PRICE T ROWE ASSOCIATES INC /MD/
13F-HR, 2000-08-14
SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES
Previous: PRESIDENTIAL LIFE CORP, 10-Q, EX-27, 2000-08-14
Next: PRIME HOSPITALITY CORP, 10-Q, 2000-08-14




                               UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, DC 20549

                                  Form 13F

                            Form 13F COVER PAGE

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

Check here if Amendment     [  ];         Amendment Number:  _____
This Amendment (Check only one.):       [  ] is a restatement.
                                        [  ] adds new holdings entries.


Institutional Investment Manager Filing this Report:

Name:        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             08/14/2000
         [Signature]                [City, State]                   [Date]

Report type (Check only one.):

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

[  ] 13F NOTICE. (Check here if no holdings reported 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

<PAGE>

                          Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 0

Form 13F Information Table Value Total:    92256362

Form 13F Information Table Entry Total:    1904

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

                               TITLE OF               VALUE    SHARES/  SH/ PUT/ INVSTMT OTH           VOTING AUTHORITY
NAME OF ISSUER                 CLASS      CUSIP      (x$1000)  PRN AMT  PRN CALL DSCRETN MGR       SOLE      SHARE       NONE
------------------------------ ---------- --------- -------- ---------- --- ---- ------- --- ---------- ---------- ----------
<S>                            <S>        <S>       <C>      <C>                 <C>     <C> <C>
ADC TELECOMMUNICATIONS         COMM STK   000886101    43840     522879 SH       SOLE            159001          0     363878
AFLAC INCORPORATED             COMM STK   001055102     9882     215124 SH       SOLE            115124          0     100000
AES CORPORATION                COMM STK   00130H105    16755     367222 SH       SOLE            195620          0     171602
AMB PROPERTY CORP              COMM STK   00163T109      947      41500 SH       SOLE              1300          0      40200
AMFM INC                       COMM STK   001693100    76897    1114446 SH       SOLE             87446          0    1027000
AMR CORPORATION                COMM STK   001765106     3622     136987 SH       SOLE             41490          0      95497
APA OPTICS INC                 COMM STK   001853100      548      38300 SH       SOLE             26900          0      11400
AT&T CORP.                     COMM STK   001957109   209465    6623384 SH       SOLE           1746074          0    4877310
AT&T CORP.                     COMM STK   001957208   168476    6947450 SH       SOLE           1047600          0    5899850
AT&T CANADA INC.               COMM STK   00207Q202    82637    2494700 SH       SOLE            344900          0    2149800
ATMI INC                       COMM STK   00207R101     3216      69200 SH       SOLE             51900          0      17300
AVT CORPORATION                COMM STK   002420107      317      43100 SH       SOLE             33900          0       9200
AVX CORP NEW                   COMM STK   002444107      225       9800 SH       SOLE              3400          0       6400
AXA FINANCIAL, INC.            COMM STK   002451102      728      21400 SH       SOLE              5600          0      15800
AARON RENTS INC                COMM STK   002535201    14036    1117300 SH       SOLE            240500          0     876800
AARON RENTS INC                COMM STK   002535300     1555      99500 SH       SOLE             64900          0      34600
ABBOTT LABORATORIES            COMM STK   002824100   239855    5382446 SH       SOLE           2071536          0    3310910
ABERCROMBIE & FITCH COMPANY    COMM STK   002896207      157      12916 SH       SOLE              8800          0       4116
ABER RESOURCES LTD NEW         COMM STK   002916104     1319     211100 SH       SOLE            211100          0          0
ABGENIX INC                    COMM STK   00339B107   156744    1307900 SH       SOLE            159400          0    1148500
ABITIBI-CONSOLIDATED INC.      COMM STK   003924107     1178     125700 SH       SOLE            125700          0          0
ACCREDO HEALTH INC             COMM STK   00437V104      718      20800 SH       SOLE                 0          0      20800
ACCRUE SOFTWARE INC            COMM STK   00437W102     9304     261858 SH       SOLE            173872          0      87986
ACETO CORP                     COMM STK   004446100     7148     648000 SH       SOLE             73000          0     575000
A C NIELSON CORP               COMM STK   004833109     3443     156500 SH       SOLE            134300          0      22200
ACTIVE SOFTWARE INC            COMM STK   00504E100    39357     506400 SH       SOLE              5300          0     501100
ACTUATE SOFTWARE CORP          COMM STK   00508B102    76154    1427600 SH       SOLE            175400          0    1252200
ADAPTIVE BROADBAND CORP        COMM STK   00650M104     1069      29200 SH       SOLE             22400          0       6800
ADAPTEC INC                    COMM STK   00651F108     1889      82900 SH       SOLE             28400          0      54500
ADELPHIA COMMUNICATIONS        COMM STK   006848105      267       5700 SH       SOLE              1433          0       4267
ADOBE SYSTEMS INC              COMM STK   00724F101    16903     130120 SH       SOLE             80474          0      49646
ADVANCE PARADIGM INC.          COMM STK   007491103      917      45200 SH       SOLE             32800          0      12400
ADVANCED DIGITAL INFO CO       COMM STK   007525108     1346      84600 SH       SOLE             60300          0      24300
ADVANCED FIBRE COMMS INC       COMM STK   00754A105     1494      33000 SH       SOLE             23800          0       9200
ADVANTAGE LEARNING SYSTEMS     COMM STK   00757K100     3856     251300 SH       SOLE               500          0     250800
ADVANCED NEUROMODULATION       COMM STK   00757T101    14899     886200 SH       SOLE            272300          0     613900
ADVO INC                       COMM STK   007585102    72169    1718300 SH       SOLE            182800          0    1535500
ADVANCED MICRO DEVICES         COMM STK   007903107     7283      94276 SH       SOLE             36281          0      57995
AEGON NV                       ADR        007924103     7622     213941 SH       SOLE            146652          0      67289
ADVANCED ENERGY INDUSTRI       COMM STK   007973100     1697      28800 SH       SOLE             20200          0       8600
ADVENT SOFTWARE INC            COMM STK   007974108     1898      29300 SH       SOLE             22300          0       7000
AETHER SYSTEMS INC             COMM STK   00808V105     3782      18450 SH       SOLE              3400          0      15050
AETNA INC.                     COMM STK   008117103    28017     436494 SH       SOLE             91565          0     344929
AFFILIATED COMPUTER SVCS       COMM STK   008190100   171601    5190200 SH       SOLE            620700          0    4569500
AFFILIATED MANAGERS GROUP      COMM STK   008252108    20461     449700 SH       SOLE             37400          0     412300
AFFYMETRIX INC                 COMM STK   00826T108   107360     650300 SH       SOLE            104150          0     546150
AGILENT TECH INC               COMM STK   00846U101    62272     844364 SH       SOLE            362669          0     481695
AGILE SOFTWARE CORP            COMM STK   00846X105     3683      92300 SH       SOLE             36600          0      55700
AIR PRODUCTS & CHEMICALS INC.  COMM STK   009158106     4683     151988 SH       SOLE             59686          0      92302
AIRGAS INC                     COMM STK   009363102     5304     932500 SH       SOLE            157000          0     775500
AIRGATE PCS, INC.              COMM STK   009367103    18852     358450 SH       SOLE             21400          0     337050
AIRNET COMMUNICATIONS CORP.    COMM STK   00941P106    13384     511100 SH       SOLE              6400          0     504700
AKAMAI TECHNOLOGIES            COMM STK   00971T101      830       6989 SH       SOLE              4963          0       2026
ALAMO GROUP INC                COMM STK   011311107     8119     649500 SH       SOLE             86600          0     562900
ALAMOSA PCS HOLDINGS, INC.     COMM STK   011593100     2229     106000 SH       SOLE               700          0     105300
ALASKA AIR GROUP INC           COMM STK   011659109      304      11200 SH       SOLE              8900          0       2300
ALBERTO-CULVER CO CL A         COMM STK   013068101     1113      36411 SH       SOLE             12810          0      23601
ALBERTSON'S, INC.              COMM STK   013104104    29257     879922 SH       SOLE            646981          0     232941
ALCAN ALUMINUM LTD.            COMM STK   013716105     3958     127674 SH       SOLE             47991          0      79683
ALCOA, INC.                    COMM STK   013817101    75273    2595634 SH       SOLE            423304          0    2172330
ALEXION PHARMACEUTICAL         COMM STK   015351109    43422     607300 SH       SOLE               200          0     607100
ALKERMES INC                   COMM STK   01642T108   101209    2149100 SH       SOLE            359300          0    1789800
ALLAIRE CORP                   COMM STK   016714107     2269      61800 SH       SOLE             45500          0      16300
ALLEGHENY TECHNOLOGIES INC     COMM STK   01741R102    45102    2505663 SH       SOLE            476652          0    2029011
ALLEGIANCE TELECOM INC.        COMM STK   01747T102    44812     699850 SH       SOLE            155150          0     544700
ALLERGAN INC                   COMM STK   018490102     8463     113592 SH       SOLE             60664          0      52928
ALLIANCE CAPITAL MGMT L P      COMM STK   01855A101     2932      61810 SH       SOLE              2300          0      59510
ALLIED CAPITAL CORP            COMM STK   01903Q108    29996    1761218 SH       SOLE            450818          0    1310400
ALLIED HEALTHCARE PRODS        COMM STK   019222108      637     198000 SH       SOLE                 0          0     198000
ALLIED WASTE INDUSTRIES        COMM STK   019589308     1844     184360 SH       SOLE             51100          0     133260
ALLMERICA FINANCIAL CORPORATIO COMM STK   019754100      834      15921 SH       SOLE             12600          0       3321
ALLSTATE CORPORATION           COMM STK   020002101    19291     867030 SH       SOLE            222378          0     644652
ALLTEL CORPORATION             COMM STK   020039103   229744    3709288 SH       SOLE           1030569          0    2678719
ALPHA INDUSTRIES               COMM STK   020753109     2796      63400 SH       SOLE             46700          0      16700
ALTERA CORP                    COMM STK   021441100  1107925   10872000 SH       SOLE           1444300          0    9427700
ALTEON WEBSYSTEMS INC          COMM STK   02145A109     6053      60511 SH       SOLE             58911          0       1600
ALZA CORPORATION               COMM STK   022615108    33688     569778 SH       SOLE            291802          0     277976
AMAZON COM INC                 COMM STK   023135106      632      17400 SH       SOLE              4500          0      12900
AMBAC INC                      COMM STK   023139108    19272     351600 SH       SOLE            121600          0     230000
AMERADA HESS CORP.             COMM STK   023551104   311805    5049467 SH       SOLE           1299163          0    3750304
AMEREN CORPORATION             COMM STK   023608102     2828      83778 SH       SOLE             32726          0      51052
AMERICA ONLINE DELAWARE        COMM STK   02364J104   405772    7692361 SH       SOLE           2037834          0    5654527
AMERICAN CLASSIC VOYAGES       COMM STK   024928103    15221     750500 SH       SOLE                 0          0     750500
AMERICAN CAPITAL STRATEGIES    COMM STK   024937104    14377     633700 SH       SOLE            263900          0     369800
AMERICAN ELECTRIC POWER COMPAN COMM STK   025537101     6237     210536 SH       SOLE             83561          0     126975
AMERICAN EXPRESS COMPANY       COMM STK   025816109   182249    3496391 SH       SOLE           1098018          0    2398373
AMERICAN GENERAL CORPORATION   COMM STK   026351106   209864    3440399 SH       SOLE            643142          0    2797257
AMERICAN GREETINGS CORPORATION COMM STK   026375105      769      40458 SH       SOLE             15251          0      25207
AMERICAN HOME PRODUCTS CORP.   COMM STK   026609107   669514   11395979 SH       SOLE           3011871          0    8384108
AMERICAN INTERNATIONAL GROUP I COMM STK   026874107   258545    2200385 SH       SOLE            900340          0    1300045
AMERICAN ITALIAN PASTA CO      COMM STK   027070101    19666     950600 SH       SOLE             85700          0     864900
AMERICAN MANAGEMENT            COMM STK   027352103     1224      37300 SH       SOLE             29100          0       8200
AMERICAN POWR CONVERSION       COMM STK   029066107     9184     225200 SH       SOLE            124900          0     100300
AMERICAN TOWERS SYSTEMS CORP   COMM STK   029912201    11324     271629 SH       SOLE            106510          0     165119
AMERICAN SUPERCONDUCTOR        COMM STK   030111108    10160     210700 SH       SOLE             28500          0     182200
AMERICAN WATER WORKS CO., INC. COMM STK   030411102      530      21200 SH       SOLE             16800          0       4400
AMERICAN XTAL TECH             COMM STK   030514103      717      16600 SH       SOLE             12600          0       4000
AMERICREDIT CORP               COMM STK   03060R101     1095      64400 SH       SOLE             46200          0      18200
AMERON INTL INC                COMM STK   030710107    10396     290800 SH       SOLE             56300          0     234500
AMERIPATH INC                  COMM STK   03071D109    18787    2147054 SH       SOLE            421054          0    1726000
AMERISOURCE HEALTH CORP CL A   COMM STK   03071P102   129236    4168900 SH       SOLE            912400          0    3256500
AMGEN                          COMM STK   031162100   143920    2047778 SH       SOLE            683092          0    1364686
AMKOR TECHNOLOGY, INC.         COMM STK   031652100      229       6500 SH       SOLE              1700          0       4800
AMPHENOL CORP                  COMM STK   032095101     2469      37300 SH       SOLE             26200          0      11100
AMSOUTH BANCORPORATION         COMM STK   032165102    10068     639250 SH       SOLE            115167          0     524083
ANADARKO PETROLEUM CORP.       COMM STK   032511107    21709     440242 SH       SOLE             46844          0     393398
ANADIGICS INC                  COMM STK   032515108      600      17595 SH       SOLE             11700          0       5895
ANALOG DEVICES                 COMM STK   032654105  1249972   16447000 SH       SOLE           1915100          0   14531900
ANALOGIC CORP                  COMM STK   032657207    67248    1695780 SH       SOLE            304400          0    1391380
ANALYSTS INTERNATIONAL         COMM STK   032681108    17834    1928000 SH       SOLE            644200          0    1283800
ANAREN MICROWAVE INC           COMM STK   032744104     3285      25050 SH       SOLE             19150          0       5900
ANCOR COMMUNICATIONS           COMM STK   03332K108     2080      46100 SH       SOLE             33900          0      12200
ANDREW CORP                    COMM STK   034425108     2940      87524 SH       SOLE             46972          0      40552
ANDRX CORP                     COMM STK   034551101     1502      23500 SH       SOLE             16000          0       7500
ANESTA CORPORATION             COMM STK   034603100    32796    1320100 SH       SOLE            299700          0    1020400
ANHEUSER-BUSCH COMPANIES INC.  COMM STK   035229103   130974    1753622 SH       SOLE            727709          0    1025913
ANN TAYLOR STORES INC.         COMM STK   036115103     1100      33200 SH       SOLE             24200          0       9000
ANSYS INC             CO       COMM STK   03662Q105      659      57935 SH       SOLE             57935          0          0
ANSWERTHINK CONSULTING GROUP   COMM STK   036916104    22190    1344820 SH       SOLE            403800          0     941020
AON CORPORATION                COMM STK   037389103    15384     495274 SH       SOLE             69293          0     425981
APACHE CORP                    COMM STK   037411105     7960     135352 SH       SOLE             92521          0      42831
APARTMENT INVT & MGMT          COMM STK   03748R101    14347     331715 SH       SOLE            129903          0     201812
APOLLO GROUP INC CL A          COMM STK   037604105    77415    2767925 SH       SOLE            368325          0    2399600
APPLE COMPUTER INC.            COMM STK   037833100    10299     196758 SH       SOLE             76828          0     119930
APRIA HEALTHCARE GROUP         COMM STK   037933108      202      16500 SH       SOLE             10900          0       5600
APPLIED EXTRUSION              COMM STK   038196101     4090     750000 SH       SOLE                 0          0     750000
APPLIED MATERIALS INC          COMM STK   038222105   785893    8668931 SH       SOLE           1472881          0    7196050
APPLIED MICRO CIRCUITS CORP.   COMM STK   03822W109   322419    3265000 SH       SOLE            110800          0    3154200
APPLIED SCIENCE & TECHNO       COMM STK   038236105      964      37500 SH       SOLE             27700          0       9800
APPNET SYSTEMS INC             COMM STK   03831Q101    10537     292448 SH       SOLE            290748          0       1700
APTARGROUP INC                 COMM STK   038336103     6377     236200 SH       SOLE            199500          0      36700
ARCH CHEMICAL INC WI           COMM STK   03937R102    42547    1945000 SH       SOLE            509800          0    1435200
ARCH COAL INC                  COMM STK   039380100    19621    1297238 SH       SOLE            195092          0    1102146
ARCHER DANIELS MIDLAND COMPANY COMM STK   039483102     3726     379706 SH       SOLE            155780          0     223926
ARCHSTONE COMMUNITY TRUST      COMM STK   039581103    18222     865128 SH       SOLE             93700          0     771428
ARDEN REALTY, INC.             COMM STK   039793104    26769    1139100 SH       SOLE            179100          0     960000
ARIBA INC                      COMM STK   04033V104   638610    6512276 SH       SOLE             38976          0    6473300
ARMOR HOLDINGS                 COMM STK   042260109    17037    1310500 SH       SOLE            231900          0    1078600
ARMSTRONG HOLDINGS INC         COMM STK   042384107    36641    2392855 SH       SOLE            486229          0    1906626
ARROW ELECTRONICS INC          COMM STK   042735100      493      15900 SH       SOLE             10700          0       5200
ARROW INTERNATIONAL INC        COMM STK   042764100      595      17800 SH       SOLE             15400          0       2400
ART TECHNOLOGY GROUP INC       COMM STK   04289L107      321       3180 SH       SOLE               900          0       2280
ARTESYN TECHNOLOGIES INC       COMM STK   043127109     2079      74600 SH       SOLE             54400          0      20200
ARTHROCARE CORP                COMM STK   043136100      987      18500 SH       SOLE             17600          0        900
ASHLAND INC.                   COMM STK   044204105     1545      44063 SH       SOLE             18121          0      25942
ASK JEEVES INC                 COMM STK   045174109     2434     135008 SH       SOLE            133808          0       1200
ASPECT MEDICAL SYS INC         COMM STK   045235108     1006      37300 SH       SOLE                 0          0      37300
ASPECT TELECOMMUNICATION       COMM STK   04523Q102      255       6500 SH       SOLE              3600          0       2900
ASPEN TECHNOLOGY INC           COMM STK   045327103     1051      27200 SH       SOLE             20600          0       6600
