       COMM STK         602683104      379     4400 SH       SOLE            4200        0      200 
MINE SAFETY APPLIANCES         COMM STK         602720104      921    12100 SH       SOLE             100        0    12000 
MINIMED INC                    COMM STK         60365K108      213     2100 SH       SOLE            2100        0        0 
MINNESOTA MINING & MANUFACTURI COMM STK         604059105   215912  3051764 SH       SOLE          734043        0  2317721 
MINNTECH CORP                  COMM STK         604258103     8501   675000 SH       SOLE               0        0   675000 
MIPS TECHNOLOGIES INC          COMM STK         604567107      646    10600 SH       SOLE           10400        0      200 
MIRAGE RESORTS, INC.           COMM STK         60462E104    35193  1656158 SH       SOLE          375066        0  1281092 
MITCHELL ENERGY & DEVELOPMENT  COMM STK         606592301    27439  2195100 SH       SOLE          860100        0  1335000 
MOBIUS MANAGEMENT SYSTEMS      COMM STK         606925105      802    38209 SH       SOLE           25463        0    12746 
MOBIL CORPORATION              COMM STK         607059102   499504  5676180 SH       SOLE         1229480        0  4446700 
MODINE MFG CO                  COMM STK         607828100     5323   189900 SH       SOLE          133400        0    56500 
MODIS PROFESSIONAL SERVICES IN COMM STK         607830106    46201  5098000 SH       SOLE           69300        0  5028700 
MOHAWK INDS INC CO             COMM STK         608190104      288     9600 SH       SOLE            7700        0     1900 
MOLEX INC CLASS A NON-         COMM STK         608554101     7064   239972 SH       SOLE           37656        0   202316 
MONARCH DENTAL CORP            COMM STK         609044102     1159   374500 SH       SOLE           96700        0   277800 
MONSANTO COMPANY               COMM STK         611662107    29447   641030 SH       SOLE          243223        0   397807 
MONTANA POWER CO.              COMM STK         612085100      346     4700 SH       SOLE            4100        0      600 
MOORE CORP LTD                 COMM STK         615785102      608    61569 SH       SOLE           22372        0    39197 
JP MORGAN & CO. INC.           COMM STK         616880100   223303  1809952 SH       SOLE          415526        0  1394426 
MORGAN STANLEY DEAN WITTER & C COMM STK         617446448   221910  2220485 SH       SOLE          328495        0  1891990 
MORTON INTL IND INC            COMM STK         619335102    11188   304438 SH       SOLE           43404        0   261034 
MOSAIX INC                     COMM STK         619454101     8303   984020 SH       SOLE          382020        0   602000 
MOTOROLA INC.                  COMM STK         620076109    55494   757599 SH       SOLE          299897        0   457702 
MURPHY OIL CORP                COMM STK         626717102    56495  1361330 SH       SOLE          422500        0   938830 
MUTUAL RISK MANAGEMENT LTD.    COMM STK         628351108   100924  2638526 SH       SOLE          439264        0  2199262 
MYERS INDUSTRIES INC           COMM STK         628464109    10211   483344 SH       SOLE          153100        0   330244 
MYLAN LABS INC                 COMM STK         628530107      373    13600 SH       SOLE           12300        0     1300 
NBTY INC                       COMM STK         628782104       74    15500 SH       SOLE           15500        0        0 
NCI BUILDING SYSINC            COMM STK         628852105     2963   126100 SH       SOLE           30100        0    96000 
NCO GROUP INC                  COMM STK         628858102     4988   135500 SH       SOLE           35600        0    99900 
NCR CORP                       COMM STK         62886E108    11866   237326 SH       SOLE           28218        0   209108 
NCS HEALTHCARE INC             COMM STK         628874109    14058  1153500 SH       SOLE          237900        0   915600 
NISOURCE INC                   COMM STK         629140104     9709   359600 SH       SOLE           44500        0   315100 
NN BALL & ROLLER INC           COMM STK         629305103     2079   367500 SH       SOLE               0        0   367500 
NPS PHARMACEUTICALS INC        COMM STK         62936P103    11800  1600000 SH       SOLE               0        0  1600000 
NTL INCORPORATED               COMM STK         629407107    23214   285165 SH       SOLE            5800        0   279365 
NYMAGIC INC                    COMM STK         629484106     6665   512700 SH       SOLE             100        0   512600 
NABISCO HOLDINGS CORP          COMM STK         629526104      274     6600 SH       SOLE            5000        0     1600 
NACCO INDUSTRIES INC           COMM STK         629579103      494     6665 SH       SOLE            2591        0     4074 
NALCO CHEMICAL CO.             COMM STK         629853102    70219  2643522 SH       SOLE          523709        0  2119813 
NATIONAL CITY CORPORATION      COMM STK         635405103   139486  2101488 SH       SOLE          438893        0  1662595 
NATIONAL COMPUTER SYSTEM       COMM STK         635519101     2420    98790 SH       SOLE           17700        0    81090 
NATIONAL DATA CORP             COMM STK         635621105   172062  4096709 SH       SOLE          686009        0  3410700 
NATIONAL HEALTH REALTY INC     COMM STK         635905102     6815   619563 SH       SOLE           40000        0   579563 
NATIONAL FUEL GAS CO.          COMM STK         636180101      412    10500 SH       SOLE            9000        0     1500 
NATIONAL HLTH INVESTORS        COMM STK         63633D104     5420   252100 SH       SOLE           59900        0   192200 
NATIONAL SEMICONDUCTOR CORP.   COMM STK         637640103     1007   108092 SH       SOLE           47481        0    60611 
NATIONAL SEMICONDUCTOR CORP.   CONV BND         637640AB9    16640 19925000 PRN      SOLE         9425000        0 10500000 
NATIONAL SERVICE INDS IN       COMM STK         637657107     1100    32300 SH       SOLE           16086        0    16214 
NATIONWIDE FINANCIAL SERVICES  COMM STK         638612101     1575    37500 SH       SOLE             500        0    37000 
NATIONWIDE HLTH PROPERTY       COMM STK         638620104     6713   353300 SH       SOLE            1000        0   352300 
NATROL INC                     COMM STK         638789107     6063  1000000 SH       SOLE               0        0  1000000 
NAUTICA ENTERPRISES INC        COMM STK         639089101    20634  1814000 SH       SOLE          282300        0  1531700 
NAVISTAR INTL CORP NEW         COMM STK         63934E108     1811    45061 SH       SOLE           17747        0    27314 
NEIMAN MARCUS GROUP INC        COMM STK         640204103    17697   782175 SH       SOLE          215975        0   566200 
NEOPATH INC                    COMM STK         640517108      257    60072 SH       SOLE           50072        0    10000 
NET BANK INC                   COMM STK         640933107      320     4700 SH       SOLE            4700        0        0 
NETWORKS ASSOCIATES INC.       COMM STK         640938106   302482  9846835 SH       SOLE         1128361        0  8718474 
NETGRAVITY INC                 COMM STK         641114103    12366   300000 SH       SOLE               0        0   300000 
NETWORK APPLIANCE INC          COMM STK         64120L104     3447    68000 SH       SOLE           53000        0    15000 
NETWORK SOLUTIONS INC          COMM STK         64121Q102     1249    11800 SH       SOLE           11400        0      400 
NEUROCRINE BIOSCIENCES         COMM STK         64125C109    11779  2243543 SH       SOLE          333443        0  1910100 
NEVADA POWER CO.               COMM STK         641423108     3557   143700 SH       SOLE           68700        0    75000 
NEW CENTURY ENERGIES, INC.     COMM STK         64352U103     2952    86664 SH       SOLE           36565        0    50099 
NEW ENGLAND BUSINESS SVC       COMM STK         643872104    26527   924700 SH       SOLE          134000        0   790700 
NEW ENGLAND ELECTRIC SYSTEM    COMM STK         644001109     4981   102700 SH       SOLE           31900        0    70800 
NEW PLAN EXCEL REALTY TRUST IN COMM STK         648053106      641    33400 SH       SOLE           32300        0     1100 
NEW YORK TIMES COMPANY         COMM STK         650111107    31345  1099826 SH       SOLE          526678        0   573148 
NEWFIELD EXPLORATION COM       COMM STK         651290108     3665   162000 SH       SOLE          162000        0        0 
NEWMONT MINING CO              COMM STK         651639106   168845  9648309 SH       SOLE         2008335        0  7639974 
NEWPARK RESOURCES INC.         COMM STK         651718504     6793   936900 SH       SOLE          450100        0   486800 
NEWS CORPORATION LTD.          ADR              652487703     7375   250000 SH       SOLE               0        0   250000 
NEWS CORPORATION LTD.          ADR              652487802     8338   303200 SH       SOLE           48200        0   255000 
NEWSEDGE CORP                  COMM STK         65249Q106      195    22953 SH       SOLE           22953        0        0 
NEXTEL COMMUNICATIONS          COMM STK         65332V103     8970   244506 SH       SOLE          110032        0   134474 
NEXTLINK COMMUNICATIONS, INC   COMM STK         65333H707     1658    29600 SH       SOLE           23100        0     6500 
NIAGARA MOWHAWK HLDNGS         COMM STK         653520106    66432  4943799 SH       SOLE         1671066        0  3272733 
NICHOLS RESEARCH CORP          COMM STK         653818104    11491   606800 SH       SOLE          159800        0   447000 
NIELSEN MEDIA RESEARCH         COMM STK         653929307      257    10400 SH       SOLE            4600        0     5800 
NICOR INC.                     COMM STK         654086107     1861    51776 SH       SOLE           32321        0    19455 
NIKE INC.                      COMM STK         654106103    25261   437888 SH       SOLE          129880        0   308008 
NOBLE AFFILIATES, INC.         COMM STK         654894104    13917   479900 SH       SOLE           53800        0   426100 
NOKIA                          ADR              654902204   152604   979800 SH       SOLE          156000        0   823800 
NOBLE DRILLING CORP            COMM STK         655042109      209    12100 SH       SOLE           10500        0     1600 
NORDSON CORP                   COMM STK         655663102     3994    71600 SH       SOLE           11600        0    60000 
NORDSTROM, INC.                COMM STK         655664100     4076    99640 SH       SOLE           44306        0    55334 
NORFOLK SOUTHERN CORPORATION   COMM STK         655844108   271216 10283080 SH       SOLE         1742154        0  8540926 
NORTH AMER VACCINE INC         COMM STK         657201109     3000   500000 SH       SOLE               0        0   500000 
NO EUROPEAN OIL RTY TR         COMM STK         659310106      134    10000 SH       SOLE               0        0    10000 
NORTH FACE INC                 COMM STK         659317101      648    51200 SH       SOLE           13900        0    37300 
NORTH FORK BANCORP             COMM STK         659424105    53686  2541350 SH       SOLE          580900        0  1960450 
NORTHERN STATES POWER (MINN)   COMM STK         665772109     2466   106355 SH       SOLE           43456        0    62899 
NORTEL NETWORKS CORP           COMM STK         665815106    27944   449806 SH       SOLE          199047        0   250759 
NORTHERN TRUST CORPORATION     COMM STK         665859104    21470   241661 SH       SOLE          141624        0   100037 
NORTHFIELD LABS INC            COMM STK         666135108     3267   296200 SH       SOLE           65700        0   230500 