AT HOME CORP                   COMM STK   045919107      689      33240 SH       SOLE             19650          0      13590
ASSOCIATES FIRST CAPITAL CORP. COMM STK   046008108    77918    3492119 SH       SOLE            843233          0    2648886
ASTORIA FINANCIAL CORP         COMM STK   046265104      275      10675 SH       SOLE              8100          0       2575
ZENECA GROUP PLC               ADR        046353108     3792      81550 SH       SOLE             39850          0      41700
ASYST TECHNOLOGY CP   CO       COMM STK   04648X107     1713      50300 SH       SOLE             37900          0      12400
ATMEL CORPORATION              COMM STK   049513104    22604     613000 SH       SOLE            148100          0     464900
ATRION CORP                    COMM STK   049904105     2475     200000 SH       SOLE                 0          0     200000
AUDIBLE INC                    COMM STK   05069A104      120      28892 SH       SOLE             27392          0       1500
AURORA BIOSCIENCES             COMM STK   051920106    63071     927940 SH       SOLE            155200          0     772740
AUSTRALIA & NEW ZEALAND BKNG.  ADR        052528304     1488      39100 SH       SOLE              3600          0      35500
AUTODESK INC                   COMM STK   052769106     1266      36451 SH       SOLE             13743          0      22708
AUTOLIV INC                    COMM STK   052800109      521      21653 SH       SOLE                 0          0      21653
AUTOMATIC DATA PROCESSING INC. COMM STK   053015103   228458    4265265 SH       SOLE           1468963          0    2796302
AUTONATIONAL INC               COMM STK   05329W102      147      20800 SH       SOLE              5500          0      15300
AUTOZONE INC                   COMM STK   053332102     1913      86945 SH       SOLE             32420          0      54525
AVALONBAY COMMUNITIES INC.     COMM STK   053484101      989      23691 SH       SOLE              1400          0      22291
AVANT CORP                     COMM STK   053487104    16198     866800 SH       SOLE             68300          0     798500
AVANEX CORP                    COMM STK   05348W109    18809     196700 SH       SOLE            142800          0      53900
AVERY DENNISON CORP            COMM STK   053611109    16081     239568 SH       SOLE            193244          0      46324
AVIRON                         COMM STK   053762100     1576      51100 SH       SOLE             49300          0       1800
AVIS GROUP HOLDINGS, INC.      COMM STK   053790101    48609    2592500 SH       SOLE            177800          0    2414700
AVNET INC                      COMM STK   053807103      225       3801 SH       SOLE              2101          0       1700
AVON PRODUCTS                  COMM STK   054303102     9779     219754 SH       SOLE            127316          0      92438
BB&T CORPORATION               COMM STK   054937107     5236     219310 SH       SOLE             83019          0     136291
AZURIX CORP                    COMM STK   05501M104     1539     219800 SH       SOLE            119200          0     100600
BHA GROUP HLDGS INC            COMM STK   055446108     6333     645400 SH       SOLE             31300          0     614100
BISYS GROUP INC                COMM STK   055472104   106657    1725500 SH       SOLE            244500          0    1481000
B J SERVICES CO                COMM STK   055482103   205850    3293600 SH       SOLE            444200          0    2849400
BJS WHOLESALE CLUB INC         COMM STK   05548J106    83081    2517600 SH       SOLE            582000          0    1935600
BP AMOCO PLC                   ADR        055622104   645999   11420977 SH       SOLE           2379905          0    9041072
BP PRUDHOE BAY ROYALTY T       COMM STK   055630107     3012     252300 SH       SOLE            250000          0       2300
BMC SOFTWARE INC               COMM STK   055921100   587366   16106016 SH       SOLE           1164935          0   14941081
BWAY CORP.                     COMM STK   056039100     5658     854000 SH       SOLE             65000          0     789000
BADGER METER INC               COMM STK   056525108     2651     105000 SH       SOLE                 0          0     105000
BAKER HUGHES INCORPORATED      COMM STK   057224107   354025   11063277 SH       SOLE           2429150          0    8634127
BAKER HUGHES INCORPORATED      CONV BND   057224AH0     3874    5000000 PRN      SOLE           2400000          0    2600000
BALL CORP                      COMM STK   058498106      634      19700 SH       SOLE              7785          0      11915
BANCO BILBAO VIZCAYA, S.A.     ADR        05946K101     5527     374700 SH       SOLE             79200          0     295500
BANCO FRANCES DEL RIO          ADR        059591107     1610      74449 SH       SOLE             18515          0      55934
BANK OF AMERICA CORPORATION    COMM STK   060505104   217262    5052610 SH       SOLE           1293513          0    3759097
BANK OF NEW YORK COMPANY, INC. COMM STK   064057102   270538    5818030 SH       SOLE           1290106          0    4527924
BANK ONE CORPORATION           COMM STK   06423A103   174834    6581999 SH       SOLE           1416898          0    5165101
BANK UNITED CORP.              COMM STK   065412108     5266     149000 SH       SOLE             76800          0      72200
BANKNORTH GROUP INC COM        COMM STK   06646R107     1927     126349 SH       SOLE             42854          0      83495
BANTA CORP                     COMM STK   066821109      415      21900 SH       SOLE              7800          0      14100
BARD (C.R.) INC                COMM STK   067383109     1504      31249 SH       SOLE             11823          0      19426
BARNES & NOBLE INC             COMM STK   067774109      236      10600 SH       SOLE              7700          0       2900
BARRICK GOLD CORP              COMM STK   067901108    10686     587557 SH       SOLE            144434          0     443123
BARRA INC             CO       COMM STK   068313105     2539      51200 SH       SOLE             50800          0        400
BARRETT RESOURCES CORP         COMM STK   068480201    47548    1562136 SH       SOLE            247650          0    1314486
BATTLE MOUNTAIN GOLD           COMM STK   071593107    12191    5572900 SH       SOLE           1459300          0    4113600
BATTLE MOUNTAIN GOLD           CVPFSTKF   071593305     1313      44500 SH       SOLE             44500          0          0
BATTLE MOUNTAIN GOLD           CONV BND   071593AA5     1650    2000000 PRN      SOLE           1000000          0    1000000
BAUSCH & LOMB, INC.            COMM STK   071707103     3645      47103 SH       SOLE             23644          0      23459
BAXTER INTERNATIONAL INC.      COMM STK   071813109   237819    3382319 SH       SOLE            910919          0    2471400
BE FREE INC                    COMM STK   073308108     5212     578052 SH       SOLE            423338          0     154714
BE INCORPORATED                COMM STK   073309106     1099     228396 SH       SOLE            227796          0        600
BEA SYSTEMS INC.               COMM STK   073325102    63309    1281398 SH       SOLE           1180200          0     101198
BEAR STEARNS COMPANIES INC.    COMM STK   073902108    24239     582326 SH       SOLE             37352          0     544974
BECKMAN COULTER INC            COMM STK   075811109      496       8500 SH       SOLE              4200          0       4300
BECTON DICKINSON & CO.         COMM STK   075887109    85218    2970573 SH       SOLE            625928          0    2344645
BED BATH & BEYOND              COMM STK   075896100     7704     212700 SH       SOLE            150700          0      62000
BELL ATLANTIC CORP.            COMM STK   077853109   227410    4475466 SH       SOLE           1220870          0    3254596
BELLSOUTH CORPORATION          COMM STK   079860102   161946    3799321 SH       SOLE           1030516          0    2768805
BELO (AH) CORP                 COMM STK   080555105      504      29100 SH       SOLE              9600          0      19500
BEMIS CO                       COMM STK   081437105     1328      39494 SH       SOLE             19669          0      19825
BENCHMARK ELECTRONICS          COMM STK   08160H101    22168     606300 SH       SOLE            134000          0     472300
BERGEN BRUNSWIG CL A           COMM STK   083739102       75      13717 SH       SOLE              6402          0       7315
BERKLEY (W.R.) CORPORATION     COMM STK   084423102    11228     599800 SH       SOLE            157600          0     442200
BERKSHIRE HATHAWAY INC.        COMM STK   084670108    42585        589 SH       SOLE               159          0        430
BERKSHIRE HATHAWAY INC.        COMM STK   084670207     5843       2450 SH       SOLE               502          0       1948
BEST BUY CO INC                COMM STK   086516101     8374     132400 SH       SOLE             55800          0      76600
BESTFOODS                      COMM STK   08658U101    20483     295782 SH       SOLE            120844          0     174938
BETHLEHEM STEEL CORP.          COMM STK   087509105      286      80331 SH       SOLE             31135          0      49196
BIG CITY RADIO INC             COMM STK   089098107     1013     200000 SH       SOLE                 0          0     200000
BIOCHEM PHARMA INC             COMM STK   09058T108     1108      55500 SH       SOLE             47300          0       8200
BIOGEN INC                     COMM STK   090597105    23441     363600 SH       SOLE            200000          0     163600
BIOMATRIX INC                  COMM STK   09060P102      932      41200 SH       SOLE             40600          0        600
BIOMET INC                     COMM STK   090613100     4685     121798 SH       SOLE             74106          0      47692
BIOPURE CORP                   COMM STK   09065H105      676      35733 SH       SOLE             16667          0      19066
BIOVAIL CORP                   COMM STK   09067J109     9622     173558 SH       SOLE             82800          0      90758
BLACK & DECKER CORPORATION     COMM STK   091797100    38341     975290 SH       SOLE            288300          0     686990
BLACK BOX CORP                 COMM STK   091826107      330       4170 SH       SOLE              2500          0       1670
BLACK HILLS CORP               COMM STK   092113109    13847     613700 SH       SOLE            218300          0     395400
H & R BLOCK INC                COMM STK   093671105    87856    2713686 SH       SOLE            585870          0    2127816
BLUESTONE SOFTWARE             COMM STK   09623P102     3879     151200 SH       SOLE               400          0     150800
BLYTH INDUSTRIES INC           COMM STK   09643P108     3651     123750 SH       SOLE             34600          0      89150
BOEING COMPANY                 COMM STK   097023105    91865    2197064 SH       SOLE            711640          0    1485424
BOISE CASCADE CORP.            COMM STK   097383103      952      36811 SH       SOLE             15480          0      21331
THE BON-TON STORES INC         COMM STK   09776J101     3320    1455200 SH       SOLE            331500          0    1123700
BONE CARE INTERNATIONAL INC    COMM STK   098072101    24549    1040500 SH       SOLE            147500          0     893000
BORDERS GROUP INC              COMM STK   099709107    25978    1669300 SH       SOLE            366100          0    1303200
BORON LEPORE & ASSOC           COMM STK   10001P102    11205    1219600 SH       SOLE             61300          0    1158300
BOSTON COMMUNCTNS GRP CO       COMM STK   100582105      172      12400 SH       SOLE             10000          0       2400
BOSTON PROPERTIES INC          COMM STK   101121101     3268      84600 SH       SOLE              5900          0      78700
BOSTON SCIENTIFIC CORP         COMM STK   101137107     8304     378529 SH       SOLE            216766          0     161763
BOWATER INCORPORATED           COMM STK   102183100      432       9800 SH       SOLE              7600          0       2200
BREAKAWAY SOLUTIONS INC        COMM STK   106372105     3663     135200 SH       SOLE             33800          0     101400
BRIGGS & STRATTON CORP         COMM STK   109043109      478      13942 SH       SOLE              4935          0       9007
BRIGHAM EXPLORATION CO         COMM STK   109178103     1429     550900 SH       SOLE                 0          0     550900
BRIGHT HORIZON FAMILY SOLUTION COMM STK   109195107    11709     548600 SH       SOLE             37500          0     511100
BRIGHT POINT INC.              COMM STK   109473108    12979    1502100 SH       SOLE               700          0    1501400
BRINKER INTERNATIONAL          COMM STK   109641100      732      25025 SH       SOLE             13150          0      11875
BRIO TECHNOLOGY                COMM STK   109704106      945      44400 SH       SOLE             36000          0       8400
BRISTOL-MYERS SQUIBB COMPANY   COMM STK   110122108   199668    3427771 SH       SOLE           1070200          0    2357571
BRITISH TELECOMMUNICATIONS PLC ADR        111021408     4933      37300 SH       SOLE              6700          0      30600
BROADBASE SOFTWARE INC         COMM STK   11130R100     4674     152480 SH       SOLE            110600          0      41880
BROADCOM CORP                  COMM STK   111320107    32556     148700 SH       SOLE             66850          0      81850
BROADVISION INC                COMM STK   111412102     7358     145080 SH       SOLE            110600          0      34480
CINCINNATI BELL INC.           COMM STK   111620100     2878     110944 SH       SOLE             38748          0      72196
BROCADE COMM SYS               COMM STK   111621108     3056      16680 SH       SOLE             12100          0       4580
BROWN AND BROWN INC            COMM STK   115236101    90186    1734350 SH       SOLE            395250          0    1339100
BROWN-FORMAN CORP.             COMM STK   115637209   115643    2151490 SH       SOLE            544726          0    1606764
TOM BROWN INC                  COMM STK   115660201     2182      94500 SH       SOLE             71200          0      23300
BRUNSWICK CORPORATION          COMM STK   117043109     1154      69680 SH       SOLE             34763          0      34917
BUCA INC                       COMM STK   117769109    16917    1082700 SH       SOLE            218300          0     864400
BUCKEYE TECHNOLOGIES INC       COMM STK   118255108     8687     396000 SH       SOLE             75500          0     320500
BUILDING MATERIALS             COMM STK   120113105     3966     450000 SH       SOLE                 0          0     450000
BURLINGTON INDUSTRIES INC.     COMM STK   121693105       32      18700 SH       SOLE              1000          0      17700
BURLINGTON NORTHERN SANTA FE C COMM STK   12189T104    35173    1533445 SH       SOLE            116040          0    1417405
BURR BROWN CORP                COMM STK   122574106   222024    2561200 SH       SOLE            194525          0    2366675
BUSH BOAKE ALLEN INC           COMM STK   123162109     1658      37900 SH       SOLE             37400          0        500
BUSINESS RESOURCE GROUP        COMM STK   12329K104     3298     525000 SH       SOLE             62000          0     463000
CBL & ASSOC PROPERTIES         COMM STK   124830100      696      27900 SH       SOLE               400          0      27500
C-COR ELECTRONICS INC          COMM STK   125010108     1157      42900 SH       SOLE             32600          0      10300
CDW COMPUTER CENTERS INC       COMM STK   125129106     5015      80200 SH       SOLE             67200          0      13000
CEC ENTERTAINMENT              COMM STK   125137109     1001      39050 SH       SOLE             31350          0       7700
C.H. ROBINSON WORLDWIDE        COMM STK   12541W100    71740    1450200 SH       SOLE            317900          0    1132300
CIGNA CORP.                    COMM STK   125509109   144929    1550045 SH       SOLE            295178          0    1254867
CIT GROUP, INC.                COMM STK   125577106      215      13200 SH       SOLE              3200          0      10000
CLECO CORP                     COMM STK   12561W105    49158    1467400 SH       SOLE            342400          0    1125000
CMG INFORMATION SERVICES       COMM STK   125750109    11424     249532 SH       SOLE            186018          0      63514
CMS ENERGY CORP.               COMM STK   125896100     1668      75400 SH       SOLE             31400          0      44000
CSS INDS INC                   COMM STK   125906107    13143     643100 SH       SOLE             66900          0     576200
CSK AUTO CORP                  COMM STK   125965103    17895    2366300 SH       SOLE            275400          0    2090900
CNA FINANCIAL CORP.            COMM STK   126117100      296       8700 SH       SOLE              2300          0       6400
CNF TRANSN INC                 COMM STK   12612W104     7646     336100 SH       SOLE             32300          0     303800
C/NET INC.                     COMM STK   12613R104    36992    1507960 SH       SOLE            392900          0    1115060
CSG SYSTEMS INTERNAT INC       COMM STK   126349109      224       4000 SH       SOLE              2000          0       2000
CSX CORPORATION                COMM STK   126408103     3426     161690 SH       SOLE             57192          0     104498
CTS CORP                       COMM STK   126501105    15233     338500 SH       SOLE             89800          0     248700
CUNO INC                       COMM STK   126583103    13206     570300 SH       SOLE            159200          0     411100
CVS CORPORATION                COMM STK   126650100   221399    5534981 SH       SOLE           1246406          0    4288575
CV THERAPEUTICS INC            COMM STK   126667104     1843      26500 SH       SOLE               400          0      26100
HONG KONG TELECOMM LTD         ADR        126828102     1683      78276 SH       SOLE             19342          0      58934
CABLEVISION SYSTEMS            COMM STK   12686C109      418       6160 SH       SOLE              1700          0       4460
CABLETRON SYSTEMS INC          COMM STK   126920107     2898     114761 SH       SOLE             47809          0      66952
CACHEFLOW INC                  COMM STK   126946102     4268      69300 SH       SOLE             45500          0      23800
CABOT CORP                     COMM STK   127055101    38264    1404200 SH       SOLE            475300          0     928900
CABOT OIL & GAS                COMM STK   127097103     3070     144900 SH       SOLE            123400          0      21500
CABOT MICROELECTRONICS CORP    COMM STK   12709P103    18733     407800 SH       SOLE             48300          0     359500
CADBURY SCHWEPPES PLC          ADR        127209302     2213      84318 SH       SOLE              4246          0      80072
CADENCE DESIGN SYSTEMS         COMM STK   127387108     1891      92800 SH       SOLE             83400          0       9400
CAL DIVE INTERNATIONAL INC.    COMM STK   127914109     1583      29200 SH       SOLE             22900          0       6300
CALICO COMMERCE INC            COMM STK   129897104     1977     121903 SH       SOLE             88253          0      33650
CALIBER LEARNING NETWORK       COMM STK   129914107     2275     560000 SH       SOLE                 0          0     560000
CALLAWAY GOLF CO               COMM STK   131193104      396      24300 SH       SOLE              7500          0      16800
CALPINE CORP                   COMM STK   131347106     3426      52100 SH       SOLE             42200          0       9900
CALYPTE BIOMEDICAL CORPO       COMM STK   131722100       48      20000 SH       SOLE             20000          0          0
CAMBREX CORP                   COMM STK   132011107     1607      35700 SH       SOLE             26300          0       9400
CAMBRIDGE TECH PARTNERS        COMM STK   132524109    10790    1235300 SH       SOLE             24900          0    1210400
CAMDEN PROPERTY TRUST          COMM STK   133131102     8011     272700 SH       SOLE             66600          0     206100
CAMPBELL SOUP COMPANY          COMM STK   134429109   110333    3788259 SH       SOLE            952700          0    2835559