NORTHROP GRUMMAN CORP.         COMM STK         666807102     5038    84136 SH       SOLE           28323        0    55813 
NOVA CORP                      COMM STK         669784100    95649  3643754 SH       SOLE          542995        0  3100759 
NOVELL INC                     COMM STK         670006105   100509  3985478 SH       SOLE          338432        0  3647046 
NOVELLUS SYSTEMS INC           COMM STK         670008101     3579    65000 SH       SOLE           14400        0    50600 
NOVEN PHARMACEUTICALS IN       COMM STK         670009109     2328   500000 SH       SOLE               0        0   500000 
NOVOSTE CORPORATION            COMM STK         67010C100     3148   131000 SH       SOLE           49300        0    81700 
NVIDIA CORP                    COMM STK         67066G104     4231   200000 SH       SOLE               0        0   200000 
OEA INC                        COMM STK         670826106    10558  1279800 SH       SOLE          316400        0   963400 
OAKWOOD HOMES CORP             COMM STK         674098108      890    63300 SH       SOLE           52000        0    11300 
OBJECT DESIGN INC              COMM STK         674416102       51    10000 SH       SOLE           10000        0        0 
OCCIDENTAL PETROLEUM CORP.     COMM STK         674599105    32262  1792360 SH       SOLE          446065        0  1346295 
OCEANEERING INTL INC           COMM STK         675232102     2108   139400 SH       SOLE           27400        0   112000 
OCTEL CORP                     COMM STK         675727101    21689  1770525 SH       SOLE          814250        0   956275 
OFFICE DEPOT INC.              COMM STK         676220106   122297  3322150 SH       SOLE           82750        0  3239400 
OFFSHORE LOGISITICS, INC.      COMM STK         676255102     1296   111200 SH       SOLE           10400        0   100800 
OFFSHORE LOGISITICS, INC.      CONV BND         676255AD4     1725  2000000 PRN      SOLE               0        0  2000000 
OGDEN CORP                     COMM STK         676346109      282    11700 SH       SOLE           11700        0        0 
OGDEN CORP                     CONV BND         676346AD1      854   900000 PRN      SOLE          400000        0   500000 
OHIO CAS CORP                  COMM STK         677240103     8766   224600 SH       SOLE           24600        0   200000 
OIL DRI CORP OF AMERICA        COMM STK         677864100     8126   558000 SH       SOLE           40000        0   518000 
OLD KENT FINANCIAL CORPORATION COMM STK         679833103      558    13204 SH       SOLE           12279        0      925 
OLD REP INTL CORP              COMM STK         680223104      207    11350 SH       SOLE           10000        0     1350 
OLIN CORP.                     COMM STK         680665205    26486  2632100 SH       SOLE          554700        0  2077400 
OLSTEN CORP                    COMM STK         681385100      133    21554 SH       SOLE           10536        0    11018 
OMNICARE INC.                  COMM STK         681904108    55258  2898783 SH       SOLE          486200        0  2412583 
OMNICOM GROUP                  COMM STK         681919106   190442  2382381 SH       SOLE          515094        0  1867287 
OMNIQUIP INTL INC              COMM STK         681969101    11147   946200 SH       SOLE          107400        0   838800 
OMNI POINT                     COMM STK         68212D102    32776  2275100 SH       SOLE          276700        0  1998400 
ONE VALLEY BANCORP INC         COMM STK         682419106     3838   110062 SH       SOLE             500        0   109562 
ONEOK INC.                     COMM STK         682680103      516    20858 SH       SOLE            9783        0    11075 
ONSALE INC                     COMM STK         682838107      314    17896 SH       SOLE           15000        0     2896 
OPTEK TECHNOLOGY INC           COMM STK         683815104     9947   678700 SH       SOLE          112600        0   566100 
OPTICAL COATING LABORATORY     COMM STK         683829105    38963   809100 SH       SOLE          164100        0   645000 
ORACLE CORP.                   COMM STK         68389X105   282284 10690038 SH       SOLE         1461016        0  9229022 
ORBITAL SCIENCES CORP          COMM STK         685564106     4691   165700 SH       SOLE           39400        0   126300 
O REILLY AUTOMOTIVE INC        COMM STK         686091109    28455   636300 SH       SOLE           29600        0   606700 
ORTHODONTIC CENTERS OF         COMM STK         68750P103    62431  3963900 SH       SOLE          605200        0  3358700 
OTTER TAIL POWER CO            COMM STK         689648103    10086   250200 SH       SOLE             200        0   250000 
OUTBACK STEAKHOUSE INC         COMM STK         689899102   218174  6674550 SH       SOLE          781342        0  5893208 
OUTDOOR SYSTEMS                COMM STK         690057104   227550  7584991 SH       SOLE          791449        0  6793542 
OUTSOURCE INTERNATIONAL INC    COMM STK         690131107     2065   590000 SH       SOLE               0        0   590000 
OVERSEAS SHIPHOLDING GROUP, IN COMM STK         690368105    10980   965300 SH       SOLE          362500        0   602800 
OWENS & MINOR                  COMM STK         690732102     9230   911650 SH       SOLE          313550        0   598100 
OWENS CORNING                  COMM STK         69073F103    11559   363362 SH       SOLE           91892        0   271470 
OWENS-ILLINOIS INC.            COMM STK         690768403     3012   120467 SH       SOLE           48726        0    71741 
PCD INC                        COMM STK         69318P106     3725   411000 SH       SOLE           44000        0   367000 
P-COM INC                      COMM STK         693262107       94    12400 SH       SOLE            6200        0     6200 
PECO ENERGY COMPANY            COMM STK         693304107    61013  1319194 SH       SOLE          371906        0   947288 
PG&E CORPORATION               COMM STK         69331C108     8400   270409 SH       SOLE          126145        0   144264 
PMC SIERRA INC                 COMM STK         69344F106    55701   782800 SH       SOLE          181200        0   601600 
PMI GROUP INC                  COMM STK         69344M101     2727    58800 SH       SOLE           24400        0    34400 
PNC BANK CORP.                 COMM STK         693475105    17802   320398 SH       SOLE          187244        0   133154 
PP&L RESOURCES, INC.           COMM STK         693499105     2550   103014 SH       SOLE           45805        0    57209 
PPG INDUSTRIES INC.            COMM STK         693506107   110919  2164265 SH       SOLE          418162        0  1746103 
PSS WORLD MEDICAL INC          COMM STK         69366A100     1697   193975 SH       SOLE           35500        0   158475 
PXRE CORP                      COMM STK         693674103     5609   311600 SH       SOLE           83600        0   228000 
PACCAR INC.                    COMM STK         693718108     2096    50851 SH       SOLE           21945        0    28906 
PACIFIC GATEWAY EXCHANGE       COMM STK         694327107     1950    58700 SH       SOLE           17600        0    41100 
PACIFIC GULF PROPERTIES INC.   COMM STK         694396102    14414   800800 SH       SOLE          148400        0   652400 
PACIFIC SUNWEAR CALIF INC      COMM STK         694873100    35282  1017150 SH       SOLE           28950        0   988200 
PACIFICARE HEALTH SYS          COMM STK         695112102     1014    12100 SH       SOLE           12100        0        0 
PACIFICARE HEALTH SYS          COMM STK         695112201     3551    52000 SH       SOLE           13400        0    38600 
PACIFICORP                     COMM STK         695114108    91875  5326109 SH       SOLE          975448        0  4350661 
PAINE WEBBER GROUP INC.        COMM STK         695629105      447    11200 SH       SOLE            8600        0     2600 
PALL CORP                      COMM STK         696429307   129994  7848715 SH       SOLE         1241275        0  6607440 
PANAMSAT CORP                  COMM STK         697933109    81595  2626800 SH       SOLE          199300        0  2427500 
PAPA JOHN'S INTL INC           COMM STK         698813102    13847   314700 SH       SOLE           63200        0   251500 
PARAMETRIC TECHNOLOGY          COMM STK         699173100   577316 29185014 SH       SOLE         3268122        0 25916892 
PAREXEL INTL CORP              COMM STK         699462107     2285   110800 SH       SOLE           27300        0    83500 
PARK PLACE ENTERTAINMENT       COMM STK         700690100     1680   222200 SH       SOLE          216000        0     6200 
PARKER-HANNIFIN CORP.          COMM STK         701094104     9360   273294 SH       SOLE           47218        0   226076 
PARKWAY PPTYS INC              COMM STK         70159Q104    15791   560200 SH       SOLE          104200        0   456000 
PATHOGENESIS CORP              COMM STK         70321E104     1180    88400 SH       SOLE           43300        0    45100 
PATRIOT AMER HOSPITALITY DEL P COMM STK         703352203    12830  2503332 SH       SOLE            8999        0  2494333 
PATTERSON DENTAL CO            COMM STK         703412106     2768    64000 SH       SOLE           17650        0    46350 
PAULA FINANCIAL                COMM STK         703588103      253    35459 SH       SOLE           35459        0        0 
PAXAR CORP                     COMM STK         704227107     5754   773700 SH       SOLE           71000        0   702700 
PAYCHEX INC                    COMM STK         704326107   100788  2123259 SH       SOLE          101320        0  2021939 
PAYLESS SHOESOURCE INC         COMM STK         704379106      541    11640 SH       SOLE            2816        0     8824 
PAYMENTECH INC.                COMM STK         704384106     2752   116500 SH       SOLE           35100        0    81400 
PEDIATRIX MEDICAL GROUP        COMM STK         705324101      714    25400 SH       SOLE            4600        0    20800 
PEERLESS SYSTEMS CP            COMM STK         705536100     8453  1001800 SH       SOLE           87000        0   914800 
PEGASUS COMMUNICATIONS         COMM STK         705904100    38339  1372300 SH       SOLE          317500        0  1054800 
PEGASUS SYSTEMS INC            COMM STK         705906105      383     9600 SH       SOLE            9600        0        0 
PENN VIRGINIA CORPORATION      COMM STK         707882106    19082  1086500 SH       SOLE          196700        0   889800 
PENNEY (J.C.) CO., INC.        COMM STK         708160106   153292  3784986 SH       SOLE          731158        0  3053828 
PENNZOIL CO.                   COMM STK         70931Q109      685    65200 SH       SOLE           19100        0    46100 
PENNZOIL QUAKER STATE CO       COMM STK         709323109      874    70600 SH       SOLE           26600        0    44000 
PENTAIR INC                    COMM STK         709631105    32808   972100 SH       SOLE          212100        0   760000 
PEOPLES ENERGY CORP.           COMM STK         711030106      813    25170 SH       SOLE           10147        0    15023 
PEOPLES HERITAGE FINANCIAL GRO COMM STK         711147108     2974   165525 SH       SOLE           53825        0   111700 
PEOPLE SOFT INC                COMM STK         712713106     2161   147427 SH       SOLE           58200        0    89227 
PEP BOYS (THE)                 COMM STK         713278109      716    46966 SH       SOLE           13643        0    33323 
PEP BOYS (THE)                 CONV BND         713278AG4     9065  9175000 PRN      SOLE         4175000        0  5000000 
PEPSICO INC.                   COMM STK         713448108   233687  5963300 SH       SOLE         1527473        0  4435827 
PERCLOSE INC                   COMM STK         71361C107      474    15300 SH       SOLE           15300        0        0 
PERCEPTRON INC                 COMM STK         71361F100     2454   651600 SH       SOLE               0        0   651600 
PEREGRINE SYSTEMS INC.         COMM STK         71366Q101     1642    49000 SH       SOLE           48200        0      800 
PERFORMANCE FOOD GROUP         COMM STK         713755106     6856   262100 SH       SOLE           56400        0   205700 
PERKIN-ELMER                   COMM STK         714041100     4233    43607 SH       SOLE           20886        0    22721 
PERRIGO COMPANY                COMM STK         714290103      192    25100 SH       SOLE           25100        0        0 
PERVASIVE SOFTWARE INC.        COMM STK         715710109      729    40800 SH       SOLE           40800        0        0 
PHARMACIA & UPJOHN, INC.       COMM STK         716941109   389458  6243822 SH       SOLE         1228270        0  5015552 
PHARMAPRINT INC                COMM STK         716950100    10020  1105600 SH       SOLE           93000        0  1012600 
PFIZER, INC.                   COMM STK         717081103   615512  4436122 SH       SOLE         1186477        0  3249645 
PHARMACOPEIA INC               COMM STK         71713B104      373    51397 SH       SOLE           42494        0     8903 
PHELPS DODGE CORP              COMM STK         717265102   104461  2121030 SH       SOLE          412700        0  1708330 
PHILIP MORRIS COMPANIES, INC.  COMM STK         718154107   428513 12177976 SH       SOLE         3014856        0  9163120 
PHILLIPS PETROLEUM COMPANY     COMM STK         718507106    83129  1759342 SH       SOLE          363402        0  1395940 
PHOENIX TECHNOLOGY LTD         COMM STK         719153108     1602   188500 SH       SOLE           31100        0   157400 
PHYCOR INC.                    COMM STK         71940F100     6709  1403284 SH       SOLE             800        0  1402484 
PHYCOR INC.                    CONV BND         71940FAB6     7020 12000000 PRN      SOLE         5300000        0  6700000 
PILOT NETWORK SVCS             COMM STK         721596104      523    35000 SH       SOLE               0        0    35000 
PINNACLE SYSTEMS               COMM STK         723481107     3723    81600 SH       SOLE           18400        0    63200 
PINNACLE WEST CAPITAL CORP.    COMM STK         723484101     3572    98200 SH       SOLE           28500        0    69700 
PIONEER HI BRED INTL           COMM STK         723686101    12606   335033 SH       SOLE          210492        0   124541 
PIONEER NATURAL RESOURCES COMP COMM STK         723787107      996   128500 SH       SOLE          126700        0     1800 
PIONEER STANDARD ELECTRO       COMM STK         723877106     1657   185400 SH       SOLE          155400        0    30000 
PITNEY BOWES INC.              COMM STK         724479100    24340   381801 SH       SOLE          118516        0   263285 
PITT-DES MOINES INC            COMM STK         724508106     4095   180000 SH       SOLE            5000        0   175000 
PJ AMERICA                     COMM STK         72585Q104     4861   212500 SH       SOLE           27900        0   184600 
PLACER DOME INC                COMM STK         725906101     3745   334763 SH       SOLE          165524        0   169239 
PLANAR SYSTEMS INC             COMM STK         726900103     7761   993400 SH       SOLE          115900        0   877500 
PLANTRONICS INC NEW            COMM STK         727493108      807    12900 SH       SOLE           12100        0      800 
EPICOR SOFTWARE CORP           COMM STK         72764R105      260    35304 SH       SOLE           10479        0    24825 
PLATINUM TECHNOLOGY            COMM STK         72764T101    30266  1191273 SH       SOLE          249300        0   941973 
PLEXUS CORP                    COMM STK         729132100     2241    79400 SH       SOLE           17900        0    61500 
BROWN AND BROWN INC            COMM STK         730444106    49936  1504650 SH       SOLE          275650        0  1229000 
POGO PRODUCING                 COMM STK         730448107     2618   201400 SH       SOLE             500        0   200900 
POLAROID                       COMM STK         731095105    13395   667671 SH       SOLE          233552        0   434119 
POLO RALPH LAUREN CORP         COMM STK         731572103     2125   106900 SH       SOLE           31000        0    75900 
POLYCOM INC                    COMM STK         73172K104     4921   262900 SH       SOLE          252568        0    10332 
POST PROPERTIES INC REIT       COMM STK         737464107     1285    35700 SH       SOLE           20700        0    15000 
POTLATCH CORP.                 COMM STK         737628107      696    20516 SH       SOLE            7969        0    12547 
POTOMAC ELECTRIC POWER CO.     COMM STK         737679100     1397    60248 SH       SOLE            8900        0    51348 
POTOMAC ELECTRIC POWER CO.     CONV BND         737679BT6    13331 13850000 PRN      SOLE         6000000        0  7850000 
POWERTEL INC                   COMM STK         73936C109      228    22700 SH       SOLE           22700        0        0 
PRAXAIR, INC.                  COMM STK         74005P104     3863   107115 SH       SOLE           44668        0    62447 
PREPAID LEGAL SERVICES I       COMM STK         740065107     2019    82400 SH       SOLE           37300        0    45100 
PREMARK INTERNATIONAL          COMM STK         740459102     4789   145400 SH       SOLE            3500        0   141900 
PREMIER PARK                   COMM STK         740540208   145394  3903200 SH       SOLE          554100        0  3349100 
PREMISYS COMMUNICATIONS        COMM STK         740584107    26913  3097900 SH       SOLE          565800        0  2532100 
PRESIDENTIAL LIFE              COMM STK         740884101    24693  1374200 SH       SOLE          175400        0  1198800 
PRIME RETAIL INC.              COMM STK         741570105       81    10600 SH       SOLE           10600        0        0 
PRIME RETAIL INC.              CVPFDSTK         741570303     5680   355000 SH       SOLE            5000        0   350000 
PRIMESOURCE CORP               COMM STK         741593107     1446   251400 SH       SOLE           55300        0   196100 
PRIMARK CORP                   COMM STK         741903108      578    22500 SH       SOLE           17800        0     4700 
PRISON REALTY CORP             COMM STK         74264N105      346    19862 SH       SOLE            1800        0    18062 
PRIORITY HEALTHCARE CORP       COMM STK         74264T102     3493    77400 SH       SOLE           17800        0    59600 
PROBUSINESS SERVICES INC.      COMM STK         742674104     4661   111300 SH       SOLE             100        0   111200 
PROCTER & GAMBLE CO.           COMM STK         742718109   257197  2626134 SH       SOLE          857455        0  1768679 
PROFESSIONAL STAFF             ADR              74315R105     6145   854900 SH       SOLE           46900        0   808000 
PROFIT RECOVERY GROUP INTL     COMM STK         743168106      494    12500 SH       SOLE           12500        0        0 
PROGRESS SOFTWARE CORP         COMM STK         743312100      624    18300 SH       SOLE           18300        0        0 
PROGRESSIVE CORPORATION        COMM STK         743315103     8927    62207 SH       SOLE           25800        0    36407 
PROLOGIS TR                    COMM STK         743410102    38289  1867768 SH       SOLE          273570        0  1594198 
PROLOGIS TR                    CVPFDSTK         743410300     6130   241000 SH       SOLE            4000        0   237000 
PROMEDCO MANAGEMENT CO         COMM STK         74342L105     5835  1270100 SH       SOLE           92600        0  1177500 
PROMUS HOTEL CORP              COMM STK         74342P106     3053    83932 SH       SOLE           33275        0    50657 
PROTECTION ONE INC             COMM STK         743663304     2179   348600 SH       SOLE           98600        0   250000 
PROTECTIVE LIFE CORPORATION    COMM STK         743674103    57612  1521100 SH       SOLE          328800        0  1192300 
PROTEIN DESIGN LABS INC        COMM STK         74369L103     5679   377000 SH       SOLE           21900        0   355100 
PROVIDENT COMPANIES, INC.      COMM STK         743862104     5027   145449 SH       SOLE           44100        0   101349 
PROVINCE HEALTHCARE CO         COMM STK         743977100     1857   100360 SH       SOLE          100360        0        0 
PROVIDIAN CORP                 COMM STK         74406A102    25934   235763 SH       SOLE           46255        0   189508 
PROXIM INC                     COMM STK         744284100     5229   181500 SH       SOLE           51400        0   130100 
PSINET INC                     COMM STK         74437C101   202258  4759000 SH       SOLE          407700        0  4351300 
PUBLIC SERVICE CO. OF NEW MEXI COMM STK         744499104      906    53300 SH       SOLE            2700        0    50600 
PUBLIC SERVICE ENTERPRISE GROU COMM STK         744573106     6697   175368 SH       SOLE           86829        0    88539 
PUBLIC STORAGE INC.            COMM STK         74460D109      724    28958 SH       SOLE            7358        0    21600 
PUERTO RICAN CEMENT CO         COMM STK         745075101    16118   502700 SH       SOLE           17100        0   485600 
PUGET SOUND ENERGY, INC.       COMM STK         745332106      300    13000 SH       SOLE           12200        0      800 
PULTE CORP                     COMM STK         745867101      569    27339 SH       SOLE           11530        0    15809 
QLT PHOTOTHERAPEUTICS          COMM STK         746927102    25091   616200 SH       SOLE           84100        0   532100 
QRS CORP                       COMM STK         74726X105     5550    88800 SH       SOLE           24300        0    64500 
QLOGIC CORP                    COMM STK         747277101     5559    82700 SH       SOLE           16300        0    66400 
QUAKER OATS COMPANY            COMM STK         747402105   172663  2759842 SH       SOLE          628663        0  2131179 
QUALCOMM FINL TR I             COMM STK         747525103      597     4800 SH       SOLE            3400        0     1400 
QUANTUM CORP                   COMM STK         747906105      289    16100 SH       SOLE           14400        0     1700 
QUIKSILVER INC                 COMM STK         74838C106    48588  1150000 SH       SOLE          255200        0   894800 
QUIDEL CORP COM STOCK          COMM STK         74838J101     2047  1000000 SH       SOLE               0        0  1000000 
QUINTILES TRANSNATIONAL        COMM STK         748767100     1812    48231 SH       SOLE           35231        0    13000 
QUORUM HEALTH                  COMM STK         749084109    25981  2574000 SH       SOLE          397150        0  2176850 
QWEST COMMUNICATIONS           COMM STK         749121109    84381  1170431 SH       SOLE           23832        0  1146599 
R & B INC                      COMM STK         749124103     3896   487000 SH       SOLE           70000        0   417000 
RH DONNELLEY CORP              COMM STK         74955W307      260    16860 SH       SOLE           12600        0     4260 
RJR NABISCO HOLDINGS CORPORATI COMM STK         74960K876   103902  4156077 SH       SOLE          765300        0  3390777 
RPM INC OHIO                   COMM STK         749685103     9250   694810 SH       SOLE           77100        0   617710 
RF MICRO DEVICES INC.          COMM STK         749941100      841     8800 SH       SOLE            8600        0      200 