CANADIAN PACIFIC LIMITED       COMM STK   135923100    23791     908500 SH       SOLE            267600          0     640900
CANADIAN OCCIDENTAL PETE       COMM STK   136420106     3534     130000 SH       SOLE                 0          0     130000
CAPITAL ONE FINANCIAL CORP.    COMM STK   14040H105   224562    5032209 SH       SOLE           1108500          0    3923709
CAPITAL SENIOR LIVING CORP.    COMM STK   140475104      737     251000 SH       SOLE                 0          0     251000
CAPROCK COMMUNICATIONS         COMM STK   140667106      934      47300 SH       SOLE             33800          0      13500
CARBO CERAMICS, INC            COMM STK   140781105    11022     313800 SH       SOLE            135500          0     178300
CARDINAL HEALTH, INC.          COMM STK   14149Y108    25584     345732 SH       SOLE            152223          0     193509
CAREERBUILDER INC              COMM STK   141684100     1130     341200 SH       SOLE            340500          0        700
CAREMARK RX INC                COMM STK   141705103      731     107300 SH       SOLE            102400          0       4900
CARLISLE COS INC               COMM STK   142339100      914      20300 SH       SOLE             14200          0       6100
CARNIVAL CORP.                 COMM STK   143658102     9255     474608 SH       SOLE            216350          0     258258
CARRAMERICA REALTY CORP        COMM STK   144418100      973      36700 SH       SOLE              8500          0      28200
CARRIER ACCESS CORP            COMM STK   144460102     1127      21300 SH       SOLE             15300          0       6000
CARRIER1 INTERNATIONAL S.A.    ADR        144500303     6465     559100 SH       SOLE             41100          0     518000
CASELLA WASTE SYS INC.         COMM STK   147448104    11179    1042900 SH       SOLE             33600          0    1009300
CASEYS GENERAL STORES          COMM STK   147528103    48344    4645700 SH       SOLE            791300          0    3854400
CATALINA MARKETING CORP        COMM STK   148867104   222258    2179000 SH       SOLE            278900          0    1900100
CATALYTICA INC                 COMM STK   148885106     4136     377100 SH       SOLE            109850          0     267250
CATELLUS DEVELOPMENT CORP.     COMM STK   149111106     7517     501100 SH       SOLE             38800          0     462300
CATERPILLAR INC.               COMM STK   149123101     9789     288971 SH       SOLE            103782          0     185189
CEDAR FAIR                     COMM STK   150185106     5280     274280 SH       SOLE             72400          0     201880
CELL GENESYS INC               COMM STK   150921104      378      13500 SH       SOLE              8300          0       5200
CELGENE CORP                   COMM STK   151020104      259       4400 SH       SOLE              2000          0       2400
CELL PATHWAYS INC              COMM STK   15114R101      492      21000 SH       SOLE             20300          0        700
CENDANT CORP.                  COMM STK   151313103     7336     524013 SH       SOLE            179568          0     344445
CENTERPOINT PROPERTIES TRUST   COMM STK   151895109      734      18000 SH       SOLE              1000          0      17000
CENTEX CORP                    COMM STK   152312104      853      36282 SH       SOLE             14054          0      22228
CENTURY TELEPHONE ENTERPRISES  COMM STK   156700106    14244     495450 SH       SOLE             86625          0     408825
CEPHALON INC                   COMM STK   156708109    84469    1389000 SH       SOLE            275200          0    1113800
CERIDIAN CORPORATION           COMM STK   15677T106   150691    6262472 SH       SOLE            954640          0    5307832
CERUS CORP                     COMM STK   157085101     3107      60670 SH       SOLE             60000          0        670
THE CHALONE WINE GROUP LTD     COMM STK   157639105     1993     250100 SH       SOLE                 0          0     250100
CHARTER ONE FINANCIAL          COMM STK   160903100    10705     465450 SH       SOLE            125518          0     339932
CHARTER COMMUNICATIONS INC CL  COMM STK   16117M107    55137    3348000 SH       SOLE            650700          0    2697300
CHASE MANHATTAN CORPORATION    COMM STK   16161A108   152931    3320069 SH       SOLE            653928          0    2666141
CHATTEM                        COMM STK   162456107     6333     461600 SH       SOLE             88600          0     373000
CHECKFREE HOLDINGS             COMM STK   162816102     3062      59279 SH       SOLE             57179          0       2100
CHECKPOINT SYSTEMS INC         COMM STK   162825103       85      11300 SH       SOLE              8000          0       3300
CHEVRON CORPORATION            COMM STK   166751107   433203    5107777 SH       SOLE           1231471          0    3876306
CHIEFTAN INTL FDG              CVPFSTKF   168672202     1045      40000 SH       SOLE                 0          0      40000
CHIEFTAIN INTERNATIONAL        COMM STK   16867C101    27656    1450800 SH       SOLE            421300          0    1029500
CHILDREN'S COMP SVC            COMM STK   16875K202     2391     772758 SH       SOLE             72758          0     700000
CHINA MOBILE LIMITED           ADR        169428109    28406     159750 SH       SOLE             27550          0     132200
CHIREX INC                     COMM STK   170038103      321      16100 SH       SOLE             15300          0        800
CHIRON CORP                    COMM STK   170040109     1430      30096 SH       SOLE             13400          0      16696
CHITTENDEN CORP                COMM STK   170228100    29166    1193514 SH       SOLE            217114          0     976400
CHOICEPOINT INC                COMM STK   170388102     3981      89454 SH       SOLE             74132          0      15322
CHOICE ONE COMMUNICATIONS INC  COMM STK   17038P104    36065     883000 SH       SOLE             59200          0     823800
CHORDIANT SOFTWARE INC         COMM STK   170404107    43327    2611065 SH       SOLE                 0          0    2611065
CHRIS CRAFT INDS INC           COMM STK   170520100    59452     899941 SH       SOLE            347466          0     552475
CHROMCRAFT REVINGTON INC       COMM STK   171117104    11985    1031000 SH       SOLE             31000          0    1000000
CHUBB CORPORATION              COMM STK   171232101   148433    2413546 SH       SOLE            593161          0    1820385
CIBER INC                      COMM STK   17163B102    41695    3146800 SH       SOLE            695600          0    2451200
CIENA CORP                     COMM STK   171779101   710112    4260940 SH       SOLE            462800          0    3798140
CINCINNATI FINL CORP           COMM STK   172062101     3539     112472 SH       SOLE             49937          0      62535
CINERGY CORP.                  COMM STK   172474108     2753     108216 SH       SOLE             49963          0      58253
CIRCLE INTL GROUP INC          COMM STK   172574105     2529     100800 SH       SOLE               200          0     100600
CIRCUIT CITY STORES INC        COMM STK   172737108   173918    5240472 SH       SOLE            963060          0    4277412
CISCO SYSTEMS INC              COMM STK   17275R102  1919950   30220558 SH       SOLE           7014791          0   23205767
CITADEL COMMUNICATIONS CORP    COMM STK   172853202     1976      56600 SH       SOLE             52400          0       4200
CINTAS CORPORATION             COMM STK   172908105     7022     192047 SH       SOLE            167648          0      24399
CITIGROUP INC.                 COMM STK   172967101   955673   15861792 SH       SOLE           4486828          0   11374964
CITIZENS BKG CORP MICH         COMM STK   174420109    12819     788860 SH       SOLE            143660          0     645200
CITIZENS UTILITIES CO.         COMM STK   17453B101      350      20274 SH       SOLE              9900          0      10374
CITRIX SYSTEMS INC.            COMM STK   177376100     3773     198900 SH       SOLE            126000          0      72900
CITY NATIONAL CORPORATION      COMM STK   178566105     3258      93750 SH       SOLE             81050          0      12700
CLASSIC COMMUNICATIONS, INC.   COMM STK   182728204     7161     792900 SH       SOLE             75700          0     717200
CLAYTON HOMES INC              COMM STK   184190106      200      24950 SH       SOLE             18600          0       6350
CLEAR CHANNEL COMMUNICATIONS,  COMM STK   184502102   221221    2949610 SH       SOLE            653161          0    2296449
CLEARNET COMMUNICATIONS, INC.  COMM STK   184902104    41051     715800 SH       SOLE             79800          0     636000
CLEVELAND-CLIFFS INC           COMM STK   185896107     5981     231700 SH       SOLE               100          0     231600
CLOROX COMPANY                 COMM STK   189054109    13722     306212 SH       SOLE            211154          0      95058
COASTAL CORP.                  COMM STK   190441105     9556     156974 SH       SOLE             76976          0      79998
COBALT GROUP INC               COMM STK   19074Q103      112      16300 SH       SOLE             11300          0       5000
COCA-COLA COMPANY              COMM STK   191216100   229098    3988650 SH       SOLE           1550536          0    2438114
COCA-COLA ENTERPRISES INC.     COMM STK   191219104    22426    1374798 SH       SOLE            116100          0    1258698
COFLEXIP SPONSORED ADR         ADR        192384105    47105     780200 SH       SOLE             50200          0     730000
COGNEX CORP                    COMM STK   192422103   260498    5036825 SH       SOLE            544025          0    4492800
COGNIZANT TECHNOLOGY SOLUTION  COMM STK   192446102      580      17500 SH       SOLE             12500          0       5000
COHU INC                       COMM STK   192576106     1470      54500 SH       SOLE             41800          0      12700
COINSTAR INC                   COMM STK   19259P300      213      21100 SH       SOLE             20500          0        600
COLD METAL PRODUCTS INC.       COMM STK   192861102     1350     400000 SH       SOLE                 0          0     400000
COLE NATIONAL CORP             COMM STK   193290103     7417    1059500 SH       SOLE               200          0    1059300
COLE KENNETH PRODUCTIONS       COMM STK   193294105     2108      52700 SH       SOLE             39900          0      12800
COLLATERAL THERAPEUTICS        COMM STK   193921103      774      30500 SH       SOLE             23000          0       7500
COLGATE-PALMOLIVE CO.          COMM STK   194162103    95321    1592003 SH       SOLE            474660          0    1117343
COLLAGENEX PHARMA INC CO       COMM STK   19419B100      184      10700 SH       SOLE             10700          0          0
COLUMBIA ENERGY GROUP          COMM STK   197648108     3203      48808 SH       SOLE             18959          0      29849
COLUMBIA SPORTSWEAR            COMM STK   198516106    14358     535500 SH       SOLE             99200          0     436300
COMFORT SYSTEMS USA INC        COMM STK   199908104    12468    3117000 SH       SOLE            450000          0    2667000
COMARCO INC                    COMM STK   200080109    11593     358100 SH       SOLE              7700          0     350400
COMCAST CORPORATION            COMM STK   200300200   219296    5410548 SH       SOLE            670622          0    4739926
COMDISCO, INC.                 COMM STK   200336105      471      21110 SH       SOLE             15200          0       5910
COMERICA INCORPORATED          COMM STK   200340107     4352      96983 SH       SOLE             38182          0      58801
COMMERCE BANCORP INC NJ        COMM STK   200519106     2020      43917 SH       SOLE             33389          0      10528
COMMERCE BANCSHARES INC        COMM STK   200525103      210       7042 SH       SOLE              4636          0       2406
COMMERCE ONE INC               COMM STK   200693109    23712     521500 SH       SOLE             90900          0     430600
COMMSCOPE INC                  COMM STK   203372107     2075      50600 SH       SOLE             38000          0      12600
COMMUNITY FIRST BANKSHARES INC COMM STK   203902101    25248    1544824 SH       SOLE            451900          0    1092924
PAO DE ACUCAR                  ADR        20440T201      765      23800 SH       SOLE              7600          0      16200
COMPANIA CERVECERIAS UNI       ADR        204429104      404      17800 SH       SOLE              6700          0      11100
COMPANIA DE TELECOM DE         ADR        204449300      961      53000 SH       SOLE             13275          0      39725
COMPAQ COMPUTER CORP           COMM STK   204493100   127861    5001906 SH       SOLE           1120561          0    3881345
COMPASS BANCSHARES INC         COMM STK   20449H109      304      17750 SH       SOLE             13100          0       4650
COMPUCOM SYSTEMS INC           COMM STK   204780100     4178    2499000 SH       SOLE            675800          0    1823200
COMPUTER ASSOCIATES INTL       COMM STK   204912109   124911    2440269 SH       SOLE            778189          0    1662080
COMPUTER SCIENCES CORP         COMM STK   205363104     8171     109401 SH       SOLE             45882          0      63519
COMPUWARE CORPORATION          COMM STK   205638109     2432     235070 SH       SOLE            100200          0     134870
COMPX INTERNATIONAL INC        COMM STK   20563P101    22906    1127700 SH       SOLE            314700          0     813000
COMVERSE TECHNOLOGY INC        COMM STK   205862402    16448     176800 SH       SOLE            111000          0      65800
CONAGRA, INC.                  COMM STK   205887102     8714     457136 SH       SOLE            217563          0     239573
COM21 INC                      COMM STK   205937105     2800     112125 SH       SOLE             96525          0      15600
CONCORD COMMUNICATIONS INC     COMM STK   206186108    83863    2047000 SH       SOLE            282100          0    1764900
CONCORD EFS INC                COMM STK   206197105   151509    5827287 SH       SOLE            158537          0    5668750
CONCURRENT COMPUTER CORP       COMM STK   206710204      279      21300 SH       SOLE             15800          0       5500
CONE MLS CORP INC              COMM STK   206814105     6326    1022400 SH       SOLE            183900          0     838500
SONEXANT SYSTEMS INC-W/I       COMM STK   207142100     7660     157230 SH       SOLE             74100          0      83130
CONMED CORP                    COMM STK   207410101     2124      82500 SH       SOLE             62200          0      20300
CONOCO INC.                    COMM STK   208251405    22565     918664 SH       SOLE            173147          0     745517
CONSECO INC.                   COMM STK   208464107     3094     317331 SH       SOLE            117732          0     199599
CONSOLIDATED EDISON, INC.      COMM STK   209115104     6041     203918 SH       SOLE             67718          0     136200
CONSOLIDATED GRAPHICS  INC     COMM STK   209341106     7900     842650 SH       SOLE             46100          0     796550
CONSOLIDATED PAPERS INC        COMM STK   209759109    17256     471950 SH       SOLE            173450          0     298500
CONSOLIDATED PRODUCTS, INC.    COMM STK   209798107    11914    1323725 SH       SOLE            278625          0    1045100
CONSOLIDATED STORES            COMM STK   210149100    34159    2846602 SH       SOLE            632467          0    2214135
CONSTELLATION ENERGY GROUP, IN COMM STK   210371100     4522     138866 SH       SOLE             72841          0      66025
CONTINUUS SOFTWARE CORP        COMM STK   21218R104      118      37000 SH       SOLE             37000          0          0
CONVERGYS CORP                 COMM STK   212485106     5130      98900 SH       SOLE             41500          0      57400
COOPER CAMERON CORP            COMM STK   216640102    60661     919100 SH       SOLE             69800          0     849300
COOPER INDUSTRIES INC.         COMM STK   216669101    45164    1386990 SH       SOLE            324303          0    1062687
COOPER TIRE & RUBBER CO        COMM STK   216831107      483      43440 SH       SOLE             16723          0      26717
COORS ADOLPH CO CLASS B        COMM STK   217016104     1394      23049 SH       SOLE              9075          0      13974
COPPER MOUNTAIN NETWORKS INC   COMM STK   217510106      238       2700 SH       SOLE               600          0       2100
COR THERAUPETICS INC           COMM STK   217753102    98779    1158274 SH       SOLE             47924          0    1110350
CORN PRODUCTS INTERNATIONAL    COMM STK   219023108      401      15150 SH       SOLE              4875          0      10275
CORNING INCORPORATED           COMM STK   219350105   705265    2613301 SH       SOLE            567679          0    2045622
CORPORATE EXECUTIVE BOARD CO   COMM STK   21988R102    12242     201100 SH       SOLE               400          0     200700
CORRPRO COS INC                COMM STK   220317101     1179     362900 SH       SOLE             49000          0     313900
COST PLUS INC CALIF COM        COMM STK   221485105     1058      36775 SH       SOLE             27075          0       9700
COSTCO WHOLESALE CORP.         COMM STK   22160K105    35394    1071518 SH       SOLE            134914          0     936604
COSTAR GROUP INC               COMM STK   22160N109     6304     251200 SH       SOLE               200          0     251000
COULTER PHARMACEUTICAL         COMM STK   222116105     1704      83250 SH       SOLE             82350          0        900
COUNTRYWIDE CREDIT INDUSTRIES  COMM STK   222372104     4025     132792 SH       SOLE             26242          0     106550
COURIER CORP                   COMM STK   222660102     6640     234000 SH       SOLE                 0          0     234000
COUSINS PROPERTIES INC         COMM STK   222795106     9412     244460 SH       SOLE              3900          0     240560
COVAD COMMUNICATIONS GROUP INC COMM STK   222814204    14775     918074 SH       SOLE            270799          0     647275
COX COMMUNICATIONS INC.        COMM STK   224044107     8244     180929 SH       SOLE             60284          0     120645
COX RADIO INC CLASS A          COMM STK   224051102     2092      74700 SH       SOLE             55800          0      18900
CRANE CO.                      COMM STK   224399105     1326      54531 SH       SOLE             29299          0      25232
CRAWFORD & CO CL B             COMM STK   224633107      314      28550 SH       SOLE             23950          0       4600
CREDENCE SYSTEMS CORP          COMM STK   225302108      232       4200 SH       SOLE              2600          0       1600
CREE RESEARCH INC              COMM STK   225447101     3456      25850 SH       SOLE             20400          0       5450
CRESCENT R E EQUITIES          COMM STK   225756105     1017      49600 SH       SOLE              7700          0      41900
CRITICAL PATH INC              COMM STK   22674V100     5340      55660 SH       SOLE             27030          0      28630
CK WITCO CORP                  COMM STK   227116100      325      26514 SH       SOLE             21490          0       5024
CROSS TIMBERS OIL CO.          COMM STK   227573102    41287    1866100 SH       SOLE            454800          0    1411300
CROSS TIMBERS OIL CO.          CVPFSTKF   227573201    12578     546890 SH       SOLE             59500          0     487390
CROSSROADS SYSTEMS INC         COMM STK   22765D100     1526      60284 SH       SOLE             59264          0       1020
CROWN CASTLE INTL CORP         COMM STK   228227104   107891    2958450 SH       SOLE            628900          0    2329550
CROWN CORK & SEAL COMPANY, INC COMM STK   228255105     7696     513076 SH       SOLE             59847          0     453229
CUBIST PHARMACEUTICALS I       COMM STK   229678107    28770     583800 SH       SOLE             47100          0     536700
CULP INC.                      COMM STK   230215105     6044    1179300 SH       SOLE            230400          0     948900
CUMMINS ENGINE                 COMM STK   231021106      705      25864 SH       SOLE              9295          0      16569