RAINBOW RENTALS                COMM STK         750857104     2469   250000 SH       SOLE               0        0   250000 
RALSTON PURINA COMPANY         COMM STK         751277302    47939  1796314 SH       SOLE          219140        0  1577174 
RARE HOSPITALITY INTL          COMM STK         753820109     5788   420000 SH       SOLE           20000        0   400000 
RATIONAL SOFTWARE CORP         COMM STK         75409P202      441    16590 SH       SOLE           15390        0     1200 
RAVEN INDUSTRIES INC           COMM STK         754212108     5877   417000 SH       SOLE           17000        0   400000 
RAYCHEM CORP                   COMM STK         754603108    14584   646387 SH       SOLE           49112        0   597275 
RAYMOND JAMES FINANCIAL        COMM STK         754730109     3903   197612 SH       SOLE            6500        0   191112 
RAYONIER INC W.I.              COMM STK         754907103      893    22300 SH       SOLE            7300        0    15000 
RAYOVAC                        COMM STK         755081106    19591   710800 SH       SOLE           21800        0   689000 
RAYTHEON COMPANY               COMM STK         755111408    52045   887765 SH       SOLE          250569        0   637196 
READERS DIGEST ASSN INC        COMM STK         755267101   130026  4136000 SH       SOLE          573700        0  3562300 
READERS DIGEST ASSN INC        COMM STK         755267200    26916   978750 SH       SOLE          126350        0   852400 
REALNETWORKS INC               COMM STK         75605L104     4783    39145 SH       SOLE           38845        0      300 
RECKSON ASSOCIATES REALTY CORP COMM STK         75621K106    38849  1889300 SH       SOLE           39000        0  1850300 
RECKSON ASSOCIATES REALTY CORP CVPFDSTK         75621K205    12746   627500 SH       SOLE           37500        0   590000 
REEBOK INTL LTD                COMM STK         758110100    18624  1173144 SH       SOLE          468857        0   704287 
REGIONS FINANCIAL CORPORATION  COMM STK         758940100     6985   201368 SH       SOLE           71000        0   130368 
RELIANT ENERGY                 COMM STK         75952J108    77393  2969498 SH       SOLE          625555        0  2343943 
RELIASTAR FINL CORP            COMM STK         75952U103     2719    63800 SH       SOLE            4600        0    59200 
RENAISSANCE WORLDWIDE INC      COMM STK         75968A109    27511  4423900 SH       SOLE          413800        0  4010100 
RENAL CARE GROUP INC           COMM STK         759930100    34895  1780900 SH       SOLE          149400        0  1631500 
RENT A CENTERS                 COMM STK         76009N100     3778   131110 SH       SOLE           27900        0   103210 
RENT WAY INC CO                COMM STK         76009U104     3350   139600 SH       SOLE           34300        0   105300 
REPSOL, S.A.                   ADR              76026T205     3060    59700 SH       SOLE           14200        0    45500 
REPUBLIC GROUP INC             COMM STK         760473108    11341   752900 SH       SOLE          251500        0   501400 
REPUBLIC INDS INC              COMM STK         760516104      184    14900 SH       SOLE            7200        0     7700 
REPUBLIC NEW YORK CORPORATION  COMM STK         760719104     3218    69758 SH       SOLE           29336        0    40422 
RESTORATION HARDWARE INC       COMM STK         760981100     6544   300000 SH       SOLE               0        0   300000 
RESMED INC                     COMM STK         761152107    11275   400000 SH       SOLE           25000        0   375000 
RESOUND CORPORATION COM        COMM STK         761194109     4298  1146116 SH       SOLE               0        0  1146116 
REUTERS GROUP PLC              ADR              76132M102     1476    33704 SH       SOLE           29759        0     3945 
REYNOLDS & REYNOLDS A          COMM STK         761695105     9453   497500 SH       SOLE           31000        0   466500 
REYNOLDS METALS CO.            COMM STK         761763101   191510  3963986 SH       SOLE          609604        0  3354382 
RICHARSON ELECTRIC LTD.        COMM STK         763165107     3937   754400 SH       SOLE           50000        0   704400 
RICHARSON ELECTRIC LTD.        CONV BND         763165AB3      805  1000000 PRN      SOLE               0        0  1000000 
RICHFOOD HOLDINGS INC          COMM STK         763408101   107491  4985107 SH       SOLE          727400        0  4257707 
RIGHT MANAGEMENT CONSULT       COMM STK         766573109     9300   587000 SH       SOLE           57000        0   530000 
RITE AID CORP.                 COMM STK         767754104    47344  1893758 SH       SOLE          410262        0  1483496 
ROBERT HALF INTL INC           COMM STK         770323103     2166    66000 SH       SOLE           53050        0    12950 
ROBERTS PHARMACEUTICALS        COMM STK         770491108     3388   163300 SH       SOLE           36800        0   126500 
ROBOTIC VISION SYSTEMS         COMM STK         771074101      229   100195 SH       SOLE           99795        0      400 
ROCKWELL INTERNATIONAL CORP.   COMM STK         773903109     5736   135175 SH       SOLE           60430        0    74745 
ROGER COMMUNICATION INC        COMM STK         775109200    22238  1226900 SH       SOLE          274500        0   952400 
ROHM & HAAS COMPANY            COMM STK         775371107     9574   285252 SH       SOLE           69000        0   216252 
ROMAC INTERNATIONAL INC        COMM STK         775835101    50541  5924216 SH       SOLE         1176348        0  4747868 
ROPER INDUSTRIES INC           COMM STK         776696106     1227    51400 SH       SOLE           34400        0    17000 
ROSLYN BANCORP                 COMM STK         778162107      295    17510 SH       SOLE           17510        0        0 
ROSS STORES INC                COMM STK         778296103     3843    87900 SH       SOLE           23600        0    64300 
ROUSE COMPANY                  COMM STK         779273101    77652  3499800 SH       SOLE          503800        0  2996000 
ROUSE COMPANY                  CVPFDSTK         779273309    37976  1019500 SH       SOLE          499500        0   520000 
ROWAN COMPANIES                COMM STK         779382100      691    54493 SH       SOLE           23797        0    30696 
RUBY TUESDAY INC               COMM STK         781182100    17276   994300 SH       SOLE          334300        0   660000 
RURAL CELLULAR CORPORATION     COMM STK         781904107    10263   774600 SH       SOLE          132600        0   642000 
RUSSELL CORP                   COMM STK         782352108      468    23275 SH       SOLE           10877        0    12398 
RYDER SYSTEM INC.              COMM STK         783549108     1298    46979 SH       SOLE           20401        0    26578 
RYERSON TULL INC NEW           COMM STK         78375P107     2083   141800 SH       SOLE           40000        0   101800 
S & K FAMOUS BRANDS INC        COMM STK         783774102     4039   460000 SH       SOLE           35000        0   425000 
SBC COMMUNICATIONS, INC.       COMM STK         78387G103   627174 13308733 SH       SOLE         2983942        0 10324791 
SCI SYSTEMS INC                COMM STK         783890106   147707  4985875 SH       SOLE          117175        0  4868700 
SCM MICROSYSTEMS INC           COMM STK         784018103      286     4700 SH       SOLE            4700        0        0 
SDL INC                        COMM STK         784076101     2078    22900 SH       SOLE           21400        0     1500 
SEI CORP                       COMM STK         784117103      469     5100 SH       SOLE            4800        0      300 
SFX ENTMT INC                  COMM STK         784178105    46979   725900 SH       SOLE           50100        0   675800 
SLM HOLDING CORP.              COMM STK         78442A109     8641   206971 SH       SOLE          144900        0    62071 
SLI INC                        COMM STK         78442T108     2069    98500 SH       SOLE           27300        0    71200 
SPSS INCORPORATED              COMM STK         78462K102     8612   522900 SH       SOLE          159000        0   363900 
SPX CORP                       COMM STK         784635104    10824   214600 SH       SOLE           53500        0   161100 
S-3 INCORPORATED               COMM STK         784849101      110    14600 SH       SOLE           14600        0        0 
SPR, INC.                      COMM STK         784922106     7300  1763000 SH       SOLE          312500        0  1450500 
SAFECO CORPORATION             COMM STK         786429100   146869  3631993 SH       SOLE          670848        0  2961145 
SAFESKIN CORP                  COMM STK         786454108      212    28600 SH       SOLE           28000        0      600 
SAFEWAY INC.                   COMM STK         786514208   242611  4728115 SH       SOLE         1019300        0  3708815 
SAGA COMMUNICATIONS            COMM STK         786598102    19287  1079000 SH       SOLE           52000        0  1027000 
ST. JOHN KNITS                 COMM STK         790289102    14939   566400 SH       SOLE           47500        0   518900 
ST JUDE MEDICAL INC            COMM STK         790849103     1280    52515 SH       SOLE           23948        0    28567 
ST. PAUL COMPANIES, INC.       COMM STK         792860108   236294  7607035 SH       SOLE         1147174        0  6459861 
SAKS INC                       COMM STK         79377W108    95879  3687650 SH       SOLE          820200        0  2867450 
SANMINA CORPORATION            COMM STK         800907107   140166  2203000 SH       SOLE          196900        0  2006100 
SANTA FE ENERGY RES INC        COMM STK         802012104     8257  1129100 SH       SOLE          184500        0   944600 
SARA LEE CORPORATION           COMM STK         803111103   155047  6264525 SH       SOLE         1044824        0  5219701 
SAVILLE SYSTEMS IRELAND PLC    ADR              805174109    61597  5041200 SH       SOLE          850900        0  4190300 
SAWTEK INC                     COMM STK         805468105     3595   107100 SH       SOLE           24500        0    82600 
SBARRO INC                     COMM STK         805844107     1012    38200 SH       SOLE             200        0    38000 
SCANA CORP.                    COMM STK         805898103      243    11200 SH       SOLE            5300        0     5900 
SCHEIN, HENRY INC              COMM STK         806407102    81838  3233100 SH       SOLE          587000        0  2646100 
SCHERING-PLOUGH CORP.          COMM STK         806605101   240445  4347024 SH       SOLE         1316094        0  3030930 
SCHLOTZSKYS INC                COMM STK         806832101     2602   230000 SH       SOLE               0        0   230000 
SCHLUMBERGER LTD               COMM STK         806857108   112933  1876354 SH       SOLE          288098        0  1588256 
SCHOLASTIC CORPORATION         COMM STK         807066105      312     6350 SH       SOLE            5750        0      600 
SCHULMAN A INC                 COMM STK         808194104    18759  1379952 SH       SOLE          240500        0  1139452 
CHARLES SCHWAB CORP NEW        COMM STK         808513105    44744   465477 SH       SOLE          190742        0   274735 
SCIENTIFIC ATLANTA INC         COMM STK         808655104     1439    52807 SH       SOLE           24596        0    28211 
SCOTSMAN INDUSTRIES INC        COMM STK         809340102     6985   406400 SH       SOLE          119400        0   287000 
SCOTTS COMPANY CLASS A         COMM STK         810186106      385    10300 SH       SOLE             300        0    10000 
SEAGATE TECHNOLOGY             COMM STK         811804103     4875   164914 SH       SOLE           73586        0    91328 