CYBERSOURCE CORP               COMM STK   23251J106    14863    1073600 SH       SOLE            189900          0     883700
CYBEX COMPUTER PRODUCTS        COMM STK   232522102     1783      42300 SH       SOLE             32175          0      10125
CYMER INC.                     COMM STK   232572107     2324      48800 SH       SOLE             36600          0      12200
CYPRESS COMMNICATIONS INC      COMM STK   232743104     5445     757600 SH       SOLE            194200          0     563400
CYPRESS SEMICONDUCTOR          COMM STK   232806109      342       8100 SH       SOLE              4300          0       3800
CYTEC INDUSTRIES INC           COMM STK   232820100      278      11271 SH       SOLE              9300          0       1971
CYTYC CORP                     COMM STK   232946103     3809      71400 SH       SOLE             63700          0       7700
DDI CORP /CA                   COMM STK   233162106    32582    1144500 SH       SOLE            279800          0     864700
DPL, INC.                      COMM STK   233293109      408      18600 SH       SOLE             13300          0       5300
DQE, INC.                      COMM STK   23329J104      308       7800 SH       SOLE              4400          0       3400
D R HORTON INC                 COMM STK   23331A109      142      10500 SH       SOLE              6800          0       3700
DST SYSTEMS INC                COMM STK   233326107     2948      38720 SH       SOLE             32550          0       6170
DAISYTEK INTERNATIONAL C       COMM STK   234053106     6639     701100 SH       SOLE               400          0     700700
DALLAS SEMICONDUCTOR CORP      COMM STK   235204104     6259     153600 SH       SOLE            135100          0      18500
DAN RIVER INC                  COMM STK   235774106     9982    2101400 SH       SOLE            570700          0    1530700
DANA CORP.                     COMM STK   235811106    35500    1675514 SH       SOLE            311265          0    1364249
DANAHER CORP                   COMM STK   235851102   166350    3364864 SH       SOLE            900900          0    2463964
DARDEN RESTAURANTS, INC.       COMM STK   237194105     1524      93767 SH       SOLE             37564          0      56203
DATA CRITICAL CORP             COMM STK   237622105      141      10800 SH       SOLE             10600          0        200
DATASCOPE CORP                 COMM STK   238113104     2059      57200 SH       SOLE             42400          0      14800
DEAN FOODS CO                  COMM STK   242361103      247       7800 SH       SOLE              6300          0       1500
DEERE & COMPANY                COMM STK   244199105    11579     312944 SH       SOLE             74004          0     238940
DELL COMPUTER CORP             COMM STK   247025109   844837   17121459 SH       SOLE           3150172          0   13971287
DELPHI AUTO SYSTEMS CORP.      COMM STK   247126105     6083     417744 SH       SOLE            142617          0     275127
DELTA & PINE LAND COMPAN       COMM STK   247357106    14158     564900 SH       SOLE             64100          0     500800
DELTA AIR LINES INC.           COMM STK   247361108    29942     592179 SH       SOLE             39440          0     552739
DELTIC TIMBER CORP             COMM STK   247850100     2604     121827 SH       SOLE            103827          0      18000
DELTA FINANCIAL CORP.          COMM STK   247918105     1641    1010000 SH       SOLE            133900          0     876100
DELUXE CORP                    COMM STK   248019101     1098      46603 SH       SOLE             17841          0      28762
DENDRITE INTERNATIONAL         COMM STK   248239105     1172      35150 SH       SOLE             25000          0      10150
DENTSPLY INTERNATIONAL INC     COMM STK   249030107     1040      33800 SH       SOLE             26900          0       6900
DEVON ENERGY CORP              COMM STK   25179M103   160449    2855602 SH       SOLE            601738          0    2253864
DEVRY INC                      COMM STK   251893103    14022     530400 SH       SOLE            197900          0     332500
DIAGEO PLC                     ADR        25243Q205     2421      68068 SH       SOLE             21058          0      47010
DIAL CORP NEW                  COMM STK   25247D101      148      14300 SH       SOLE             10500          0       3800
DIAMETRICS MED INC    CO       COMM STK   252532106       79      14000 SH       SOLE             14000          0          0
DIAMOND OFFSHORE DRILLNG       COMM STK   25271C102    58747    1672500 SH       SOLE            357300          0    1315200
DIAMOND TECHNOLOGY             COMM STK   252762109     4060      46150 SH       SOLE             35000          0      11150
DIEBOLD INC                    COMM STK   253651103     8616     309112 SH       SOLE            306612          0       2500
DIGEX INC                      COMM STK   253756100    56063     824830 SH       SOLE            138300          0     686530
DIGITAL IMPACT INC             COMM STK   25385G106     5754     411000 SH       SOLE            176300          0     234700
DIGITAL ISLAND INC             COMM STK   25385N101     1373      28250 SH       SOLE             25800          0       2450
DIGITAL RIV INC                COMM STK   25388B104      144      18800 SH       SOLE             14900          0       3900
DIGITAL GENERATION SYSTE       COMM STK   253921100     1224     181400 SH       SOLE            181400          0          0
DILLARD'S INC.                 COMM STK   254067101     7016     572769 SH       SOLE             32826          0     539943
DIME BANCORP, INC.             COMM STK   25429Q102      284      18020 SH       SOLE             13820          0       4200
DIONEX CORP                    COMM STK   254546104     3100     114300 SH       SOLE            100450          0      13850
DISCOUNT AUTO PTS INC          COMM STK   254642101     7996     799630 SH       SOLE               200          0     799430
DISNEY (WALT) COMPANY          COMM STK   254687106   278736    7181592 SH       SOLE           2299254          0    4882338
DITECH COMMUNICATIONS CORP     COMM STK   25500M103    17320     182800 SH       SOLE             46700          0     136100
DOLLAR GEN CORP                COMM STK   256669102    10747     551152 SH       SOLE            402460          0     148692
DOLLAR TREE STORES INC.        COMM STK   256747106     4003     101250 SH       SOLE             82438          0      18812
DOMINION RESOURCES INC VA      COMM STK   25746U109     7796     181836 SH       SOLE             90983          0      90853
DOMTAR INC                     COMM STK   257561100     1364      80700 SH       SOLE             22200          0      58500
DONALDSON CO INC               COMM STK   257651109     3180     161022 SH       SOLE             88950          0      72072
DONALDSON LUFKIN & JENRETTE IN COMM STK   257661108      267       6300 SH       SOLE              1700          0       4600
DONCASTERS PLC                 ADR        257692103     2770     254700 SH       SOLE             45100          0     209600
DONNELLEY (R.R.) & SONS COMPAN COMM STK   257867101   111989    4963506 SH       SOLE            740921          0    4222585
DOUBLECLICK INC                COMM STK   258609304   254515    6675792 SH       SOLE              7270          0    6668522
DOVER CORPORATION              COMM STK   260003108    16397     404241 SH       SOLE            322548          0      81693
DOVER DOWNS ENTERTAINMNT       COMM STK   260086103     2110     150700 SH       SOLE                 0          0     150700
DOW CHEMICAL COMPANY           COMM STK   260543103    94874    3142808 SH       SOLE            866457          0    2276351
DOW JONES & CO. INC.           COMM STK   260561105    79173    1080860 SH       SOLE            249332          0     831528
DOWNEY FINANCIAL CORP          COMM STK   261018105    37590    1296200 SH       SOLE            242300          0    1053900
DSL. NET INC                   COMM STK   262506108      427      41268 SH       SOLE             39068          0       2200
DU PONT (EI) DE NEMOURS & CO.  COMM STK   263534109   195418    4466687 SH       SOLE           1203228          0    3263459
DUANE READE INC                COMM STK   263578106    49036    1904300 SH       SOLE            315700          0    1588600
DUFF & PHELPS UTILS            COMM STK   264324104      164      17000 SH       SOLE                 0          0      17000
DUKE ENERGY CORPORATION        COMM STK   264399106   161518    2865066 SH       SOLE            691585          0    2173481
DUKE RLTY INVTS INC NEW        COMM STK   264411505    20929     935375 SH       SOLE             69744          0     865631
DUN & BRADSTREET CORP WI       COMM STK   26483B106   102684    3587229 SH       SOLE            824385          0    2762844
DYCOM INDUSTRIES INC           COMM STK   267475101     4920     106950 SH       SOLE             89625          0      17325
DYNEGY INC.                    COMM STK   26816Q101     5045      73847 SH       SOLE             37949          0      35898
EEX CORP                       COMM STK   26842V207     1808     311080 SH       SOLE               400          0     310680
E4L INC                        COMM STK   268452109      813    1000000 SH       SOLE                 0          0    1000000
EAGLE USA AIR FREIGHT          COMM STK   268484102    60508    1971750 SH       SOLE            264950          0    1706800
E-LOAN INC                     COMM STK   26861P107      243      50900 SH       SOLE             15000          0      35900
EMC CORP-MASS                  COMM STK   268648102   538053    6993374 SH       SOLE           1329108          0    5664266
ENSCO INTERNATIONAL INC        COMM STK   26874Q100      677      18900 SH       SOLE             13600          0       5300
ENI SPA                        ADR        26874R108     3229      55500 SH       SOLE             12000          0      43500
ENRON OIL & GAS CO.            COMM STK   26875P101    10274     306700 SH       SOLE              1400          0     305300
EPIX MEDICAL INC               COMM STK   26881Q101     8213     551000 SH       SOLE              1000          0     550000
E PIPHANY INC                  COMM STK   26881V100      821       7660 SH       SOLE              6600          0       1060
E-TEK DYNAMICS INC             COMM STK   269240107   198720     753440 SH       SOLE             93200          0     660240
E TRADE GROUP INC              COMM STK   269246104    78505    4766930 SH       SOLE            661400          0    4105530
EASTERN ENTERPRISES            COMM STK   27637F100     1029      16336 SH       SOLE              6060          0      10276
EASTMAN CHEMICAL CO.           COMM STK   277432100     2253      47186 SH       SOLE             18081          0      29105
EASTMAN KODAK COMPANY          COMM STK   277461109   248930    4183705 SH       SOLE            849224          0    3334481
EATON CORP.                    COMM STK   278058102    98084    1463944 SH       SOLE            248817          0    1215127
EATON VANCE CORP               COMM STK   278265103    10365     224100 SH       SOLE            215500          0       8600
EBAY INC                       COMM STK   278642103     5358      98700 SH       SOLE              3300          0      95400
EBENX INC                      COMM STK   278668108      287      13581 SH       SOLE             12581          0       1000
EBIX COM INC                   COMM STK   278715107     3849     751000 SH       SOLE             43000          0     708000
ECHOSTAR                       COMM STK   278762109      367      11100 SH       SOLE              2900          0       8200
ECLIPSYS CORP                  COMM STK   278856109      799     107005 SH       SOLE            105405          0       1600
ECO SOIL SYSTEMS INC           COMM STK   278858105      498     270000 SH       SOLE                 0          0     270000
ECOLAB INC                     COMM STK   278865100     7580     194045 SH       SOLE            137838          0      56207
EDISON INTERNATIONAL           COMM STK   281020107     8413     410371 SH       SOLE            155579          0     254792
EDO CORP                       COMM STK   281347104     1272     201500 SH       SOLE                 0          0     201500
EDUCATION MANAGEMENT CORP      COMM STK   28139T101     1057      57600 SH       SOLE             54000          0       3600
EDWARDS A G INC                COMM STK   281760108     6624     169845 SH       SOLE            146033          0      23812
EDWARDS LIFESCIENCES CP  WI    COMM STK   28176E108      358      18721 SH       SOLE              3440          0      15281
EFFICIENT NETWORKS INC         COMM STK   282056100    48817     663325 SH       SOLE            450571          0     212754
EL PASO ENERGY CORP            COMM STK   283905107    22871     449008 SH       SOLE             63150          0     385858
ELN CORP PLC ADR               ADR        284131208     2482      56500 SH       SOLE             46700          0       9800
ELCOR CORP                     COMM STK   284443108      330      14350 SH       SOLE             10250          0       4100
ELECTRO-RENT CORP              COMM STK   285218103    39921    3361800 SH       SOLE            598200          0    2763600
ELECTRONIC ARTS INC            COMM STK   285512109   586377    8036000 SH       SOLE            963000          0    7073000
ELECTRONIC DATA SYSTEMS CORP.  COMM STK   285661104    15307     371082 SH       SOLE            150300          0     220782
ELECTRONICS FOR IMAGING        COMM STK   286082102   127884    5064700 SH       SOLE            395900          0    4668800
ELOQUENT INC                   COMM STK   290140102     4412     491100 SH       SOLE            145500          0     345600
ELOYALTY CORP                  COMM STK   290151109    24081    1898000 SH       SOLE            349700          0    1548300
EMERGE INTERACTIVE INC         COMM STK   29088W103     7233     401850 SH       SOLE               400          0     401450
EMERSON ELECTRIC CO.           COMM STK   291011104    35052     580566 SH       SOLE            343347          0     237219
EMISPERE TECHNOLOGIES          COMM STK   291345106     3488      81900 SH       SOLE             10200          0      71700
EMMIS COMMUNICATIONS CORP      COMM STK   291525103    55969    1351700 SH       SOLE            252700          0    1099000
EMPRESA NACIAONAL ELEC CHILE S ADR        29244T101      645      58331 SH       SOLE             16888          0      41443
EMULEX CORP                    COMM STK   292475209     1392      21200 SH       SOLE             15200          0       6000
ENCOMPASS SERVICES CORP        COMM STK   29255U104     5102     887331 SH       SOLE               645          0     886686
ENDESA SA SPONSORED ADR        ADR        29258N107     1054      54050 SH       SOLE              1350          0      52700
ENERGY EAST CORP               COMM STK   29266M109      448      23520 SH       SOLE             18820          0       4700
ENERGIZER HOLDINGS INC         COMM STK   29266R108     1372      75166 SH       SOLE              4598          0      70568
ENERSIS S A           SP       ADR        29274F104      239      12002 SH       SOLE              4400          0       7602
ENDOCARDIAL SOLUTIONS IN       COMM STK   292962107      935     110000 SH       SOLE            110000          0          0
ENRON CORP.                    COMM STK   293561106    39168     607258 SH       SOLE            230356          0     376902
ENTERCOM COMMUNICATIONS CORP   COMM STK   293639100    11481     235500 SH       SOLE             72300          0     163200
ENTERGY CORPORATION            COMM STK   29364G103    63511    2336052 SH       SOLE            548091          0    1787961
ENTRUST TECHNOLOGIES           COMM STK   293848107     4711      56800 SH       SOLE             54500          0       2300
ENZON INC                      COMM STK   293904108     1795      42270 SH       SOLE             30300          0      11970
ENZO BIOCHEM INC               COMM STK   294100102     1608      23300 SH       SOLE             17900          0       5400
EQUIFAX INC                    COMM STK   294429105    12816     488247 SH       SOLE            246362          0     241885
EQUITY OFFICE PROPERTIES TRUST COMM STK   294741103    35913    1302980 SH       SOLE            606996          0     695984
EQUITY RESIDENTIAL PPTYS       COMM STK   29476L107     1816      39480 SH       SOLE             10400          0      29080
EQUITY RESIDENTIAL PPTYS       CVPFSTKF   29476L859     8570     380900 SH       SOLE              8500          0     372400
ERICSSON (TELEFONAKTIEBOLAGET  ADR        294821400   387846   19362040 SH       SOLE           2454600          0   16907440
ERIE INDEMNITY                 COMM STK   29530P102     1196      38000 SH       SOLE             34800          0       3200
ESPEED INC                     COMM STK   296643109    26781     616100 SH       SOLE             43800          0     572300
ETHAN ALLEN INTERIOR INC       COMM STK   297602104      546      22750 SH       SOLE             17050          0       5700
EXAR CORP                      COMM STK   300645108    20607     236100 SH       SOLE             68450          0     167650
EXCALIBUR TECHNOLOGIES C       COMM STK   300651205    29895     750300 SH       SOLE                 0          0     750300
EXCHANGE APPLICATIONS COM      COMM STK   300867108      664      25000 SH       SOLE             18300          0       6700
EXELIXIS INC                   COMM STK   30161Q104     6375     192100 SH       SOLE               500          0     191600
EXTENDED SYSTEMS INC           COMM STK   301973103      615       6400 SH       SOLE              4000          0       2400
EXODUS COMMUNICATIONS INC.     COMM STK   302088109   279070    6054400 SH       SOLE            666000          0    5388400
EXPEDITORS INC WASH INC        COMM STK   302130109    51579    1090900 SH       SOLE            305600          0     785300
EXPRESS SCRIPTS CL A COM       COMM STK   302182100     3027      49050 SH       SOLE             42200          0       6850
EXTENDED STAY AMERICA          COMM STK   30224P101    22664    2450200 SH       SOLE            347400          0    2102800
EXTREME NETWORKS INC           COMM STK   30226D106      273       2600 SH       SOLE               700          0       1900
EXXON MOBIL CORPORATION        COMM STK   30231G102   888972   11324488 SH       SOLE           3056670          0    8267818
FLIR SYSTEMS INC               COMM STK   302445101     4188     650600 SH       SOLE            275600          0     375000
FMC CORP.                      COMM STK   302491303    11456     197524 SH       SOLE             36670          0     160854
FPL GROUP INC.                 COMM STK   302571104    11911     240620 SH       SOLE            148584          0      92036
F Y I INC                      COMM STK   302712104    59173    1759800 SH       SOLE            364600          0    1395200
FACTSET RESEARCH SYSTEMS       COMM STK   303075105     3661     129600 SH       SOLE            105100          0      24500
FAIR ISSAC & COMPANY INC       COMM STK   303250104     1038      23600 SH       SOLE             17700          0       5900
FAMILY DOLLAR STORES INC       COMM STK   307000109   172023    8793530 SH       SOLE           1153700          0    7639830
FASTENAL CO                    COMM STK   311900104      253       5000 SH       SOLE              3500          0       1500
FEDERAL HOME LOAN MORTGAGE COR COMM STK   313400301   466358   11515006 SH       SOLE           2899691          0    8615315
FEDERAL-MOGUL CO.              COMM STK   313549107      133      13900 SH       SOLE             10800          0       3100
FEDERAL NATIONAL MORTGAGE ASSO COMM STK   313586109   490398    9396854 SH       SOLE           2551080          0    6845774
FED REALTY INV TRUST           COMM STK   313747206    32248    1612400 SH       SOLE              2600          0    1609800
FEDERATED DEPARTMENT STORES IN COMM STK   31410H101     5883     174315 SH       SOLE             53194          0     121121
FEDERATED INVESTORS            COMM STK   314211103   128592    3667500 SH       SOLE            848500          0    2819000
FDX CORPORATION                COMM STK   31428X106     8259     217340 SH       SOLE             96554          0     120786
INTERNET SOFTWARE              COMM STK   315616102      721      13200 SH       SOLE             10500          0       2700
FIFTH THIRD BANCORP            COMM STK   316773100    13866     219122 SH       SOLE            103698          0     115424
FINANCIAL FED CORP             COMM STK   317492106    25222    1451600 SH       SOLE            119800          0    1331800
FINISAR CORPORATION            COMM STK   31787A101      212       8100 SH       SOLE              2100          0       6000
FIREPOND INC                   COMM STK   318224102    23907     663500 SH       SOLE             20400          0     643100
FIRST BELL BANCORP INC         COMM STK   319301107     2198     145300 SH       SOLE             36300          0     109000
FIRST DATA CORPORATION         COMM STK   319963104   236334    4762405 SH       SOLE           1259617          0    3502788
FIRST FINANCIAL FUND INC       INVCOSTK   320228109     8435    1030210 SH       SOLE            404000          0     626210
FIRST INTERNATIONAL BANCORP    COMM STK   32054Q100     2838     350000 SH       SOLE                 0          0     350000
FIRST MARINER BANK             COMM STK   320795107      314      55200 SH       SOLE              4000          0      51200
FIRST REP BK SAN FRANCISCO     COMM STK   336158100    16971     851200 SH       SOLE            210200          0     641000
FIRST SECURITY CORPORATION     COMM STK   336294103     5195     382138 SH       SOLE             94849          0     287289
FIRST TENNESSEE NATIONAL CORP. COMM STK   337162101     3813     230200 SH       SOLE            166700          0      63500
FIRST UNION CORPORATION        COMM STK   337358105    21802     878656 SH       SOLE            407754          0     470902
FIRST VIRGINIA BANKS INC       COMM STK   337477103      601      17250 SH       SOLE             14950          0       2300
FIRST WASH RLTY TR INCCO       COMM STK   337489504    18989     860700 SH       SOLE            109800          0     750900
FIRSTAR CORPORATION            COMM STK   33763V109   259179   12305227 SH       SOLE           2755832          0    9549395
FISERV INC                     COMM STK   337738108    22806     527314 SH       SOLE            133225          0     394089
FIRSTMERIT CORP                COMM STK   337915102      699      32632 SH       SOLE             29032          0       3600
FIRSTENERGY CORP.              COMM STK   337932107   153438    6564188 SH       SOLE           1438420          0    5125768
FLAMEL TECHNOLOGIES            ADR        338488109      326      62188 SH       SOLE             62188          0          0
FLEETBOSTON FINANCIAL CORPORAT COMM STK   339030108   223547    6574917 SH       SOLE           1638663          0    4936254
FLORIDA PROGRESS CORP.         COMM STK   341109106     3441      73400 SH       SOLE             36700          0      36700
FLORIDA ROCK INDS              COMM STK   341140101     3274      91900 SH       SOLE             77500          0      14400
FLOWERS INDUSTRIES, INC.       COMM STK   343496105      247      12400 SH       SOLE              8000          0       4400
FLUOR CORP                     COMM STK   343861100     1560      49316 SH       SOLE             21190          0      28126
FORCENERGY                     COMM STK   345206205     1278      63500 SH       SOLE             63500          0          0
FORD MOTOR COMPANY             COMM STK   345370100    45458    1057156 SH       SOLE            378389          0     678767
FOREST LABS INC                COMM STK   345838106     1778      17600 SH       SOLE             12900          0       4700
FOREST OIL CORP.               COMM STK   346091606    24877    1560900 SH       SOLE            542400          0    1018500
FORRESTER RESEARCH INC         COMM STK   346563109     7358     101100 SH       SOLE               500          0     100600
FORTUNE BRANDS, INC.           COMM STK   349631101    85495    3707105 SH       SOLE            700689          0    3006416
FORWARD AIR CORP               COMM STK   349853101     2496      62700 SH       SOLE             45700          0      17000
FOSSIL INCORPORATED            COMM STK   349882100     1505      79475 SH       SOLE             60175          0      19300
FOUNDATION HEALTH SYSTEMS - A  COMM STK   350404109      166      12800 SH       SOLE             10100          0       2700
FOUNDRY NETWORKS INC           COMM STK   35063R100    21148     191714 SH       SOLE            187664          0       4050
FOX ENTERTAINMENT GROUP        COMM STK   35138T107      292       9600 SH       SOLE              3400          0       6200
FRANCE TELECOM                 ADR        35177Q105    10103      70900 SH       SOLE              8300          0      62600
FRANKFORT FIRST BANCORP        COMM STK   352128201     1340     108800 SH       SOLE             26800          0      82000
FRANKLIN ELECTRIC CO INC       COMM STK   353514102    12076     178900 SH       SOLE             66600          0     112300
FRANKLIN RESOURCES INC         COMM STK   354613101    10141     333846 SH       SOLE            228102          0     105744
FREDS INC CLASS A              COMM STK   356108100     7357     405200 SH       SOLE            224800          0     180400
FREEPORT-MCMORAN COPPER AND GO COMM STK   35671D857      926     100067 SH       SOLE             40290          0      59777
FRESH CHOICE INC               COMM STK   358032100     1666     549500 SH       SOLE                 0          0     549500
FROZEN FOOD EXPRESS INDS       COMM STK   359360104      907     307300 SH       SOLE              2000          0     305300
FUEL-TECH N V                  COMM STK   359523107      141      61800 SH       SOLE                 0          0      61800
FURNITURE BRANDS INTL          COMM STK   360921100      377      24900 SH       SOLE             17600          0       7300
G&K SERVICES INC               COMM STK   361268105    10116     404150 SH       SOLE             97600          0     306550
GATX CORPORATION               COMM STK   361448103      231       6800 SH       SOLE              4900          0       1900
GPU, INC.                      COMM STK   36225X100     8461     312649 SH       SOLE             72782          0     239867
GTE CORPORATION                COMM STK   362320103   291151    4677131 SH       SOLE           1113245          0    3563886
GABLES RESIDENTIAL TRUST       COMM STK   362418105      785      30400 SH       SOLE               300          0      30100
GADZOOX NETWORKS               COMM STK   362555104     1985     144707 SH       SOLE            143407          0       1300
GALILEO INTERNATIONAL INC      COMM STK   363547100    96076    4602450 SH       SOLE            639550          0    3962900
GALLAGHER ARTHUR J & CO        COMM STK   363576109     7799     185700 SH       SOLE            184100          0       1600
GANNETT CO., INC.              COMM STK   364730101    14919     249436 SH       SOLE            108369          0     141067
GAP, INC. (THE)                COMM STK   364760108    23154     740943 SH       SOLE            236929          0     504014
GARDEN FRESH RESTAURANT        COMM STK   365235100     4888     465500 SH       SOLE             53000          0     412500
GATEWAY 2000 INC               COMM STK   367626108    13137     231492 SH       SOLE            108400          0     123092
GAYLORD CONTAINER CORP.        COMM STK   368145108       28      10300 SH       SOLE              8000          0       2300
GENE LOGIC INCORPORATED        COMM STK   368689105     8964     250960 SH       SOLE                 0          0     250960
GENENTECH INC COM SPL          COMM STK   368710406   259631    1509480 SH       SOLE            398800          0    1110680
GENERAL AMERICAN INVS          INVCOSTK   368802104      553      14107 SH       SOLE                 0          0      14107
GENERAL DYNAMICS CORPORATION   COMM STK   369550108     7132     136495 SH       SOLE             59816          0      76679
GENERAL ELECTRIC COMPANY       COMM STK   369604103  1089392   21204720 SH       SOLE           8717563          0   12487157
GENERAL MILLS INC.             COMM STK   370334104   318447    8325414 SH       SOLE           1692996          0    6632418
GENERAL MOTORS CORP.           COMM STK   370442105    29808     513377 SH       SOLE            219988          0     293389
GENERAL MOTORS CORP.           COMM STK   370442832     1373      15643 SH       SOLE              5634          0      10009
GENTEX CORP                    COMM STK   371901109     3105     123900 SH       SOLE             69300          0      54600
GENUINE PARTS CO               COMM STK   372460105    88354    4417706 SH       SOLE           1097919          0    3319787
GENZYME CORP GENERAL           COMM STK   372917104      673      11300 SH       SOLE              8000          0       3300
GEORGIA-PACIFIC CORP.          COMM STK   373298108     4143     157816 SH       SOLE             55924          0     101892
GEORGIA-PACIFIC CORP.          COMM STK   373298702    11057     511294 SH       SOLE              7144          0     504150
GETTHERE COM INC               COMM STK   374266104      687      64828 SH       SOLE             42852          0      21976
GETTY IMAGES INC               COMM STK   374276103     1588      42800 SH       SOLE             31600          0      11200
GIBRALTAR STEEL CORP           COMM STK   37476F103    12820     897700 SH       SOLE            190900          0     706800
GIGA-TRONICS INC               COMM STK   375175106      238      25000 SH       SOLE             22000          0       3000
GILEAD SCIENCES INC            COMM STK   375558103   189369    2661314 SH       SOLE            592789          0    2068525
GILLETTE COMPANY               COMM STK   375766102   150010    4293655 SH       SOLE           1201400          0    3092255
GLACIER BANCORP                COMM STK   37637Q105    13527    1033060 SH       SOLE            180886          0     852174
GLAXO WELLCOME PLC             ADR        37733W105     7028     121573 SH       SOLE             49273          0      72300
GLENBOROUGH REALTY TRUST INC   COMM STK   37803P105    28775    1650200 SH       SOLE            488800          0    1161400
GLOBAL INDUSTRIES              COMM STK   379336100      200      10600 SH       SOLE              8600          0       2000
GLOBAL IMAGING SYSTEMS, INC.   COMM STK   37934A100    13393    1279300 SH       SOLE            126900          0    1152400
GLOBAL MARINE INC              COMM STK   379352404      578      20500 SH       SOLE             14400          0       6100
GLOBAL TELESYSTEMS INC.        COMM STK   37936U104      121      10000 SH       SOLE              2300          0       7700
GLOBESPAN INC                  COMM STK   379571102    11362      93250 SH       SOLE             65900          0      27350
GOLD BANC CP                   COMM STK   379907108      688     134980 SH       SOLE            133580          0       1400
GOLDEN WEST FINANCIAL CORPORAT COMM STK   381317106     4310     105605 SH       SOLE             45151          0      60454
GOLDMAN SACHS GROUP, INC.      COMM STK   38141G104    25208     265700 SH       SOLE             29200          0     236500
GOODRICH (B.F.) COMPANY        COMM STK   382388106     3324      97590 SH       SOLE             29182          0      68408
GOODYEAR TIRE & RUBBER CO.     COMM STK   382550101     2111     105561 SH       SOLE             44923          0      60638
GOODYS FAMILY CLOTHING         COMM STK   382588101     3854     710800 SH       SOLE            341700          0     369100
GO2NET INC            CO       COMM STK   383486107     1217      24200 SH       SOLE             17700          0       6500
GOTO COM INC                   COMM STK   38348T107    10710     698000 SH       SOLE             12500          0     685500
GRACE W R & CO DEL             COMM STK   38388F108    16601    1369169 SH       SOLE             30035          0    1339134
GRAINGER (W.W.), INC.          COMM STK   384802104     4445     144246 SH       SOLE            107740          0      36506
GRANT PRIDECO INC              COMM STK   38821G101     5360     214380 SH       SOLE             49640          0     164740
GREAT ATLANTIC & PACIFIC TEA C COMM STK   390064103      449      27015 SH       SOLE             12185          0      14830
GREAT LAKES CHEMICAL CORP.     COMM STK   390568103   172055    5462072 SH       SOLE           1219260          0    4242812
GREAT PLAINS SOFTWARE          COMM STK   39119E105    16680     851300 SH       SOLE             95700          0     755600
GREENPOINT FINANCIAL CORP.     COMM STK   395384100      306      16324 SH       SOLE             11224          0       5100
GROUP 1 AUTOMOTIVE INC         COMM STK   398905109      972      81000 SH       SOLE             64700          0      16300
GRUPO TELEVISA SA DE C V       ADR        40049J206      241       3500 SH       SOLE              3500          0          0
GUARANTY FINL CORP             COMM STK   401086103      730      95000 SH       SOLE                 0          0      95000
GUCCI GRP N V COM NY REG       ADR        401566104      308       3250 SH       SOLE              3250          0          0
GUIDANT CORP                   COMM STK   401698105    28236     570425 SH       SOLE            273228          0     297197
GUILFORD PHARMACEUTICALS INC   COMM STK   401829106      171      11400 SH       SOLE             11000          0        400
GYMBOREE CORPORATION           COMM STK   403777105       33      10900 SH       SOLE               500          0      10400
COLUMBIA/HCA HEALTHCARE CORP.  COMM STK   404119109    12125     399181 SH       SOLE            187743          0     211438
HNC SOFTWARE                   COMM STK   40425P107      204       3300 SH       SOLE              2400          0        900
HRPT PROPERTIES TRUST          COMM STK   40426W101       79      12900 SH       SOLE              8800          0       4100
HS RESOURCES, INC.             COMM STK   404297103    27627     920900 SH       SOLE             36400          0     884500
HAGLER BAILLY INC              COMM STK   405183104     6670    1350800 SH       SOLE                 0          0    1350800
HAIN FOOD GROUP INC            COMM STK   405217100     1968      53600 SH       SOLE             39700          0      13900
HALLIBURTON COMPANY            COMM STK   406216101    42153     893305 SH       SOLE            202914          0     690391
HANCOCK FABRICS INC            COMM STK   409900107     7838    1844200 SH       SOLE            287600          0    1556600
JOHN HANCOCK FINANCIAL SERVICE COMM STK   41014S106      381      16100 SH       SOLE              4500          0      11600
HANNA (M.A.) CO                COMM STK   410522106      121      13400 SH       SOLE             12500          0        900
HANSON PLC                     ADR        411352404      278       7875 SH       SOLE                 0          0       7875
HARLEY DAVIDSON                COMM STK   412822108    13571     352500 SH       SOLE            216600          0     135900
HARLEYSVILLE GRO               COMM STK   412824104     4893     294300 SH       SOLE             58600          0     235700
HARMAN INTL INDS               COMM STK   413086109    23552     386100 SH       SOLE             71500          0     314600
HARMONIC LIGHTWAVES INC        COMM STK   413160102    37878    1524632 SH       SOLE            218473          0    1306159
HARMONY GOLD MNG LTD  SP       ADR        413216300      417      75000 SH       SOLE             75000          0          0
HARRAHS ENTERTAINMENT          COMM STK   413619107     1759      83998 SH       SOLE             33794          0      50204
HARSCO CORP                    COMM STK   415864107    18322     718500 SH       SOLE            150700          0     567800
HARTE HANKS COMMUN INC         COMM STK   416196103     2593     103700 SH       SOLE             86200          0      17500
HARTFORD FINANCIAL SERVICES GR COMM STK   416515104   115129    2058164 SH       SOLE            299870          0    1758294
HASBRO INCORPORATED            COMM STK   418056107    77194    5124894 SH       SOLE            996628          0    4128266
HAUSER INC COM NEW             COMM STK   419141403      481     285325 SH       SOLE             32625          0     252700
HAVERTY FURN COS INC           COMM STK   419596101     5244     616900 SH       SOLE             52200          0     564700
HAWAIIAN ELECTRIC INDUSTRIES,  COMM STK   419870100      400      12200 SH       SOLE             11400          0        800
HEALTHSOUTH REHAB              COMM STK   421924101     1714     238452 SH       SOLE             94735          0     143717
HEALTHSOUTH REHAB              CONV BND   421924AF8    15264   19050000 PRN      SOLE           9050000          0   10000000
HEALTH MANAGEMENT ASSOC        COMM STK   421933102     1456     111452 SH       SOLE             19900          0      91552
HEALTHEON CORPORATION          COMM STK   422209106     2881     194881 SH       SOLE            188081          0       6800
HEARTLAND EXPRESS INC          COMM STK   422347104     1984     120227 SH       SOLE             29600          0      90627
HEIDRICK & STRUGGLES INTL COM  COMM STK   422819102    33875     536900 SH       SOLE             26800          0     510100
HEINZ (HJ) COMPANY             COMM STK   423074103   211255    4828687 SH       SOLE           1131192          0    3697495
HELLER FINANCIAL, INC.         COMM STK   423328103    74522    3635234 SH       SOLE            760773          0    2874461
HELMERICH & PAYNE INC          COMM STK   423452101    31103     832200 SH       SOLE             90500          0     741700
HENRY (JACK) & ASSOCIATE       COMM STK   426281101     5159     102800 SH       SOLE             38600          0      64200
HERCULES INC.                  COMM STK   427056106    91892    6534577 SH       SOLE           1400271          0    5134306
HERSHEY FOODS CORPORATION      COMM STK   427866108   191126    3940735 SH       SOLE            952413          0    2988322
HERTZ CORPORATION              COMM STK   428040109    52656    1876400 SH       SOLE            406400          0    1470000
HEWLETT-PACKARD COMPANY        COMM STK   428236103   342208    2740408 SH       SOLE           1016412          0    1723996
HI/FN INC                      COMM STK   428358105    46995    1058300 SH       SOLE            150900          0     907400
HIBERNIA CORP CLASS A          COMM STK   428656102      276      25400 SH       SOLE             19000          0       6400
HIGHWOODS PROPERTIES INC       COMM STK   431284108      214       8900 SH       SOLE              6000          0       2900
HILB ROGAL & HAMILTON          COMM STK   431294107     2851      82200 SH       SOLE             51400          0      30800
HILLENBRAND INDUSTRIES INC.    COMM STK   431573104    13242     422900 SH       SOLE             19300          0     403600
HILTON HOTELS CORPORATION      COMM STK   432848109    92507    9867398 SH       SOLE           2534011          0    7333387
HILTON HOTELS CORPORATION      CONV BND   432848AL3    39516   49395000 PRN      SOLE          23395000          0   26000000
HITACHI LTD-ADR                ADR        433578507     5924      41100 SH       SOLE             10900          0      30200
HEFTEL BROADCASTING   CL       COMM STK   43357B104     3094      93400 SH       SOLE             81200          0      12200
HOLLYWOOD CASINO CORP.         COMM STK   436132203      578      82500 SH       SOLE                 0          0      82500
HOME DEPOT INC.                COMM STK   437076102   355358    7116065 SH       SOLE           2207010          0    4909055
ADTL HOME PRODUCTS INTL        COMM STK   437305105     1278     332400 SH       SOLE               500          0     331900
HOMEGROCER COM INC             COMM STK   43740K100    11282    1865800 SH       SOLE            402800          0    1463000
HOMESTAKE MINING COMPANY       COMM STK   437614100    19124    2781610 SH       SOLE            722064          0    2059546
HOMESTORE COM INC              COMM STK   437852106    46206    1576324 SH       SOLE            355674          0    1220650