SEAGRAM COMPANY LTD. (THE)     COMM STK         811850106    25328   506550 SH       SOLE          106768        0   399782 
SEACOR HOLDINGS INCORPOR       COMM STK         811904101      224     4100 SH       SOLE            4100        0        0 
SEALED AIR CORP                COMM STK         81211K100     4507    91635 SH       SOLE           54386        0    37249 
SEALED AIR CORP                CVPFDSTK         81211K209     5683   113659 SH       SOLE           53659        0    60000 
SEARS ROEBUCK & CO.            COMM STK         812387108    16076   355760 SH       SOLE          136575        0   219185 
SEATTLE FILMWORKS INC          COMM STK         812572105     4365  1418200 SH       SOLE               0        0  1418200 
SECURE COMPUTING CORP          COMM STK         813705100      153    14500 SH       SOLE           14500        0        0 
SECURITY CAPITAL GROUP INC     COMM STK         81413P204     1428   106800 SH       SOLE           64600        0    42200 
SECURITY DYNAMICS              COMM STK         814208104    13430   722300 SH       SOLE           73700        0   648600 
SEITEL INC COM NEW             COMM STK         816074306      420    30100 SH       SOLE           30100        0        0 
SELECTIVE INSURANCE GRP        COMM STK         816300107     3775   213800 SH       SOLE           50300        0   163500 
SEMPRA ENERGY                  COMM STK         816851109     3127   162969 SH       SOLE           70138        0    92831 
SENECA FOODS CORP              COMM STK         817070105     1125   102300 SH       SOLE           22000        0    80300 
SENECA FOODS CORP              COMM STK         817070501     2338   212500 SH       SOLE           31500        0   181000 
SEPRACOR INC                   COMM STK         817315104     5598    49900 SH       SOLE           19600        0    30300 
SEROLOGICALS CORPORATION       COMM STK         817523103    16289  1198235 SH       SOLE          135300        0  1062935 
SERVICE CORPORATION INTERNATIO COMM STK         817565104    11946   838321 SH       SOLE          118552        0   719769 
SERVICEMASTER CO               COMM STK         81760N109    47371  2332135 SH       SOLE           29900        0  2302235 
SHARED MED SYSTEMS CORP        COMM STK         819486101     1755    31515 SH       SOLE           17710        0    13805 
SHAW INDUSTRIES INC            COMM STK         820286102      205    11100 SH       SOLE            7100        0     4000 
SHELL TRAN&TRADE NY SHR        ADR              822703609     4546   111900 SH       SOLE           30100        0    81800 
SHERWIN-WILLIAMS CO.           COMM STK         824348106     6141   218340 SH       SOLE           64910        0   153430 
SHILOH INDUSTRIES INC          COMM STK         824543102     3655   292400 SH       SOLE               0        0   292400 
SHIRE PHARMACEUTICALS GROUP    ADR              82481R106    34138  1498500 SH       SOLE          270100        0  1228400 
SHOPKO STORES INC              COMM STK         824911101    39369  1317800 SH       SOLE          301700        0  1016100 
SHOREWOOD PACKAGING CORP       COMM STK         825229107    28488  1451600 SH       SOLE          411000        0  1040600 
SIEBEL SYS INC                 COMM STK         826170102      255     5400 SH       SOLE            4500        0      900 
SIGMA ALDRICH CORP             COMM STK         826552101     3733   127484 SH       SOLE           68929        0    58555 
SIGCORP INC                    COMM STK         826912107     7339   268100 SH       SOLE             400        0   267700 
SILICON GRAPHICS               COMM STK         827056102     2438   147216 SH       SOLE           53032        0    94184 
SILICON VALLEY BANCSHRS        COMM STK         827064106    31453  1522700 SH       SOLE          315400        0  1207300 
SIMON PROPERTY GROUP, INC.     COMM STK         828806109   161113  5872018 SH       SOLE          893471        0  4978547 
SIMPSON MFG CO INC             COMM STK         829073105     6263   155600 SH       SOLE           30700        0   124900 
SINCLAIR BROADCAST GROUP       COMM STK         829226109    27654  1894900 SH       SOLE           69200        0  1825700 
SITEL                          COMM STK         82980K107     3587  1510200 SH       SOLE            9300        0  1500900 
SIPEX CORP COM                 COMM STK         829909100    19163  1477600 SH       SOLE          421400        0  1056200 
SKYLINE CORP                   COMM STK         830830105    16001   576600 SH       SOLE          125600        0   451000 
SMITH (A.O.) CORP              COMM STK         831865209    28524  1501250 SH       SOLE          420400        0  1080850 
SMITH INTERNATIONAL            COMM STK         832110100   157856  3946400 SH       SOLE          719600        0  3226800 
SMITH FIELD FOODS              COMM STK         832248108     2612   115270 SH       SOLE           29400        0    85870 
SMITHKLINE BEECHAM PLC         ADR              832378301    18086   252956 SH       SOLE          109156        0   143800 
SMURFIT STONE CONTAINER CORP   COMM STK         832727101    18174   942590 SH       SOLE          149900        0   792690 
SNAP-ON INCORPORATED           COMM STK         833034101     1143    39411 SH       SOLE           19622        0    19789 
SODEXHO MARRIOTT SVCS INC      COMM STK         833793102    19733   894391 SH       SOLE          195075        0   699316 
SOFTWARE AG SYSTEMS INC        COMM STK         834025108      205    24300 SH       SOLE           24300        0        0 
SOLA INTERNATIONAL INC         COMM STK         834092108     7859   651500 SH       SOLE          120000        0   531500 
SOLECTRON CORP                 COMM STK         834182107   195737  4030613 SH       SOLE          213100        0  3817513 
SOLUTIA INC                    COMM STK         834376105      507    29160 SH       SOLE            9300        0    19860 
SONAT INC.                     COMM STK         835415100     3238   107936 SH       SOLE           38950        0    68986 
SONIC INC                      COMM STK         835451105    43792  1625700 SH       SOLE          289300        0  1336400 
SONOCO PRODUCTS COMPANY        COMM STK         835495102     4297   186845 SH       SOLE           51110        0   135735 
SOUTHDOWN, INC.                COMM STK         841297104      274     5100 SH       SOLE            4600        0      500 
SOUTHERN COMPANY               COMM STK         842587107   117988  5061148 SH       SOLE         1147426        0  3913722 
SOUTHTRUST CORPORATION         COMM STK         844730101     4173   111921 SH       SOLE           50550        0    61371 
SOUTHWEST AIRLINES CO.         COMM STK         844741108     7355   243143 SH       SOLE          116373        0   126770 
SOUTHWEST WATER CO             COMM STK         845331107     1110    79250 SH       SOLE           51250        0    28000 
SOUTHWESTERN ENERGY CO         COMM STK         845467109       81    11400 SH       SOLE            7300        0     4100 
SOVEREIGN BANCORP INC          COMM STK         845905108      171    13903 SH       SOLE            8600        0     5303 
SPEEDWAYMOTORSPORTS            COMM STK         847788106    20629   500100 SH       SOLE             100        0   500000 
SPIEKER PROPERTIES, INC.       COMM STK         848497103     7790   221000 SH       SOLE            4300        0   216700 
SPLASH TECHNOLOGY HOLDING      COMM STK         848623104      777   127570 SH       SOLE          118170        0     9400 
SPORTSLINE USA INC             COMM STK         848934105     3756    82200 SH       SOLE           19700        0    62500 
SPRINGS INDS INC               COMM STK         851783100      382    14129 SH       SOLE            7562        0     6567 
SPRINT CORPORATION             COMM STK         852061100    35712   363942 SH       SOLE          141644        0   222298 
SPRINT CORPORATION             COMM STK         852061506    92823  2094728 SH       SOLE          258972        0  1835756 
STAFFMARK                      COMM STK         852389105     8435  1058500 SH       SOLE            9100        0  1049400 
STANLEY FURNITURE INC          COMM STK         854305208     7669   392000 SH       SOLE               0        0   392000 
STANLEY WORKS                  COMM STK         854616109    69863  2726377 SH       SOLE          528036        0  2198341 
STAPLES INC                    COMM STK         855030102    13463   409533 SH       SOLE          163775        0   245758 
STARBUCKS CORP                 COMM STK         855244109     4897   174500 SH       SOLE           84200        0    90300 
STARTEK INC                    COMM STK         85569C107     1072   101500 SH       SOLE               0        0   101500 
STARWOOD HOTEL & RESTAURANTS   COMM STK         85590A203   301282 10548151 SH       SOLE         1917926        0  8630225 
STATE STREET CORPORATION       COMM STK         857477103    49631   603874 SH       SOLE          154451        0   449423 
STEIN MART INC                 COMM STK         858375108    11499  1153500 SH       SOLE          472200        0   681300 
STEINWAY MUSICAL INSTRUM       COMM STK         858495104     2274   102500 SH       SOLE           22400        0    80100 
STERIS CORPORATION             COMM STK         859152100     5008   188100 SH       SOLE           79600        0   108500 
STERIGENICS INTL INC           COMM STK         85915R105     6330   653400 SH       SOLE          119300        0   534100 
STERLING COMMERCE INC          COMM STK         859205106   162072  5270623 SH       SOLE          642414        0  4628209 
STEWART & STEVENSON SERV       COMM STK         860342104      118    15700 SH       SOLE            9400        0     6300 
STEWART ENTERPRISES CL A       COMM STK         860370105      614    38300 SH       SOLE           37100        0     1200 
STORAGE TECH                   COMM STK         862111200      491    17600 SH       SOLE            6500        0    11100 
STRATEGIC DISTRIBUTION         COMM STK         862701208     3467  1761000 SH       SOLE               0        0  1761000 
STRATTEC SECURITY CORP         COMM STK         863111100     8342   292700 SH       SOLE           19000        0   273700 
STRAYER EDUCATION              COMM STK         863236105    48370  1305100 SH       SOLE          109500        0  1195600 
STRIDE RITE CORP               COMM STK         863314100     2541   207400 SH       SOLE           38200        0   169200 
STRYKER CORP                   COMM STK         863667101      788    15618 SH       SOLE           12000        0     3618 
SUIZA FOODS                    COMM STK         865077101    64256  1907400 SH       SOLE          423700        0  1483700 
SUMMIT BANCORP COM             COMM STK         866005101    15822   405700 SH       SOLE          115314        0   290386 
SUMMIT DESIGN INC.             COMM STK         86605U101     4936  1397900 SH       SOLE          129700        0  1268200 
SUN COMMUNITIES INC            COMM STK         866674104    21536   678300 SH       SOLE          134900        0   543400 
SUN MICROSYSTEMS INC           COMM STK         866810104   255683  2044955 SH       SOLE          300244        0  1744711 
SUNDSTRAND CORP                COMM STK         867323107      616     8870 SH       SOLE            7100        0     1770 
SUNGARD DATA SYSTEMS           COMM STK         867363103   215404  5385100 SH       SOLE          526200        0  4858900 
SUNOCO INC                     COMM STK         86764P109     2382    66058 SH       SOLE           26540        0    39518 