HON INDUSTRIES                 COMM STK   438092108     6110     260000 SH       SOLE            256500          0       3500
HONDA MOTOR COMPANY LTD.       ADR        438128308     3389      49300 SH       SOLE              8100          0      41200
HONEYWELL INTERNATIONAL INC.   COMM STK   438516106    40845    1212468 SH       SOLE            414751          0     797717
HOOPER HOLMES INC              COMM STK   439104100      713      89100 SH       SOLE             64000          0      25100
HORACE MANN EDUCATORS          COMM STK   440327104      359      23900 SH       SOLE               800          0      23100
HORMEL FOODS CORPORATION       COMM STK   440452100      251      14900 SH       SOLE              9400          0       5500
HOST MARRIOTT CORP             COMM STK   44107P104      858      91474 SH       SOLE              3100          0      88374
HOUGHTON MIFFLIN COMPANY       COMM STK   441560109     7657     164000 SH       SOLE             40500          0     123500
HOUSEHOLD INTERNATIONAL, INC.  COMM STK   441815107    53199    1279964 SH       SOLE            128209          0    1151755
HUB GROUP INC         CL       COMM STK   443320106     7425     496000 SH       SOLE            177900          0     318100
HUBBELL INC CLASS B            COMM STK   443510102      538      20800 SH       SOLE              3800          0      17000
HUBBELL INC CLASS B            COMM STK   443510201   105067    4120274 SH       SOLE            938522          0    3181752
HUMANA INC                     COMM STK   444859102      513     105231 SH       SOLE             45016          0      60215
HUMAN GENOME SCIENCES          COMM STK   444903108    39923     299400 SH       SOLE             76400          0     223000
HUNTINGTON BANCSHARES          COMM STK   446150104     5878     370984 SH       SOLE             63807          0     307177
ICN PHARMACEUTICALS INC        COMM STK   448924100      309      11100 SH       SOLE              7900          0       3200
HYPERION SOLUTIONS CORP        COMM STK   44914M104     1810      55745 SH       SOLE             41475          0      14270
IBP INC                        COMM STK   449223106      191      12400 SH       SOLE              7500          0       4900
ICG COMMUNICATIONS INC         COMM STK   449246107    31305    1412900 SH       SOLE            131000          0    1281900
ICU MEDICAL INC                COMM STK   44930G107      955      35800 SH       SOLE             25900          0       9900
IDEC PHARMACEUTICALS           COMM STK   449370105   132481    1129600 SH       SOLE            370500          0     759100
IMC GLOBAL INC.                COMM STK   449669100    11808     908300 SH       SOLE            203800          0     704500
IMS HEALTH INC                 COMM STK   449934108     5786     321461 SH       SOLE            161328          0     160133
ISS GROUP INC                  COMM STK   450306105   113295    1147650 SH       SOLE             49750          0    1097900
ITC DELTACOM, INC.             COMM STK   45031T104    16040     719900 SH       SOLE             68500          0     651400
ITLA CAPITAL CORPORATION       COMM STK   450565106     5138     365400 SH       SOLE             64700          0     300700
ITT EDUCATIONAL SERVICES       COMM STK   45068B109     5808     330700 SH       SOLE            111400          0     219300
IBASIS INC                     COMM STK   450732102    11540     268184 SH       SOLE            121947          0     146237
ITT INDUSTRIES INC             COMM STK   450911102    46466    1529759 SH       SOLE            292611          0    1237148
IDACORP, INC.                  COMM STK   451107106      223       6900 SH       SOLE              4400          0       2500
IDEX CORP                      COMM STK   45167R104     8408     266400 SH       SOLE            234600          0      31800
IDEXX LABS INC                 COMM STK   45168D104      266      11600 SH       SOLE              9700          0       1900
IGATE CAPITAL CORPORATION      COMM STK   45169U105    10984     797000 SH       SOLE            109700          0     687300
IKON OFFICE SOLUTIONS          COMM STK   451713101      116      30000 SH       SOLE             27800          0       2200
ILLINOIS TOOL WORKS INC.       COMM STK   452308109    14222     249511 SH       SOLE            135578          0     113933
IMAX CORP.                     COMM STK   45245E109    25047    1104000 SH       SOLE             81700          0    1022300
IMANAGE INC                    COMM STK   45245Y105      574      58001 SH       SOLE             56901          0       1100
IMMUNEX CORP NEW               COMM STK   452528102    16908     341800 SH       SOLE            250100          0      91700
IMPERIAL CHEMICAL INDUSTRIES P ADR        452704505    58590    1901500 SH       SOLE            598300          0    1303200
IMMUNOMEDICS INC               COMM STK   452907108     3455     142100 SH       SOLE              7900          0     134200
IMPERIAL TOBACCO GROUP         ADR        453142101      310      16000 SH       SOLE               250          0      15750
INCO LIMITED                   COMM STK   453258402    25704    1671815 SH       SOLE            208348          0    1463467
INCO LIMITED                   COMM STK   453258709     3177     726200 SH       SOLE            397100          0     329100
INCO LIMITED                   CONV BND   453258AK1    36726   40750000 PRN      SOLE          18750000          0   22000000
INCYTE PHARMACEUTICALS         COMM STK   45337C102    93748    1141100 SH       SOLE            274400          0     866700
INFINITY BROADCASTING CORP     COMM STK   45662S102   286318    7857796 SH       SOLE            910919          0    6946877
INFORMATICA CORP               COMM STK   45666Q102   130950    1599385 SH       SOLE            266985          0    1332400
INFONET SERVICES CORP          COMM STK   45666T106      181      15200 SH       SOLE              4000          0      11200
INFORMIX CORP                  COMM STK   456779107      405      54250 SH       SOLE             36800          0      17450
INFOSPACE INC                  COMM STK   45678T102     1487      26900 SH       SOLE             18200          0       8700
INFOUSA INC                    COMM STK   456818301     9470    1460400 SH       SOLE             41500          0    1418900
ING GROEP, N.V.                ADR        456837103      775      11487 SH       SOLE             11487          0          0
INGERSOLL-RAND CO.             COMM STK   456866102     4226     104986 SH       SOLE             43307          0      61679
INHALE THERAPEUTIC SYSTEMS     COMM STK   457191104   140296    1382650 SH       SOLE            273100          0    1109550
INKTOMI CORP                   COMM STK   457277101     5465      46200 SH       SOLE             41600          0       4600
INSIGHT ENTERPRISES INC        COMM STK   45765U103     1921      32374 SH       SOLE             27124          0       5250
INSITUFORM TECHNOLOGIES        COMM STK   457667103    80891    2958300 SH       SOLE            568700          0    2389600
CELTRIX PHARMACEUTICALS        COMM STK   457669109     7184    2128580 SH       SOLE            714290          0    1414290
INSIGHT COMMUNICATIONS INC     COMM STK   45768V108      808      51600 SH       SOLE             36000          0      15600
INNKEEPERS USA TRUST           COMM STK   4576J0104    10452    1145400 SH       SOLE            284200          0     861200
INSPIRE INSURANCE SOLUTIONS    COMM STK   457732105     1763     600100 SH       SOLE               100          0     600000
INTEG INC                      COMM STK   458100104       22      14000 SH       SOLE             14000          0          0
INTEGRATED DEVICE              COMM STK   458118106      384       6400 SH       SOLE              3200          0       3200
INTEL CORP.                    COMM STK   458140100   883890    6613161 SH       SOLE           2576560          0    4036601
INTER-TEL INC                  COMM STK   458372109     1060      66100 SH       SOLE             47000          0      19100
INTERACT COMMERCE CORP         COMM STK   45839Y107    14406    1222757 SH       SOLE            204957          0    1017800
INTERIM SERVICES INC           COMM STK   45868P100      282      15880 SH       SOLE             10780          0       5100
INTERMEDIA COMMUNICATIONS, INC COMM STK   458801107    13996     471443 SH       SOLE             96385          0     375058
INTERNAP NETWORK SERVICES      COMM STK   45885A102      254       6150 SH       SOLE              1700          0       4450
INTERNATIONAL BUSINESS MACHINE COMM STK   459200101   145561    1328563 SH       SOLE            533457          0     795106
INTL FLAVORS & FRAGRANCE       COMM STK   459506101   152566    5053962 SH       SOLE           1304405          0    3749557
INTERNATIONAL HOME FOODS, INC. COMM STK   459655106      226      10800 SH       SOLE              5100          0       5700
INTERNATIONAL GAME TECHNOLOGY  COMM STK   459902102      546      20600 SH       SOLE              8800          0      11800
INTL MULTIFOODS CORP           COMM STK   460043102    31199    1802100 SH       SOLE            464400          0    1337700
INTERNATIONAL PAPER CO.        COMM STK   460146103   168696    5658575 SH       SOLE           1227577          0    4430998
INTL RECTIFIER CORP            COMM STK   460254105     1714      30600 SH       SOLE             21100          0       9500
INTERNATIONAL SHIPHOLDING CORP COMM STK   460321201     7906     903562 SH       SOLE             70400          0     833162
INTERNATIONAL SPEEDWAY CORP.   COMM STK   460335201     1423      34200 SH       SOLE             24900          0       9300
INTERNET CAPITAL GROUP INC     COMM STK   46059C106    22163    1000000 SH       SOLE                 0          0    1000000
INTERNET CAPITAL GROUP INC     COMM STK   46059C106    76969    2083763 SH       SOLE            574743          0    1509020
INTERPUBLIC GROUP COS          COMM STK   460690100    77896    1811531 SH       SOLE            574329          0    1237202
INTRAWEST CORPORATION          COMM STK   460915200     5700     300000 SH       SOLE                 0          0     300000
INTERVOICE INC                 COMM STK   461142101      759     115079 SH       SOLE             89700          0      25379
INTEVAC INC                    COMM STK   461148108     1920     503640 SH       SOLE            503640          0          0
INTIMATE BRANDS INC CL A       COMM STK   461156101     2174     110080 SH       SOLE             31800          0      78280
INTUIT                         COMM STK   461202103   498675   12070800 SH       SOLE           1663000          0   10407800
INVESTMENT TECHNOLOGY GROUP    COMM STK   46145F105     5626     132185 SH       SOLE            110785          0      21400
INVITROGEN CORP                COMM STK   46185R100    19613     260750 SH       SOLE             60200          0     200550
INVESTORS FINL SERVICES        COMM STK   461915100    18437     464200 SH       SOLE             82400          0     381800
IPALCO ENTERPRISES, INC.       COMM STK   462613100      388      19300 SH       SOLE             15000          0       4300
IRIDEX CORPORATION             COMM STK   462684101     3446     275700 SH       SOLE                 0          0     275700
IRON MOUNTAIN INC.             COMM STK   462846106    47584    1399520 SH       SOLE            159100          0    1240420
IT GROUP INC.                  COMM STK   465266104    10984    2253100 SH       SOLE            718200          0    1534900
IT GROUP INC.                  CVPFSTKF   465266302     2926     177000 SH       SOLE             12000          0     165000
I2 TECHNOLOGIES INC            COMM STK   465754109     2895      27761 SH       SOLE             20763          0       6998
IVAX CORP                      COMM STK   465823102     7661     184600 SH       SOLE             70850          0     113750
IVEX PACKAGING CORP.           COMM STK   465855104    21515    1933900 SH       SOLE            542100          0    1391800
JDS UNIPHASE CORP              COMM STK   46612J101   496802    4145418 SH       SOLE            402524          0    3742894
JP REALTY INC                  COMM STK   46624A106    13988     785300 SH       SOLE            136500          0     648800
JABIL CIRCUIT INCORPORAT       COMM STK   466313103    57555    1159800 SH       SOLE            247200          0     912600
JAKKS PAC INC         CO       COMM STK   47012E106     1247      84700 SH       SOLE             63800          0      20900
JEFFERSON-PILOT CORPORATION    COMM STK   475070108     4845      85855 SH       SOLE             47099          0      38756
JEFFERSON SMURFIT GRP SP       ADR        47508W107     1121      63600 SH       SOLE             63600          0          0
FABRI-CENTERS OF AMERICA       COMM STK   47758P109      193      27500 SH       SOLE               300          0      27200
JO ANN STORES INC CL B         COMM STK   47758P208    10133    1328900 SH       SOLE            180900          0    1148000
JOHNS MANVILLE CORP            COMM STK   478129109    21314    1616200 SH       SOLE            785400          0     830800
JOHNSON & JOHNSON              COMM STK   478160104   215299    2113360 SH       SOLE           1070604          0    1042756
JOHNSON CONTROLS INC.          COMM STK   478366107     2752      53629 SH       SOLE             21665          0      31964
JONES APPAREL GROUP INC        COMM STK   480074103    51413    2187800 SH       SOLE            456650          0    1731150
JONES LANG LASALLE INC         COMM STK   48020Q107     4296     404300 SH       SOLE             53500          0     350800
JONES PHARMA INC               COMM STK   480236108     2544      63737 SH       SOLE             54537          0       9200
JUNIPER NETWORKS INC           COMM STK   48203R104    67070     460860 SH       SOLE            449200          0      11660
JUNO LIGHTING INC              COMM STK   482047206     1317     221800 SH       SOLE                 0          0     221800
JUPITER COMMUNICATIONS INC     COMM STK   482050101     3747     162700 SH       SOLE                 0          0     162700
KLA INSTRUMENTS                COMM STK   482480100   287161    4900880 SH       SOLE            719678          0    4181202
KMART CORPORATION              COMM STK   482584109     2042     299799 SH       SOLE            113343          0     186456
K-TRON INTERNATIONAL INC       COMM STK   482730108     4029     256323 SH       SOLE                 0          0     256323
K V PHARMACEUTICAL CO          COMM STK   482740206      716      27000 SH       SOLE             19900          0       7100
KANA COMMUNICATIONS INC        COMM STK   483600102      280       4528 SH       SOLE              1098          0       3430
KANSAS CITY POWER & LIGHT CO.  COMM STK   485134100     6089     270600 SH       SOLE            132900          0     137700
KANSAS CITY SO IND INC         COMM STK   485170104   134760    1519490 SH       SOLE            366390          0    1153100
KAUFMAN & BROAD HOME COR       COMM STK   486168107     1138      57449 SH       SOLE             34192          0      23257
KAYDON CORP                    COMM STK   486587108     1734      82585 SH       SOLE             80100          0       2485
KEANE INC                      COMM STK   486665102    62332    2882400 SH       SOLE            719200          0    2163200
KEEBLER FOODS CO               COMM STK   487256109      215       5800 SH       SOLE              2600          0       3200
KELLOGG COMPANY                COMM STK   487836108    65636    2206246 SH       SOLE            577747          0    1628499
KEMET CORPORATION              COMM STK   488360108     1867      74500 SH       SOLE             54800          0      19700
KENNAMETAL INC                 COMM STK   489170100     8984     419100 SH       SOLE             81000          0     338100
KERR-MCGEE CORP.               COMM STK   492386107    11695     198425 SH       SOLE             21970          0     176455
KEY ENERGY GROUP INC           COMM STK   492914106    63305    6577100 SH       SOLE            528400          0    6048700
KEYCORP                        COMM STK   493267108    34899    1980098 SH       SOLE            416026          0    1564072
KEYNOTE SYSTEMS INC            COMM STK   493308100    87411    1252650 SH       SOLE            141100          0    1111550
KEYSPAN ENERGY                 COMM STK   49337W100      533      17340 SH       SOLE             12000          0       5340
KEYSTONE AUTO INDS INCCO       COMM STK   49338N109     4326     620800 SH       SOLE             89000          0     531800
KFORCE COM INC                 COMM STK   493732101    18395    2663516 SH       SOLE            414548          0    2248968
KILROY RLTY CORP               COMM STK   49427F108     5577     215000 SH       SOLE             55300          0     159700
KIMBERLY-CLARK CORP.           COMM STK   494368103   346840    6045140 SH       SOLE           1433314          0    4611826
KIMCO REALTY CORPORATION       COMM STK   49446R109     1734      42300 SH       SOLE             15100          0      27200
KINDER MORGAN INC              COMM STK   49455P101     3698     107000 SH       SOLE              2650          0     104350
KING PHARMACEUTICALS, INC.     COMM STK   495582108    23813     542754 SH       SOLE            202182          0     340573
KNIGHT-RIDDER INC.             COMM STK   499040103   138274    2599741 SH       SOLE            631926          0    1967815
KIGHT TRIMARK INC              COMM STK   499063105      205       6900 SH       SOLE              2400          0       4500
KOHLS CORP                     COMM STK   500255104    15418     277172 SH       SOLE            113400          0     163772
PHILIPS ELECTRONICS NV W/I     ADR        500472204    39499     831556 SH       SOLE            192388          0     639168
KOPIN CORP                     COMM STK   500600101     2582      37300 SH       SOLE             27300          0      10000
KROGER CO.                     COMM STK   501044101   130623    5920574 SH       SOLE           1578992          0    4341582
KRONOS INC                     COMM STK   501052104      299      11450 SH       SOLE             11150          0        300
LJL BIOSYSTEMS INC             COMM STK   501873103    24484    1265745 SH       SOLE            305400          0     960345
LG&E ENERGY CORP.              COMM STK   501917108      310      12969 SH       SOLE              8700          0       4269
LSI LOGIC CORP                 COMM STK   502161102    10381     191800 SH       SOLE             74746          0     117054
LSI INDUSTRIES INC             COMM STK   50216C108    15298    1007300 SH       SOLE            110100          0     897200
LTX CORP                       COMM STK   502392103     1406      40200 SH       SOLE             29900          0      10300
L-3 COMMUNICATION CORP         COMM STK   502424104     6243     109400 SH       SOLE             53800          0      55600
LAM RESEARCH CORP              COMM STK   512807108     1916      51050 SH       SOLE             43800          0       7250
LAMAR ADVERTISING              COMM STK   512815101    80788    1863900 SH       SOLE            338800          0    1525100
LANCASTER COLONY CORP          COMM STK   513847103     1790      92398 SH       SOLE             90898          0       1500
LANDAUER INC                   COMM STK   51476K103    10690     686900 SH       SOLE            145000          0     541900
LANDS END INC                  COMM STK   515086106     2036      61000 SH       SOLE             57200          0       3800
LANDSTAR SYS INC      CO       COMM STK   515098101    19048     319800 SH       SOLE            111600          0     208200
LASON HOLDINGS INC             COMM STK   51808R107       66      26000 SH       SOLE             25200          0        800
LATITUDE COMMUNICATIONS INC    COMM STK   518292107     2174     195957 SH       SOLE            149204          0      46753
LATTICE SEMICONDUCTOR          COMM STK   518415104   167709    2425070 SH       SOLE            356400          0    2068670
ESTEE LAUDER COMPANIES         COMM STK   518439104      282       5700 SH       SOLE              1600          0       4100
LAYNE CHRISTENSEN CO           COMM STK   521050104     6373    1377900 SH       SOLE            335000          0    1042900
LEAPNET INC                    COMM STK   521864108     4943    1573792 SH       SOLE                 0          0    1573792
LEAR CORPORATION               COMM STK   521865105      224      11200 SH       SOLE              8500          0       2700
LEARNING TREE INTERNATIO       COMM STK   522015106     3320      53950 SH       SOLE             40300          0      13650
LEE ENTERPRISES                COMM STK   523768109     1287      55200 SH       SOLE             54400          0        800
LEGGETT & PLATT INC            COMM STK   524660107     2963     179600 SH       SOLE            106900          0      72700
LEGG MASON, INC.               COMM STK   524901105    36423     728464 SH       SOLE            114132          0     614332
LEHMAN BROTHERS HOLDINGS INC.  COMM STK   524908100     6912      73099 SH       SOLE             28233          0      44866
LENNAR CORPORATION             COMM STK   526057104     3043     150276 SH       SOLE            146692          0       3584
LENNAR CORPORATION             CONV BND   526057AA2     6735   16100000 PRN      SOLE           7600000          0    8500000
LEUCADIA NATIONAL              COMM STK   527288104    15033     659000 SH       SOLE            296400          0     362600
LEVEL 3 COMMUNICATIONS, INC.   COMM STK   52729N100     1592      18100 SH       SOLE              4900          0      13200
LEXMARK INTERNATIONAL GR       COMM STK   529771107    17704     263250 SH       SOLE             77950          0     185300
LIBERATE TECHNOLOGIES          COMM STK   530129105   127274    4337350 SH       SOLE            390200          0    3947150
LIFELINE SYSTEMS INC           COMM STK   532192101     6236     445400 SH       SOLE             69600          0     375800
LIFEPOINT HOSPITALS INC W/I    COMM STK   53219L109     1486      66427 SH       SOLE             49396          0      17031
LIHIR GOLD LTD SPONSORED       ADR        532349107      569      70000 SH       SOLE             70000          0          0
LILLY (ELI) AND COMPANY        COMM STK   532457108   354789    3552329 SH       SOLE           1100361          0    2451968
LIMITED (THE), INC.            COMM STK   532716107     5695     263372 SH       SOLE            101330          0     162042
LINCARE HLDGS INC              COMM STK   532791100    95343    3876700 SH       SOLE            909000          0    2967700
LINCOLN ELECTRIC HLDGS         COMM STK   533900106      984      68600 SH       SOLE             60500          0       8100
LINCOLN NATIONAL CORPORATION   COMM STK   534187109    86597    2397138 SH       SOLE            638636          0    1758502
LINEAR TECHNOLOGY CORP         COMM STK   535678106    88082    1378298 SH       SOLE            469932          0     908366
LINENS N THINGS INC            COMM STK   535679104     1157      42650 SH       SOLE             31700          0      10950
LIQUI-BOX CORP                 COMM STK   536314107    13121     273000 SH       SOLE            118800          0     154200
LITTELFUSE INC                 COMM STK   537008104    78848    1594900 SH       SOLE            428000          0    1166900
LITTON INDUSTRIES, INC.        COMM STK   538021106      244       5800 SH       SOLE              3800          0       2000
LIZ CLAIBORNE                  COMM STK   539320101     1530      43402 SH       SOLE             14180          0      29222
L90 INC                        COMM STK   539441105      279      26800 SH       SOLE             17800          0       9000
LO-JACK CORPORATION            COMM STK   539451104     5691     816600 SH       SOLE            130100          0     686500
LOCKHEED MARTIN CORPORATION    COMM STK   539830109   203192    8189091 SH       SOLE           1830816          0    6358275
LODGENET ENTERTAINMENT         COMM STK   540211109     1094      44900 SH       SOLE             34600          0      10300
LOEWS CORPORATION              COMM STK   540424108    78743    1312386 SH       SOLE            554583          0     757803
LOISLAW COM                    COMM STK   541431102     8362     998400 SH       SOLE             96800          0     901600
LONDON PAC GROUP LTD           ADR        542073101    11391     876200 SH       SOLE            163000          0     713200
LONE STAR TECHNOLOGIES         COMM STK   542312103    19055     412010 SH       SOLE            189100          0     222910
LONGS DRUG STORES CORP         COMM STK   543162101      583      26819 SH       SOLE             10320          0      16499
LONGVIEW FIBRE CO              COMM STK   543213102      408      36900 SH       SOLE             35900          0       1000
LOUISIANA-PACIFIC CORPORATION  COMM STK   546347105     3750     344824 SH       SOLE             30585          0     314239
LOWE'S COMPANIES INC.          COMM STK   548661107   102610    2498881 SH       SOLE            523084          0    1975797
LUCENT TECHNOLOGIES INC.       COMM STK   549463107   147109    2482847 SH       SOLE           1054776          0    1428071
LYCOS INC COM                  COMM STK   550818108     1717      31800 SH       SOLE             24700          0       7100
LYDALL INC                     COMM STK   550819106     5316     500300 SH       SOLE               300          0     500000
LYNX THERAPEUTICS              COMM STK   551812308      758      15900 SH       SOLE             11800          0       4100
LYONDELL CHEMICAL CO.          COMM STK   552078107      291      17400 SH       SOLE              4500          0      12900
M&T BANK CORPORATION           COMM STK   55261F104      311        690 SH       SOLE               100          0        590
MBIA INC.                      COMM STK   55262C100     3838      79653 SH       SOLE             41339          0      38314
MBNA CORPORATION               COMM STK   55262L100    15585     574554 SH       SOLE            216335          0     358219
MCN ENERGY GROUP, INC.         COMM STK   55267J100      318      14896 SH       SOLE             11100          0       3796
MGC COMMUNICATIONS, INC.       COMM STK   552763302    19808     330300 SH       SOLE             22300          0     308000
MGIC INVT CORP WIS             COMM STK   552848103    64605    1419886 SH       SOLE            327398          0    1092488
MGM GRAND INC                  COMM STK   552953101      241       7496 SH       SOLE              1600          0       5896
MGM GRAND INC                  COMM STK   552953101    91556    3000000 SH       SOLE            337850          0    2662150
MMC NETWORKS INC               COMM STK   55308N102     3389      63340 SH       SOLE             54240          0       9100
MPW INDUSTRIAL SERVICES GRP    COMM STK   553444100     5640     733700 SH       SOLE            110000          0     623700
MSC INDUSTRIAL DIRECT          COMM STK   553530106    93823    4481100 SH       SOLE            774500          0    3706600
M S CARRIER INC                COMM STK   553533100     2239     126800 SH       SOLE             15200          0     111600
MTI TECHNOLOGY CORP.           COMM STK   553903105      384      47800 SH       SOLE             34200          0      13600
MACDERMID INC                  COMM STK   554273102     3189     135700 SH       SOLE             25600          0     110100
MACK CALI REALTY CORP          COMM STK   554489104     1241      48300 SH       SOLE              2600          0      45700
MACROVISION CORPORATION        COMM STK   555904101     2032      31800 SH       SOLE             23100          0       8700
MACROMEDIA INC                 COMM STK   556100105    73217     757500 SH       SOLE             92300          0     665200
MALLINCKRODT INC.              COMM STK   561232109     1925      44316 SH       SOLE             18348          0      25968
CIRCUS CIRCUS ENTERPRISES, INC COMM STK   562567107    16954     847700 SH       SOLE            405200          0     442500
HCR MANOR CARE                 COMM STK   564055101      449      64214 SH       SOLE             23257          0      40957
MANPOWER INC $.01 PAR          COMM STK   56418H100    81514    2547300 SH       SOLE            599400          0    1947900
MANUFACTURED HOMES             COMM STK   564682102      620      25900 SH       SOLE              3800          0      22100
MANUGISTICS                    COMM STK   565011103     1436      30700 SH       SOLE             22100          0       8600
MARCHFIRST INC                 COMM STK   566244109     1457      79720 SH       SOLE             71315          0       8405
MARINE DRILLING COMPANY        COMM STK   568240204     2699      96400 SH       SOLE             74900          0      21500
MARKEL CORP                    COMM STK   570535104    16985     119930 SH       SOLE             33500          0      86430
MARSH & MCLENNAN COMPANIES, IN COMM STK   571748102   150985    1445693 SH       SOLE            417479          0    1028214
MARSHALL & ILSLEY CORP.        COMM STK   571834100     3967      95600 SH       SOLE             58500          0      37100
MARRIOTT INTERNATIONAL, INC.   COMM STK   571903202     6361     176395 SH       SOLE             62710          0     113685
MARTIN INDUSTRIES INC          COMM STK   57326K102      588     400000 SH       SOLE                 0          0     400000
MARTIN MARIETTA MATERIALS      COMM STK   573284106    53394    1320400 SH       SOLE            279900          0    1040500
MASCO CORPORATION              COMM STK   574599106    42168    2334578 SH       SOLE            491102          0    1843476
MATERIAL SCIENCES CORP         COMM STK   576674105    18990    1899000 SH       SOLE            433700          0    1465300
MATRIXONE INC                  COMM STK   57685P304    40140     987300 SH       SOLE               500          0     986800
MATTEL INC.                    COMM STK   577081102     8441     640040 SH       SOLE            251223          0     388817
MATTHEWS INTL CORP             COMM STK   577128101    43361    1488800 SH       SOLE            466600          0    1022200
MAXIM INTEGRATED               COMM STK   57772K101  1279741   18845700 SH       SOLE           2871700          0   15974000
MAY DEPARTMENT STORES CO.      COMM STK   577778103    81667    3402776 SH       SOLE            881719          0    2521057
MAVERICK TUBE CORP             COMM STK   577914104     1532      52700 SH       SOLE             40300          0      12400
MAXIMUS INC                    COMM STK   577933104    20970     947800 SH       SOLE            174900          0     772900
MAYTAG CORP.                   COMM STK   578592107     1959      53126 SH       SOLE             21550          0      31576
MCCORMICK & CO. INC.           COMM STK   579780206   154564    4755825 SH       SOLE           1117950          0    3637875
MCDERMOTT INTERNATIONAL INC.   COMM STK   580037109      344      39023 SH       SOLE             15412          0      23611
MCDONALD'S CORP.               COMM STK   580135101    79495    2413523 SH       SOLE           1062678          0    1350845
MCGRATH RENTCORP               COMM STK   580589109    33991    2036900 SH       SOLE            369800          0    1667100
MCGRAW-HILL COMPANIES, INC.    COMM STK   580645109    13876     256964 SH       SOLE            108762          0     148202
MCKESSON HBOC INC              COMM STK   58155Q103     3721     177712 SH       SOLE             70483          0     107229
MCLEODUSA, INC.                COMM STK   582266102    68567    3309426 SH       SOLE            751622          0    2557804
MEAD CORPORATION               COMM STK   582834107     2444      96774 SH       SOLE             28657          0      68117
MECHANICAL TECHNOLOGY I        COMM STK   583538103      377      25210 SH       SOLE             19100          0       6110
MEDALLION FINANCIAL CORP       COMM STK   583928106     1633     106000 SH       SOLE             29600          0      76400
MEDIA METRIX INC               COMM STK   58440X103      784      30860 SH       SOLE             20428          0      10432
MEDIACOM COMMUNICATIONS CORP   COMM STK   58446K105     9303     605100 SH       SOLE              1000          0     604100
MEDICAL ASSURANCE INC          COMM STK   58449U100    14250    1266623 SH       SOLE            249851          0    1016772
MEDICAL MANAGER CORPORATION    COMM STK   58461U103    12884     378599 SH       SOLE             16112          0     362487
MEDICIS PHARMACEUTICAL CORP CL COMM STK   584690309     7421     130200 SH       SOLE             68200          0      62000
MEDIMMUNE INC                  COMM STK   584699102   309688    4186740 SH       SOLE           1057940          0    3128800
MEDQUIST INC                   COMM STK   584949101      421      12344 SH       SOLE              8173          0       4171
MEDTRONIC INC                  COMM STK   585055106   134379    2697694 SH       SOLE           1604076          0    1093618
MELLON BANK CORPORATION        COMM STK   58551A108   556368   15269091 SH       SOLE           3528900          0   11740191
MENS WEARHOUSE INC             COMM STK   587118100     3562     159875 SH       SOLE            132275          0      27600
MENTOR CORP-MINN               COMM STK   587188103    62421    2298600 SH       SOLE            315600          0    1983000
MERCANTILE BANKSHARES CORPORAT COMM STK   587405101    95075    3185750 SH       SOLE            780900          0    2404850
TSI INTERNATIONAL SOFTWARE INC COMM STK   587587106     2295      33400 SH       SOLE             27300          0       6100
MERCK & CO. INC.               COMM STK   589331107   449982    5872525 SH       SOLE           2492384          0    3380141
MERCURY COMPUTER SYSTEMS INC   COMM STK   589378108     1489      46000 SH       SOLE             32900          0      13100
MERCURY GENERAL CORP NEW       COMM STK   589400100     2438     103200 SH       SOLE            100700          0       2500
MERCURY INTERACTIVE CPCO       COMM STK   589405109    49116     507500 SH       SOLE            183500          0     324000
MEREDITH CORP                  COMM STK   589433101    33013     978169 SH       SOLE            467183          0     510986
MERISTAR HOSPITALITY           COMM STK   58984Y103      523      24900 SH       SOLE              3200          0      21700
MERRILL LYNCH & CO., INC.      COMM STK   590188108    30085     261611 SH       SOLE            107009          0     154602
MESA AIR GROUP INC             COMM STK   590479101      103      18700 SH       SOLE               300          0      18400
MESABA HOLDINGS INC            COMM STK   59066B102      902      95550 SH       SOLE             74300          0      21250
META GROUP INC                 COMM STK   591002100    25752    1316400 SH       SOLE            154350          0    1162050
METASOLV SOFTWARE INC          COMM STK   591393103     2093      47292 SH       SOLE             45992          0       1300
METHODE ELECTRONICS CL A       COMM STK   591520200    68932    1783200 SH       SOLE            439000          0    1344200
METRIS COS INC                 COMM STK   591598107     1628      64800 SH       SOLE             53550          0      11250
METRO GOLDWYN MAYER            COMM STK   591610100      282      10800 SH       SOLE              2600          0       8200
METRO INFORMATION SVCS INC     COMM STK   59162P104     4411     444600 SH       SOLE            107000          0     337600
METROMEDIA FIBER NETWORK, INC. COMM STK   591689104     3905      98400 SH       SOLE             81200          0      17200
METROMEDIA INTL GROUP          COMM STK   591695101     4762    1002527 SH       SOLE              1027          0    1001500
METTLER-TOLEDO INTL            COMM STK   592688105    16620     415500 SH       SOLE             38100          0     377400
MICREL SEMICONDUCTOR           COMM STK   594793101    48384    1113080 SH       SOLE            140600          0     972480
MICROSOFT CORP                 COMM STK   594918104   992405   12409905 SH       SOLE           3705127          0    8704778
MICRO THERAPEUTICS INC         COMM STK   59500W100       80      15800 SH       SOLE             15800          0          0
MICROCHIP TECHNOLGY INC        COMM STK   595017104     4894      83837 SH       SOLE             68387          0      15450
MICROCELL TELECOMMUNICATIONS,  COMM STK   59501T304    29859     822985 SH       SOLE              1717          0     821268
MICROMUSE INC                  COMM STK   595094103     7529      45500 SH       SOLE             38300          0       7200
MICRON TECHNOLOGY              COMM STK   595112103    29868     339168 SH       SOLE            131704          0     207464
MILLENIUM PHARMACEUTICALS INC  COMM STK   599902103    13303     118940 SH       SOLE            104350          0      14590
MILLENNIUM CHEMICALS INC.      COMM STK   599903101     1335      78500 SH       SOLE             72300          0       6200
MILLER (HERMAN) INC            COMM STK   600544100     5370     207800 SH       SOLE             44300          0     163500
MILLIPORE CORP                 COMM STK   601073109    46853     621593 SH       SOLE            149466          0     472127
MINE SAFETY APPLIANCES         COMM STK   602720104     2307      30300 SH       SOLE             30300          0          0
MINIMED INC                    COMM STK   60365K108      295       2500 SH       SOLE              1200          0       1300
MINNESOTA MINING & MANUFACTURI COMM STK   604059105   220454    2672171 SH       SOLE            818889          0    1853282
MINNTECH CORP                  COMM STK   604258103     4389     661000 SH       SOLE                 0          0     661000
MIPS TECHNOLOGIES INC          COMM STK   604567107     9271     218300 SH       SOLE             13300          0     205000
MOBIUS MANAGEMENT SYSTEMS      COMM STK   606925105      392      85832 SH       SOLE             85832          0          0
MODINE MFG CO                  COMM STK   607828100     4114     152200 SH       SOLE            135500          0      16700
MODIS PROFESSIONAL SERVICES IN COMM STK   607830106     7498     844900 SH       SOLE             69400          0     775500
MOHAWK INDS INC CO             COMM STK   608190104     1036      47650 SH       SOLE             35500          0      12150
MOLECULAR DEVICES CORPOR       COMM STK   60851C107    25588     370000 SH       SOLE             90100          0     279900
MOLEX INC CLASS A NON-         COMM STK   608554101    19153     397478 SH       SOLE            182262          0     215216
MONARCH DENTAL CORP            COMM STK   609044102       54      21000 SH       SOLE             21000          0          0
MONTANA POWER CO.              COMM STK   612085100      240       6800 SH       SOLE              2800          0       4000
JP MORGAN & CO. INC.           COMM STK   616880100   172626    1567546 SH       SOLE            401793          0    1165753
MORGAN STANLEY DEAN WITTER & C COMM STK   617446448   314225    3774472 SH       SOLE            803410          0    2971062
MOTOROLA INC.                  COMM STK   620076109   132338    4553563 SH       SOLE           1563863          0    2989700
MURPHY OIL CORP                COMM STK   626717102    53060     892710 SH       SOLE            315500          0     577210
MUTUAL RISK MANAGEMENT LTD.    COMM STK   628351108    25955    1499226 SH       SOLE            280894          0    1218332
MYERS INDUSTRIES INC           COMM STK   628464109     4386     407988 SH       SOLE            224388          0     183600
MYLAN LABS INC                 COMM STK   628530107      345      18900 SH       SOLE             12700          0       6200
NCO GROUP INC                  COMM STK   628858102     1415      61100 SH       SOLE             47700          0      13400
NCR CORP                       COMM STK   62886E108    11615     298308 SH       SOLE             49000          0     249308
NDS GROUP PLC SPONS ADR        ADR        628891103     6569     105000 SH       SOLE                 0          0     105000
NN BALL & ROLLER INC           COMM STK   629337106     4897     483700 SH       SOLE            100600          0     383100
NPS PHARMACEUTICALS INC        COMM STK   62936P103    73887    2749300 SH       SOLE            333000          0    2416300