SUNRISE ASSISTED LIVING        COMM STK         86768K106    11376   250200 SH       SOLE             200        0   250000 
SUNTERRA CORP COM              COMM STK         86787D109     9278   951550 SH       SOLE           38100        0   913450 
SUNTRUST BANKS INC.            COMM STK         867914103    17406   279609 SH       SOLE          110991        0   168618 
SUNSOURCE INC                  COMM STK         867948101     8558   605900 SH       SOLE           56400        0   549500 
SUPERIOR INDUSTRIES INTL       COMM STK         868168105      230     9900 SH       SOLE            1900        0     8000 
SUPERIOR SERVICES              COMM STK         868316100    19734   997606 SH       SOLE          120706        0   876900 
SUPERIOR SURGICAL MFG          COMM STK         868358102     5700   456000 SH       SOLE               0        0   456000 
SUPERVALU INC.                 COMM STK         868536103     1767    85674 SH       SOLE           38104        0    47570 
SWIFT TRANSPORTATION INC       COMM STK         870756103     4144   163500 SH       SOLE           32250        0   131250 
SYBRON CHEM INC                COMM STK         870903101     1250    98000 SH       SOLE               0        0    98000 
SYBASE INC                     COMM STK         871130100      104    13100 SH       SOLE            6100        0     7000 
SYKES ENTERPRISES INC          COMM STK         871237103     4435   137400 SH       SOLE           36100        0   101300 
SYLVAN INC                     COMM STK         871371100     5667   558000 SH       SOLE           38000        0   520000 
SYLVAN LEARNING SYS            COMM STK         871399101   117842  4314598 SH       SOLE          465823        0  3848775 
SYMANTEC CORP                  COMM STK         871503108     2657   156600 SH       SOLE           68600        0    88000 
SYMBOL TECHNOLOGY INC          COMM STK         871508107     9824   218300 SH       SOLE           90025        0   128275 
SYNALLOY CORP                  COMM STK         871565107     3920   560000 SH       SOLE           10000        0   550000 
SYNOPSYS INC                   COMM STK         871607107   406944  7575464 SH       SOLE          791964        0  6783500 
SYNETIC INC                    COMM STK         87160F109     6301   112900 SH       SOLE             200        0   112700 
SYNOVUS FINANCIAL CORP         COMM STK         87161C105     3552   173821 SH       SOLE           73242        0   100579 
SYNTELLECT INC                 COMM STK         87161L105     1017   700000 SH       SOLE               0        0   700000 
SYSCO CORPORATION              COMM STK         871829107    26829  1019612 SH       SOLE          176896        0   842716 
SYNTHETIC INDUSTRIES           COMM STK         871914107    14721   877200 SH       SOLE          260200        0   617000 
TBC CORP                       COMM STK         872180104    10560  1733000 SH       SOLE          272000        0  1461000 
TCA CABLE TV INC               COMM STK         872241104     7003   161100 SH       SOLE           73400        0    87700 
TCF FINANCIAL CORP             COMM STK         872275102     5715   219800 SH       SOLE           74600        0   145200 
TECO ENERGY, INC.              COMM STK         872375100    49921  2511760 SH       SOLE          434600        0  2077160 
TJX COMPANIES INC              COMM STK         872540109    16015   471042 SH       SOLE          126060        0   344982 
TRC CO                         COMM STK         872625108      938   200000 SH       SOLE               0        0   200000 
TRO LEARNING INC               COMM STK         87263R109      249    41443 SH       SOLE           41443        0        0 
TRW INC.                       COMM STK         872649108    62693  1377878 SH       SOLE          263007        0  1114871 
TSI INTERNATIONAL SOFTWARE INC COMM STK         872879101      508    10400 SH       SOLE           10400        0        0 
TV GUIDE INC CL A              COMM STK         87307Q109     3821   103800 SH       SOLE           26000        0    77800 
TVX GOLD INC                   COMM STK         87308K101     7158  5726300 SH       SOLE          651800        0  5074500 
TAB PRODUCTS                   COMM STK         873197107     1910   402000 SH       SOLE           52000        0   350000 
TAG HEUER INTERNATIONAL SA     ADR              873773105    11573  1381900 SH       SOLE          321300        0  1060600 
TANDY CORPORATION              COMM STK         875382103     9206   144270 SH       SOLE           32110        0   112160 
TAUBMAN CENTERS, INC.          COMM STK         876664103      131    10700 SH       SOLE           10700        0        0 
TECH DATA CORP                 COMM STK         878237106    18279   796900 SH       SOLE           23700        0   773200 
TECH SYM CORP                  COMM STK         878308105     2081   100000 SH       SOLE               0        0   100000 
TECHNITROL INC                 COMM STK         878555101    11278   489000 SH       SOLE          101200        0   387800 
TECHNOLOGY SOLUTIONS CO        COMM STK         87872T108     6651   925400 SH       SOLE             400        0   925000 
TECUMSCH PRODUCTS CL A         COMM STK         878895200      319     6300 SH       SOLE            4900        0     1400 
TEKTRONIX INC                  COMM STK         879131100      817    32376 SH       SOLE           14737        0    17639 
TELECOM SEMICONDUCTOR          COMM STK         87921P107      408   104333 SH       SOLE           84440        0    19893 
TELEBANC FINL CORP    CO       COMM STK         87925R109    17735   221000 SH       SOLE               0        0   221000 
TELECOM NEW ZEALAND ADR        ADR              879278208     1751    44900 SH       SOLE           11400        0    33500 
TELECOMUNICACOES BRASL         ADR              879287308   142835  1771600 SH       SOLE          260200        0  1511400 
TELEFLEX INC                   COMM STK         879369106   110550  3245500 SH       SOLE          578600        0  2666900 
TELEFONICA DE ESPANA S.A.      ADR              879382208     3622    28350 SH       SOLE            7650        0    20700 
TELEFONOS DE MEXICO SA         ADR              879403780     3925    59925 SH       SOLE            9600        0    50325 
TELEPHONE & DATA SYSTEMS INC.  COMM STK         879433100      304     5400 SH       SOLE            3900        0     1500 
TELLABS INC                    COMM STK         879664100   113091  1156945 SH       SOLE          194844        0   962101 
TEMPLE-INLAND INC.             COMM STK         879868107     2343    37338 SH       SOLE           15818        0    21520 
TENET HEALTHCARE CORPORATION   COMM STK         88033G100     3821   201764 SH       SOLE           87275        0   114489 
TENNECO INC.                   COMM STK         88037E101     3128   111977 SH       SOLE           47096        0    64881 
TERADYNE INC                   COMM STK         880770102     5290    96950 SH       SOLE           40650        0    56300 
TEREX CORP                     COMM STK         880779103     2154    89300 SH       SOLE           20100        0    69200 
TERUMO CORPORATION             COMM STK         880999990   397320   168000 SH       SOLE           26000        0   142000 
TEVA PHARMACEUTICAL ADR        ADR              881624209    76808  1620200 SH       SOLE          373600        0  1246600 
TETRA TECHNOLOGIES DEL         COMM STK         88162F105     1710   253300 SH       SOLE          149100        0   104200 
TETRA TECH INC.                COMM STK         88162G103    39001  1838030 SH       SOLE          194455        0  1643575 
TEXACO INC.                    COMM STK         881694103   314126  5535255 SH       SOLE         1273652        0  4261603 
TEXAS INDUSTRIES INC           COMM STK         882491103      978    39400 SH       SOLE            9600        0    29800 
TEXAS INSTRUMENTS INC.         COMM STK         882508104   201268  2027888 SH       SOLE          354675        0  1673213 
TEXAS UTILITIES COMPANY        COMM STK         882848104    34147   819120 SH       SOLE          106170        0   712950 
TEXTRON INC.                   COMM STK         883203101     8869   114627 SH       SOLE           49448        0    65179 
THERAGENICS CORP               COMM STK         883375107     1534   219140 SH       SOLE           47600        0   171540 
THERMO ELECTRON CORP           COMM STK         883556102     1744   128595 SH       SOLE           53020        0    75575 
THERMO INSTRUMENT SYSTEM       COMM STK         883559106      170    11795 SH       SOLE             200        0    11595 
THOMAS & BETTS CORPORATION     COMM STK         884315102     1397    37193 SH       SOLE           15702        0    21491 
THOMAS INDUSTIRES INC          COMM STK         884425109     9804   522900 SH       SOLE          131300        0   391600 
3COM CORP.                     COMM STK         885535104     5750   246331 SH       SOLE          102435        0   143896 
TICKETMASTER ONLINE CITY B     COMM STK         88633P203    14206   352678 SH       SOLE               0        0   352678 
TIER TECHNOLOGIES INC.         COMM STK         88650Q100     9647  1114400 SH       SOLE           14400        0  1100000 
TIFFANY & CO NEW               COMM STK         886547108     5920    79200 SH       SOLE           46000        0    33200 
TIME WARNER COMPANIES, INC.    COMM STK         887315109   216703  3049473 SH       SOLE          936502        0  2112971 
TIMES MIRROR COMPANY           COMM STK         887364107     2958    54715 SH       SOLE           26033        0    28682 
TIMKEN CO                      COMM STK         887389104      716    44070 SH       SOLE           23103        0    20967 
TOLL BROTHERS INC              COMM STK         889478103     9068   500300 SH       SOLE             300        0   500000 
TOLLGRADE COMMUNICATIONS       COMM STK         889542106      851    50800 SH       SOLE           13800        0    37000 
TOMKINS PLC ADR                ADR              890030208    10674   717600 SH       SOLE          152300        0   565300 
TOOTSIE ROLL INDS INC          COMM STK         890516107     7409   161059 SH       SOLE           38274        0   122784 
TORCHMARK CORPORATION          COMM STK         891027104     5532   174929 SH       SOLE           44704        0   130225 
TORONTO-DOMINION BANK          COMM STK         891160509      287     4100 SH       SOLE            4100        0        0 
TOSCO CORPORATION              COMM STK         891490302     3786   152600 SH       SOLE           49100        0   103500 
TOTAL RENAL CARE HOLDING       COMM STK         89151A107    65978  5998033 SH       SOLE          902800        0  5095233 
TOTAL S.A.                     ADR              89151E109    20197   331100 SH       SOLE           29800        0   301300 
TOWER AUTOMOTIVE               COMM STK         891707101     2043   109700 SH       SOLE           44400        0    65300 
TOWER REALTY TR INC            COMM STK         89185E109    10054   530900 SH       SOLE          107300        0   423600 
TOYS R US INC.                 COMM STK         892335100   114291  6075244 SH       SOLE         1525080        0  4550164 
TRACTOR SUPPLY CO              COMM STK         892356106    28404  1116600 SH       SOLE          316600        0   800000 
TRAMMELL CROW CO.              COMM STK         89288R106    19011  1027600 SH       SOLE           25600        0  1002000 
TRANSACTION NETWORK SERVICES I COMM STK         893414102      759    47100 SH       SOLE           10800        0    36300 
TRANSACTIONS SYSTEMS ARCHITECT COMM STK         893416107     3412    94700 SH       SOLE           30100        0    64600 
TRANSAMERICA CORPORATION       COMM STK         893485102   136794  1926683 SH       SOLE          341744        0  1584939 
TRANSATLANTIC HLDGS INC        COMM STK         893521104      383     5100 SH       SOLE            4700        0      400 
TRANSPORT CORP OF AMERIC       COMM STK         89385P102     7308   642500 SH       SOLE           47500        0   595000 
TRANSTECHNOLOGY CORP           COMM STK         893889105     8644   523900 SH       SOLE          182900        0   341000 
TRAVELERS PROPERTY CASUALTY CO COMM STK         893939108    98223  2747500 SH       SOLE          457000        0  2290500 
TRANSWITCH CORPORATION         COMM STK         894065101      430     9500 SH       SOLE            9500        0        0 
TRAVEL SERVICES INTL INC       COMM STK         894169101     3122   295600 SH       SOLE             100        0   295500 
TRIANGLE PHARMACEUTICALS INC   COMM STK         89589H104    21673  2022000 SH       SOLE          129100        0  1892900 
TRICON GLOBAL RESTAURANT       COMM STK         895953107     9392   133693 SH       SOLE           58389        0    75304 
TRIBUNE COMPANY                COMM STK         896047107    86243  1317939 SH       SOLE          275183        0  1042756 
TRIMERIS INC.                  COMM STK         896263100     4423   346927 SH       SOLE          222006        0   124921 
TRINITY INDUSTRIES             COMM STK         896522109      376    12800 SH       SOLE           10100        0     2700 
TRISTAR AEROSPACE CO           COMM STK         89674L101     4563   500000 SH       SOLE               0        0   500000 
TRIUMPH GROUP INCORPORAT       COMM STK         896818101     1842    78400 SH       SOLE           16700        0    61700 
TRIZEC HAHN CORP SUB VTG       COMM STK         896938107      702    38200 SH       SOLE               0        0    38200 
TUPPERWARE CORPORATION         COMM STK         899896104    79084  4393561 SH       SOLE          590583        0  3802978 
TUSCARORA INC                  COMM STK         900902107     9082   798400 SH       SOLE           10000        0   788400 
TWEETER HOME ENTERTAINMENT     COMM STK         901167106     9134   286000 SH       SOLE               0        0   286000 
TYCO INTL LTD                  COMM STK         902124106   349232  4867341 SH       SOLE         1377738        0  3489603 
TYSON FOODS, INC.              COMM STK         902494103      446    21550 SH       SOLE           17550        0     4000 
UAL CORP                       COMM STK         902549500     2418    31100 SH       SOLE             300        0    30800 
USX CORPORATION                COMM STK         902905827   213639  7768699 SH       SOLE          722739        0  7045960 
UST INC                        COMM STK         902911106   175114  6702930 SH       SOLE         1078108        0  5624822 
U.S. BANCORP                   COMM STK         902973106    35564  1044081 SH       SOLE          307553        0   736528 
US LIQUIDS INC                 COMM STK         902974104     5685   264400 SH       SOLE           13800        0   250600 
USA NETWORKS, INC.             COMM STK         902984103     3560    99500 SH       SOLE           21900        0    77600 
UNUM CORPORATION               COMM STK         903192102   106382  2236677 SH       SOLE          629911        0  1606766 
US CAN                         COMM STK         90328W105     5711   387200 SH       SOLE           73300        0   313900 
USG CORP                       COMM STK         903293405      858    16700 SH       SOLE             800        0    15900 
U S FOODSERVICE                COMM STK         90331R101   178060  3829258 SH       SOLE          586379        0  3242879 
USX US STEEL GROUP             COMM STK         90337T101     1348    57357 SH       SOLE           23814        0    33543 
ULTRAMAR DIAMOND SHAMROCK CORP COMM STK         904000106     1447    66900 SH       SOLE           17000        0    49900 
UNIFI INC.                     COMM STK         904677101    22977  1802100 SH       SOLE          152700        0  1649400 
UNIFIRST CORP                  COMM STK         904708104     6627   313700 SH       SOLE          131200        0   182500 
UNIFY CORP                     COMM STK         904743101      298    19865 SH       SOLE           19865        0        0 
UNILEVER NV                    ADR              904784501    37165   559393 SH       SOLE          262182        0   297211 
UNICOM INC.                    COMM STK         904911104   194605  5322534 SH       SOLE         1025874        0  4296660 
UNION CAMP CORP.               COMM STK         905530101   183446  2732905 SH       SOLE          614145        0  2118760 
UNION CARBIDE CORPORATION      COMM STK         905581104    11282   249665 SH       SOLE           37443        0   212222 
UNION PACIFIC CORPORATION      COMM STK         907818108   241228  4514202 SH       SOLE          935646        0  3578556 
UNION PACIFIC RESOURCES GROUP  COMM STK         907834105    13558  1141686 SH       SOLE          229230        0   912456 
UNION PLANTERS CORP.           COMM STK         908068109    11640   264924 SH       SOLE           38600        0   226324 
UNIONBANCAL CORP COM           COMM STK         908906100      208     6100 SH       SOLE            2300        0     3800 
UNIPHASE CORP                  COMM STK         909149106     9379    81600 SH       SOLE           30000        0    51600 
UNISYS CORPORATION             COMM STK         909214108     4878   176191 SH       SOLE           76929        0    99262 
UNITED ASSET MANAGEMENT        COMM STK         909420101     1532    67700 SH       SOLE           16900        0    50800 
UNITED DOMINION REALTY TRUST I COMM STK         910197102    15164  1479418 SH       SOLE          139958        0  1339460 
UNITED HEALTHCARE CORP         COMM STK         910581107   199226  3785758 SH       SOLE          923316        0  2862442 
UNITED NATURAL FOODS           COMM STK         911163103    26704  1140900 SH       SOLE           72400        0  1068500 
UNITED RENTALS INC             COMM STK         911363109    83981  2946700 SH       SOLE          628600        0  2318100 
UNITED ROAD SERVICES           COMM STK         911384105     2578   500000 SH       SOLE               0        0   500000 
UNITED STATES CELLULAR CORP.   COMM STK         911684108     1078    24500 SH       SOLE           17700        0     6800 
UNITED STATES CELLULAR CORP.   CONV BND         911684AA6    34373 75195000 PRN      SOLE        35195000        0 40000000 
U.S. FILTER CORP               COMM STK         911843209      626    20425 SH       SOLE           18725        0     1700 
US AIRWAYS GROUP, INC.         COMM STK         911905107     2810    57562 SH       SOLE           25543        0    32019 
US WEST, INC.                  COMM STK         91273H101   115324  2094424 SH       SOLE          529327        0  1565097 
US TR CORP NEW                 COMM STK         91288L105     2156    29100 SH       SOLE           19500        0     9600 
ADTL UNITED STATIONERS INC.    COMM STK         913004107    11362   751200 SH       SOLE             300        0   750900 
UNITED TECHNOLOGIES CORP.      COMM STK         913017109    26021   192126 SH       SOLE           77414        0   114712 
UNITED WATER RESOURCES INC.    COMM STK         913190104     8215   395900 SH       SOLE          268900        0   127000 
UNITRIN INC                    COMM STK         913275103    10184   328200 SH       SOLE          156200        0   172000 
UNIVERSAL CORP VA              COMM STK         913456109      212     8300 SH       SOLE            6700        0     1600 
UNIVERSAL FOODS CORP           COMM STK         913538104      396    19200 SH       SOLE            3900        0    15300 
UNIVERSAL HEALTH SVS           COMM STK         913903100     4031    93200 SH       SOLE           21000        0    72200 
UNO RESTAURANT CORP            COMM STK         914900105     2870   410000 SH       SOLE           10000        0   400000 
UNIVISION COMMUNICATIONS INC   COMM STK         914906102    70655  1413100 SH       SOLE          331200        0  1081900 
UNOCAL CORPORATION             COMM STK         915289102   245878  6679204 SH       SOLE         1148021        0  5531183 
US FREIGHTWAYS CORP            COMM STK         916906100     3360   101900 SH       SOLE           21500        0    80400 
URBAN OUTFITTERS INC           COMM STK         917047102    24477  1736700 SH       SOLE          446500        0  1290200 
USWEB CORP                     COMM STK         917327108     6891   167300 SH       SOLE           61100        0   106200 
V.I. TECHNOLOGIES              COMM STK         917920100     3290   330000 SH       SOLE               0        0   330000 
UTILICORP UNITED INC.          COMM STK         918005109     1150    50550 SH       SOLE           49650        0      900 
VWR SCIENTIFIC PRODS           COMM STK         918435108     5690   253600 SH       SOLE          118600        0   135000 
VAIL RESORTS INC               COMM STK         91879Q109     4386   276300 SH       SOLE             300        0   276000 
VALASSIS COMMUNICATIONS        COMM STK         918866104    25249   487900 SH       SOLE          144800        0   343100 
VALERO ENERGY CORP             COMM STK         91913Y100     1923    77300 SH       SOLE           16600        0    60700 
VALLEY NATIONAL GASES INC      COMM STK         919792101     3595   767000 SH       SOLE           57000        0   710000 
VALSPAR CORP                   COMM STK         920355104    12180   385900 SH       SOLE           60300        0   325600 
VALUE LINE INC                 COMM STK         920437100      299     8658 SH       SOLE            5758        0     2900 
VANGAURD                       COMM STK         922022108     3733   137000 SH       SOLE           35850        0   101150 
VANTIVE CORP                   COMM STK         922091103     1227   100900 SH       SOLE           22300        0    78600 
VARIAN MEDICAL SYSTEMS         COMM STK         922204102      240     6200 SH       SOLE            5300        0      900 
VENTANA MEDICAL SYSTEMS        COMM STK         92276H106     1231    55000 SH       SOLE           18300        0    36700 
VERDANT BRANDS                 COMM STK         923366108      304   270069 SH       SOLE          270069        0        0 
VERITAS SOFTWARE CO            COMM STK         923436109    16812   208524 SH       SOLE           50274        0   158250 
VERITY INC                     COMM STK         92343C106      445    13300 SH       SOLE           12900        0      400 
VERITAS DGC INC                COMM STK         92343P107      416    29200 SH       SOLE           18900        0    10300 
VETERINARY CENTERS             COMM STK         925514101      805    56600 SH       SOLE           17600        0    39000 
VIACOM INC.                    COMM STK         925524100      375     4500 SH       SOLE               0        0     4500 
VIACOM INC.                    COMM STK         925524308    20508   244325 SH       SOLE          112939        0   131386 
VIATEL INC.                    COMM STK         925529208      809    28400 SH       SOLE           17600        0    10800 
VIAD CORP                      COMM STK         92552R109    44011  1582400 SH       SOLE          366500        0  1215900 
VIASOFT INC                    COMM STK         92552U102     4936  1205700 SH       SOLE          133300        0  1072400 
VICAL INC                      COMM STK         925602104      588    57367 SH       SOLE           47318        0    10049 
VICOR CORP                     COMM STK         925815102      195    15400 SH       SOLE            3400        0    12000 
VISIO CORP                     COMM STK         927914101    88018  3136500 SH       SOLE          217200        0  2919300 
VISUAL NETWORKS INC            COMM STK         928444108      449    12000 SH       SOLE           10000        0     2000 
VISX INC DE                    COMM STK         92844S105    10154    94400 SH       SOLE           44100        0    50300 
VITESSE SEMICONDUCTOR          COMM STK         928497106     5143   101650 SH       SOLE           46150        0    55500 
VODAFONE GROUP PLC SPON        ADR              92857T107    38160   203250 SH       SOLE          126450        0    76800 
VORNADO REALTY TRUST           COMM STK         929042109     9184   266200 SH       SOLE           20300        0   245900 
VULCAN MATERIALS COMPANY       COMM STK         929160109      285     6900 SH       SOLE            6000        0      900 
W D 40 COMPANY                 COMM STK         929236107      893    30800 SH       SOLE            1000        0    29800 
WACHOVIA CORPORATION           COMM STK         929771103    13666   168331 SH       SOLE           61470        0   106861 
WADDELL & REED FINANCIAL       COMM STK         930059100    55554  2709928 SH       SOLE          565346        0  2144582 
WADDELL & REED FINANCIAL       COMM STK         930059209    70118  3527973 SH       SOLE          228982        0  3298991 
WAL-MART STORES INC.           COMM STK         931142103   417537  4529213 SH       SOLE         1343760        0  3185453 
WALGREEN COMPANY               COMM STK         931422109    22604   800145 SH       SOLE          387056        0   413089 
WANG LABS INC NEW              COMM STK         93369N109     1210    61767 SH       SOLE             500        0    61267 
WARNACO GROUP INC              COMM STK         934390105   112787  4568600 SH       SOLE          940800        0  3627800 
WARNER-LAMBERT COMPANY         COMM STK         934488107   288307  4355907 SH       SOLE         1336593        0  3019314 
WASHINGTON FEDERAL INC         COMM STK         938824109      727    34402 SH       SOLE            7150        0    27252 
WASHINGTON GAS LIGHT CO.       COMM STK         938837101      557    24600 SH       SOLE           24400        0      200 
WASHINGTON MUTUAL INC.         COMM STK         939322103    27041   661558 SH       SOLE          230163        0   431395 
WASHINGTON POST COMPANY        COMM STK         939640108    52724   101100 SH       SOLE           44800        0    56300 
WASHINGTON REAL ESTATE         COMM STK         939653101      432    26500 SH       SOLE           26500        0        0 
WASTE CONNECTIONS INC          COMM STK         941053100     9876   417500 SH       SOLE               0        0   417500 
WASTE MANAGEMENT INC.          COMM STK         94106L109   358364  8075800 SH       SOLE         1411673        0  6664127 
WATERLINK INC                  COMM STK         94155N105     5134  1208000 SH       SOLE          187900        0  1020100 
WATERS CORPORATION             COMM STK         941848103    31004   295100 SH       SOLE          100000        0   195100 
WATSCO INC                     COMM STK         942622200    50401  3446248 SH       SOLE          750649        0  2695599 
WATSON PHARMACEUTICALS INC.    COMM STK         942683103     5463   123800 SH       SOLE           59100        0    64700 
WAUSAU-MOSINEE PAPER CORP      COMM STK         943315101    13450   960680 SH       SOLE          221780        0   738900 
WEATHERFORD INTERNATIONAL      COMM STK         947074100     4345   166315 SH       SOLE           49040        0   117275 
WEBSTER FINANCIAL CORP         COMM STK         947890109     2303    80000 SH       SOLE           16300        0    63700 
WEBTRENDS CORP                 COMM STK         94844D104    19187   395100 SH       SOLE           19300        0   375800 
WEEKS CORP                     COMM STK         94856P102    10243   358600 SH       SOLE           21600        0   337000 
WEINGARTEN REALTY              COMM STK         948741103    18429   465075 SH       SOLE          137875        0   327200 
WELLPOINT HEALTH               COMM STK         94973H108     9029   119100 SH       SOLE           47700        0    71400 
WELLS FARGO & COMPANY          COMM STK         949746101   458478 13076018 SH       SOLE         2711308        0 10364710 
WENDY'S INTERNATIONAL          COMM STK         950590109     2437    85714 SH       SOLE           35770        0    49944 
WESLEY JESSEN VISIONCARE       COMM STK         951018100     2219    80800 SH       SOLE           22200        0    58600 
WEST TELESERVICES CORP         COMM STK         956188106     5335   630000 SH       SOLE           33000        0   597000 
WESTAMERICA BANCORPORATION     COMM STK         957090103     3885   122600 SH       SOLE           27100        0    95500 
WESTERN DIGITAL CORP DEL       COMM STK         958102105      217    27400 SH       SOLE            5000        0    22400 
WESTERN RESOURCES INC.         COMM STK         959425109     6704   251200 SH       SOLE           49100        0   202100 
WESTERN WATER COMPANY          COMM STK         959881103     3699   768700 SH       SOLE           82000        0   686700 
WESTERN WIRELESS CORP          COMM STK         95988E204   191869  5297500 SH       SOLE          748500        0  4549000 
WESTPOINT STEVENS              COMM STK         961238102     5541   200800 SH       SOLE           42000        0   158800 
WESTVACO CORP.                 COMM STK         961548104     1465    69739 SH       SOLE           28407        0    41332 
WESTWOOD ONE INC               COMM STK         961815107     1177    41300 SH       SOLE           33600        0     7700 
WEYERHAEUSER COMPANY           COMM STK         962166104    16509   297457 SH       SOLE          132694        0   164763 
WHIRLPOOL CORPORATION          COMM STK         963320106   109226  2008747 SH       SOLE          415200        0  1593547 
WHITE CAP INDUSTRIES INC       COMM STK         963505102     4461   415000 SH       SOLE               0        0   415000 
WHITMAN CORP.                  COMM STK         96647K102     1360    79100 SH       SOLE           74400        0     4700 
WHITTMAN HART INC              COMM STK         966834103     2449    75500 SH       SOLE           65600        0     9900 
WHOLE FOODS MKT INC            COMM STK         966837106    59679  1731400 SH       SOLE          383200        0  1348200 
WILD OATS MARKETS INC          COMM STK         96808B107      456    15100 SH       SOLE           15100        0        0 
WILLAMETTE INDUSTRIES          COMM STK         969133107     7730   204773 SH       SOLE           36918        0   167855 
WILLIAMS COMPANIES INC.        COMM STK         969457100    12519   316949 SH       SOLE          144897        0   172052 
WILLIAMS SONOMA INC            COMM STK         969904101    28812  1019900 SH       SOLE           83900        0   936000 
WILMAR INDUSTRY INC            COMM STK         971426101     7829   521964 SH       SOLE           21964        0   500000 
WILMINGTON TRUST CORPORATION   COMM STK         971807102     3570    62500 SH       SOLE            2000        0    60500 
WIND RIVER SYSTEMS INC         COMM STK         973149107    37630  2116300 SH       SOLE           27600        0  2088700 
WINN DIXIE STORES INC          COMM STK         974280109     3779   101117 SH       SOLE           41121        0    59996 
WINSTAR COMMUNICATIONS, INC.   COMM STK         975515107      691    19000 SH       SOLE           18100        0      900 
WISCONSIN CENTRAL TRANS        COMM STK         976592105      359    27000 SH       SOLE            4600        0    22400 
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WITCO CORP                     COMM STK         977385103    46583  3671600 SH       SOLE          713800        0  2957800 
WOODHEAD INDUSTRIES INC        COMM STK         979438108     7676   784800 SH       SOLE          158200        0   626600 
WOODWARD GOVERNOR CO           COMM STK         980745103    15963   639300 SH       SOLE          188600        0   450700 
WORLD COLOR PRESS INC          COMM STK         981443104     1141    53700 SH       SOLE           14700        0    39000 
WORTHINGTON INDUSTRIES         COMM STK         981811102      715    60648 SH       SOLE           25476        0    35172 
WRIGLEY WM JR                  COMM STK         982526105    10615   117377 SH       SOLE           46692        0    70685 
XILINX INC                     COMM STK         983919101   399415  9854500 SH       SOLE         1303100        0  8551400 
XIRCOM                         COMM STK         983922105      206     8200 SH       SOLE            8200        0        0 
XEROX CORPORATION              COMM STK         984121103    28841   540355 SH       SOLE          228544        0   311811 
XOMED SURGICAL PRODUCTS        COMM STK         98412V107     2288    58300 SH       SOLE           58300        0        0 
XIONICS DOCUMENT TECHNOLOGIES  COMM STK         98412X103      118    41960 SH       SOLE           41960        0        0 
YAHOO INC                      COMM STK         984332106     1009     6000 SH       SOLE            3000        0     3000 
YORK INTL CORP NEW             COMM STK         986670107      300     8500 SH       SOLE            5400        0     3100 
YOUNG & RUBICAM INC            COMM STK         987425105     6854   168200 SH       SOLE           51800        0   116400 
YOUNG BROADCASTING CORPORATION COMM STK         987434107    31046   681400 SH       SOLE          112200        0   569200 
ZALE CORP                      COMM STK         988858106     1668    48800 SH       SOLE           39600        0     9200 
ZEBRA TECHNOLOGIES CORP        COMM STK         989207105    20314   853100 SH       SOLE           16300        0   836800 
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ZIONS BANCORPORATION           COMM STK         989701107     4723    71150 SH       SOLE           32750        0    38400 
ZONAGEN INC                    COMM STK         98975L108    15736   740500 SH       SOLE          117000        0   623500 
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PARTNER RE LTD                 COMM STK         G6852T105    92852  2292636 SH       SOLE          503427        0  1789209 
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TOMMY HILFIGER CORP            COMM STK         G8915Z102      765    11100 SH       SOLE           11100        0        0 
TRITON ENERGY LTD ORD          COMM STK         G90751101      258    26100 SH       SOLE           26100        0        0 
XL CAPITAL LTD                 COMM STK         G98255105   175484  2888626 SH       SOLE          459112        0  2429514 
MILLICOM INTL CELLULAR         COMM STK         L6388F102    10413   400000 SH       SOLE               0        0   400000 
CHECK POINT SOFTWARE  OR       COMM STK         M22465104     1109    25800 SH       SOLE           19000        0     6800 
GALILEO TECHNOLOGY LTD         COMM STK         M47298100    51326  1758500 SH       SOLE           58500        0  1700000 
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TOOLEX ALPHA NV                COMM STK         N8715N103     1744   161300 SH       SOLE            5700        0   155600 
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ROYAL CARIBBEAN CRUISES        COMM STK         V7780T103    61936  1588100 SH       SOLE          367900        0  1220200 
FLEXTRONICS INTL LTD ORD       COMM STK         Y2573F102     1642    32200 SH       SOLE           32200        0        0 
</TABLE> 



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