NTL INCORPORATED               COMM STK   629407107    41094     685980 SH       SOLE             61581          0     624399
NYMAGIC INC                    COMM STK   629484106     2948     200700 SH       SOLE               100          0     200600
RJR NABISCO HOLDINGS CORPORATI COMM STK   62952P102     6395     246550 SH       SOLE            123100          0     123450
NABORS INDUSTRIES INC          COMM STK   629568106      667      16040 SH       SOLE             10610          0       5430
NATIONAL CITY CORPORATION      COMM STK   635405103    62634    3670876 SH       SOLE           1148866          0    2522010
NATIONAL COMMERCE BANCORPORATI COMM STK   635449101     3133     194700 SH       SOLE             85400          0     109300
NATIONAL COMPUTER SYSTEM       COMM STK   635519101     4376      88900 SH       SOLE             77300          0      11600
NATIONAL DATA CORP             COMM STK   635621105     1326      57650 SH       SOLE             50250          0       7400
NATIONAL HEALTH REALTY INC     COMM STK   635905102     4761     590500 SH       SOLE             32500          0     558000
NATIONAL FUEL GAS CO.          COMM STK   636180101      429       8800 SH       SOLE              6700          0       2100
NATIONAL INFO CONSORTIUM INC   COMM STK   636491102      854      74900 SH       SOLE             65800          0       9100
NATIONAL OILWELL INC           COMM STK   637071101    26113     794303 SH       SOLE             81603          0     712700
NATIONAL SEMICONDUCTOR CORP.   COMM STK   637640103     8943     157592 SH       SOLE             85381          0      72211
NATIONAL SERVICE INDS IN       COMM STK   637657107      536      27500 SH       SOLE             12286          0      15214
NATIONWIDE FINANCIAL SERVICES  COMM STK   638612101      677      20600 SH       SOLE             14400          0       6200
NATROL INC                     COMM STK   638789107     3375    1000000 SH       SOLE                 0          0    1000000
NATURAL MICROSYSTEMS COR       COMM STK   638882100     2868      25500 SH       SOLE             18500          0       7000
NAUTICA ENTERPRISES INC        COMM STK   639089101    22521    2101100 SH       SOLE            264800          0    1836300
NAVISTAR INTL CORP NEW         COMM STK   63934E108     1257      40461 SH       SOLE             16147          0      24314
NEIMAN MARCUS GROUP INC        COMM STK   640204202    44263    1466255 SH       SOLE            361875          0    1104380
NEIMAN MARCUS GROUP INC        COMM STK   640204301      482      23501 SH       SOLE             23501          0          0
NETWORKS ASSOCIATES INC.       COMM STK   640938106     2280     111749 SH       SOLE             90049          0      21700
NETWORKS ASSOCIATES INC.       CONV BND   640938AB2    35493  100000000 PRN      SOLE                 0          0  100000000
NET GENESIS CORP               COMM STK   64107E107    23924    1322200 SH       SOLE            223400          0    1098800
NETCENTIVES INC                COMM STK   64108P101     3274     175500 SH       SOLE            155400          0      20100
NETEGRITY INC                  COMM STK   64110P107      904      12000 SH       SOLE              8100          0       3900
NETOPIA INC                    COMM STK   64114K104     1162      28900 SH       SOLE             20800          0       8100
NETRO CORP                     COMM STK   64114R109      901      15700 SH       SOLE             13600          0       2100
NETSOLVE INC                   COMM STK   64115J106    26736    1024607 SH       SOLE            139807          0     884800
NETIQ CORP                     COMM STK   64115P102   275093    4613714 SH       SOLE            654170          0    3959544
NETWORK APPLIANCE INC          COMM STK   64120L104    24961     310200 SH       SOLE            183800          0     126400
NETWORK PERIPHERALS            COMM STK   64121R100      328      19600 SH       SOLE             15000          0       4600
NET2000 COMMUNICATIONS INC     COMM STK   64122G103     2935     178900 SH       SOLE               200          0     178700
NEUROCRINE BIOSCIENCES         COMM STK   64125C109    58785    1660300 SH       SOLE             68600          0    1591700
NEW CENTURY ENERGIES, INC.     COMM STK   64352U103     2384      79464 SH       SOLE             36165          0      43299
NEW ENGLAND BUSINESS SVC       COMM STK   643872104    22175    1364600 SH       SOLE            218100          0    1146500
NEW PLAN EXCEL REALTY TRUST IN COMM STK   648053106      549      42200 SH       SOLE             38300          0       3900
NEW YORK TIMES COMPANY         COMM STK   650111107    30392     769426 SH       SOLE            355078          0     414348
NEWELL RUBBERMAID, INC.        COMM STK   651229106     7382     286684 SH       SOLE            177679          0     109005
NEWFIELD EXPLORATION COM       COMM STK   651290108      865      22100 SH       SOLE             20500          0       1600
NEWMONT MINING CO              COMM STK   651639106   171034    7909099 SH       SOLE           1941185          0    5967914
NEWPARK RESOURCES INC.         COMM STK   651718504     8345     884200 SH       SOLE            456400          0     427800
NEWS CORPORATION LTD.          ADR        652487703     1199      22000 SH       SOLE              6600          0      15400
NEXTCARD INC                   COMM STK   65332K107    15859    1872672 SH       SOLE            294172          0    1578500
NEXTEL COMMUNICATIONS          COMM STK   65332V103   294639    4817812 SH       SOLE           1080264          0    3737548
NEXTLINK COMMUNICATIONS, INC   COMM STK   65333H707   387785   10230106 SH       SOLE            282072          0    9948034
NEXT LEVEL COMMUNICATION INC   COMM STK   65333U104      360       4200 SH       SOLE              1000          0       3200
NIAGARA MOWHAWK HLDNGS         COMM STK   653520106   147439   10578599 SH       SOLE           3287566          0    7291033
NICOR INC.                     COMM STK   654086107     2260      69276 SH       SOLE             50721          0      18555
NIKE INC.                      COMM STK   654106103    19865     498968 SH       SOLE            163560          0     335408
NISOURCE INC.                  COMM STK   65473P105      237      12700 SH       SOLE              8400          0       4300
NOBLE AFFILIATES, INC.         COMM STK   654894104    42310    1135850 SH       SOLE            177300          0     958550
NOKIA                          ADR        654902204   984063   19705900 SH       SOLE           2736300          0   16969600
NOBLE DRILLING CORP            COMM STK   655042109      605      14700 SH       SOLE              9900          0       4800
NORDSTROM, INC.                COMM STK   655664100    25639    1062740 SH       SOLE            374206          0     688534
NORFOLK SOUTHERN CORPORATION   COMM STK   655844108   130415    8767420 SH       SOLE           1988094          0    6779326
NORSK HYDRO NKR20              ADR        656531605    10814     257100 SH       SOLE             57100          0     200000
NORTEL NETWORKS CORP           COMM STK   656568102  1113584   16316251 SH       SOLE           3061735          0   13254516
NO EUROPEAN OIL RTY TR         COMM STK   659310106      159      10000 SH       SOLE                 0          0      10000
NORTH FORK BANCORP             COMM STK   659424105    37571    2484050 SH       SOLE            602400          0    1881650
NORTHEAST OPTIC NETWORK INC    COMM STK   664334109     3722      60100 SH       SOLE             44900          0      15200
NORTHEAST UTILITIES            COMM STK   664397106      261      12000 SH       SOLE              7200          0       4800
NORTHERN STATES POWER (MINN)   COMM STK   665772109     1866      92455 SH       SOLE             35956          0      56499
NORTHERN TRUST CORPORATION     COMM STK   665859104    26281     404122 SH       SOLE            247188          0     156934
NORTHPOINT COMM GROUP INC      COMM STK   666610100      735      65900 SH       SOLE             61500          0       4400
NORTHROP GRUMMAN CORP.         COMM STK   666807102     4878      73636 SH       SOLE             17923          0      55713
NOVA CORP                      COMM STK   669784100   198004    7087391 SH       SOLE           1127595          0    5959796
NOVAMED EYECARE INC            COMM STK   66986W108      285      32600 SH       SOLE             32000          0        600
NUANCE COMMUNICATIONS INC      COMM STK   669967101    43327     522800 SH       SOLE             26500          0     496300
NOVELL INC                     COMM STK   670006105     2374     256178 SH       SOLE             86932          0     169246
NOVELLUS SYSTEMS INC           COMM STK   670008101     7629     134800 SH       SOLE             78100          0      56700
NOVEN PHARMACEUTICALS IN       COMM STK   670009109    26563     883600 SH       SOLE             97600          0     786000
NOVOSTE CORPORATION            COMM STK   67010C100    18770     307700 SH       SOLE             32200          0     275500
NVIDIA CORP                    COMM STK   67066G104      947      14900 SH       SOLE             12800          0       2100
O CHARLEY S INC                COMM STK   670823103    17967    1321700 SH       SOLE            202900          0    1118800
OM GROUP INC                   COMM STK   670872100     1294      29400 SH       SOLE             22500          0       6900
OAK TECHNOLOGY INC             COMM STK   671802106      392      18200 SH       SOLE             15500          0       2700
OBIE MEDIA CORP                COMM STK   674391107     2281     292500 SH       SOLE             52000          0     240500
OCCIDENTAL PETROLEUM CORP.     COMM STK   674599105    17768     843585 SH       SOLE            100590          0     742995
OCEAN ENERGY INC TEX           COMM STK   67481E106    98954    6974752 SH       SOLE           1394852          0    5579900
OCEANEERING INTL INC           COMM STK   675232102      965      50800 SH       SOLE             35300          0      15500
OCTEL CORP                     COMM STK   675727101    14854    1901275 SH       SOLE            960025          0     941250
OCULAR SCIENCES INC            COMM STK   675744106     2605     222300 SH       SOLE             76600          0     145700
OFFICE DEPOT INC.              COMM STK   676220106    11985    1917550 SH       SOLE             83650          0    1833900
OFFSHORE LOGISITICS, INC.      CONV BND   676255AD4     1842    2000000 PRN      SOLE                 0          0    2000000
OGDEN CORP                     CONV BND   676346AD1      725     850000 PRN      SOLE            350000          0     500000
OHIO CAS CORP                  COMM STK   677240103      390      36800 SH       SOLE             35400          0       1400
OIL DRI CORP OF AMERICA        COMM STK   677864100     4941     549000 SH       SOLE             40000          0     509000
OLD KENT FINANCIAL CORPORATION COMM STK   679833103     2422      82633 SH       SOLE             30580          0      52053
OLD REP INTL CORP              COMM STK   680223104      324      19650 SH       SOLE             14700          0       4950
OLIN CORP.                     COMM STK   680665205     5425     328800 SH       SOLE             45900          0     282900
OMNICARE INC.                  COMM STK   681904108   100770   11119400 SH       SOLE           2043600          0    9075800
OMNICOM GROUP                  COMM STK   681919106   149833    1682331 SH       SOLE            452514          0    1229817
ONE VALLEY BANCORP INC         COMM STK   682419106     3471     111062 SH       SOLE            109062          0       2000
ONEOK INC.                     COMM STK   682680103      476      18358 SH       SOLE              7583          0      10775
OPTA FOOD INGREDIENTS IN       COMM STK   68381N105      110      43000 SH       SOLE             43000          0          0
OPTICAL CABLE CORP             COMM STK   683827109      889      29700 SH       SOLE             22000          0       7700
OPTIMAL ROBOTICS CORPORA       COMM STK   68388R208      858      22400 SH       SOLE             18200          0       4200
ORACLE CORP.                   COMM STK   68389X105  1679087   19981692 SH       SOLE           3557280          0   16424412
O REILLY AUTOMOTIVE INC        COMM STK   686091109    69885    5071000 SH       SOLE            866500          0    4204500
ORTHODONTIC CENTERS OF         COMM STK   68750P103    71850    3175700 SH       SOLE             97700          0    3078000
OSICOM TECHNOLOGIES INC        COMM STK   688271501     1239      14650 SH       SOLE             10700          0       3950
OTTER TAIL POWER CO            COMM STK   689648103    10470     500800 SH       SOLE               400          0     500400
OUTBACK STEAKHOUSE INC         COMM STK   689899102   147740    5050950 SH       SOLE            647350          0    4403600
OVERSEAS SHIPHOLDING GROUP, IN COMM STK   690368105    19185     779100 SH       SOLE            324500          0     454600
OWENS & MINOR                  COMM STK   690732102    18993    1105050 SH       SOLE            473850          0     631200
OWENS CORNING                  COMM STK   69073F103      948     102462 SH       SOLE             82392          0      20070
OWENS-ILLINOIS INC.            COMM STK   690768403     2020     172867 SH       SOLE             40126          0     132741
OWENS-ILLINOIS INC.            CVPFSTKF   690768502     4511     200500 SH       SOLE             95500          0     105000
PCD INC                        COMM STK   69318P106     3154     406200 SH       SOLE             41000          0     365200
P-COM INC                      COMM STK   693262107       71      12600 SH       SOLE              6400          0       6200
PECO ENERGY COMPANY            COMM STK   693304107    12464     309194 SH       SOLE            136806          0     172388
PG&E CORPORATION               COMM STK   69331C108     7929     322009 SH       SOLE            110445          0     211564
PE BIOSYSTEMS GROUP            COMM STK   69332S102    77181    1171628 SH       SOLE            124844          0    1046784
PE BIOSYSTEMS GROUP            COMM STK   69332S201     5315      56850 SH       SOLE             40600          0      16250
P F CHANGS CHINA BISTRO INC    COMM STK   69333Y108    16563     518100 SH       SOLE             13300          0     504800
PMC SIERRA INC                 COMM STK   69344F106   147197     828550 SH       SOLE            193250          0     635200
PMI GROUP INC                  COMM STK   69344M101     7123     149950 SH       SOLE             57950          0      92000
PNC FINANCIAL SERVICES GROUP,  COMM STK   693475105    12375     264003 SH       SOLE            138529          0     125474
PPG INDUSTRIES INC.            COMM STK   693506107    66604    1503049 SH       SOLE            400551          0    1102498
PP&L RESOURCES INC             COMM STK   69351T106     1926      87814 SH       SOLE             34305          0      53509
PACCAR INC.                    COMM STK   693718108     1907      48051 SH       SOLE             18145          0      29906
PACIFIC CENTURY FINANCIAL CORP COMM STK   694058108      148      10100 SH       SOLE              6800          0       3300
PACIFIC GULF PROPERTIES INC.   COMM STK   694396102    20857     832200 SH       SOLE            194200          0     638000
PACIFIC SUNWEAR CALIF INC      COMM STK   694873100    24466    1302700 SH       SOLE             40575          0    1262125
PACIFICARE HEALTH SYS          COMM STK   695112102      319       5300 SH       SOLE              3300          0       2000
PACKAGED ICE INC               COMM STK   695148106     4923    1193500 SH       SOLE            528500          0     665000
PACKAGING CORP OF AMERICA      COMM STK   695156109     9623     950400 SH       SOLE            144100          0     806300
PACKARD BIOSCIENCE             COMM STK   695172205    21247    1252100 SH       SOLE            163200          0    1088900
PACKETEER INC                  COMM STK   695210104     5887     201915 SH       SOLE            200715          0       1200
PACTIV CORPORATION             COMM STK   695257105      795     100977 SH       SOLE             38096          0      62881
PAINE WEBBER GROUP INC.        COMM STK   695629105     4159      91400 SH       SOLE             38100          0      53300
PALL CORP                      COMM STK   696429307   179149    9683715 SH       SOLE           1608075          0    8075640
PAPA JOHN'S INTL INC           COMM STK   698813102    32394    1320500 SH       SOLE            125700          0    1194800
PARADYNE NETWORKS INC          COMM STK   69911G107     3903     119761 SH       SOLE             74544          0      45217
PARAMETRIC TECHNOLOGY          COMM STK   699173100    33205    3027214 SH       SOLE             92222          0    2934992
PARK PLACE ENTERTAINMENT       COMM STK   700690100      358      29400 SH       SOLE             15000          0      14400
PARKER-HANNIFIN CORP.          COMM STK   701094104     4863     141972 SH       SOLE             66252          0      75720
PARKWAY PPTYS INC              COMM STK   70159Q104    30290     993100 SH       SOLE            218100          0     775000
PARTNER COMMUNICATIONS ADR     ADR        70211M109    13854    1468000 SH       SOLE            228000          0    1240000
PATTERSON DENTAL CO            COMM STK   703412106     1850      36350 SH       SOLE             26650          0       9700
PATTERSON ENERGY INC  CO       COMM STK   703414102     1916      67300 SH       SOLE             50500          0      16800
PAULA FINANCIAL                COMM STK   703588103       83      30800 SH       SOLE             30000          0        800
PAYCHEX INC                    COMM STK   704326107    80075    1906538 SH       SOLE            377406          0    1529132
PECHINEY SA                    COMM STK   705151991      481      11000 SH       SOLE              4300          0       6700
PEERLESS SYSTEMS CP            COMM STK   705536100     1006     536500 SH       SOLE            103000          0     433500
PEGASUS COMMUNICATIONS         COMM STK   705904100   121898    2489300 SH       SOLE            344800          0    2144500
PEGASUS SYSTEMS INC            COMM STK   705906105      291      26850 SH       SOLE             20000          0       6850
PENN ENGINEERING & MFG         COMM STK   707389102     1331      60000 SH       SOLE                 0          0      60000
PENN VIRGINIA CORPORATION      COMM STK   707882106    25977    1054900 SH       SOLE            170800          0     884100
PENNEY (J.C.) CO., INC.        COMM STK   708160106    52590    2852319 SH       SOLE            770591          0    2081728
PENNZOIL QUAKER STATE CO       COMM STK   709323109      141      11700 SH       SOLE              5000          0       6700
PENTAIR INC                    COMM STK   709631105    87454    2463500 SH       SOLE            560600          0    1902900
PEOPLES ENERGY CORP.           COMM STK   711030106      727      22470 SH       SOLE              8147          0      14323
PEOPLE SOFT INC                COMM STK   712713106     2665     159374 SH       SOLE             59947          0      99427
PEPSI BOTTLING GROUP INC.      COMM STK   713409100      336      11500 SH       SOLE              6000          0       5500
PEPSICO INC.                   COMM STK   713448108   325595    7327041 SH       SOLE           2088537          0    5238504
PERCEPTRON INC                 COMM STK   71361F100     2250     651600 SH       SOLE                 0          0     651600
PEREGRINE SYSTEMS INC.         COMM STK   71366Q101   113475    3259600 SH       SOLE            681175          0    2578425
PERFORMANCE FOOD GROUP         COMM STK   713755106     6122     191700 SH       SOLE             28500          0     163200
PERICOM SEMICONDUCTOR CO       COMM STK   713831105     3762      54900 SH       SOLE             42000          0      12900
PERKINELMER INC                COMM STK   714046109     7471     112979 SH       SOLE             39487          0      73492
PEROT SYSTEMS CORP             COMM STK   714265105      114      10400 SH       SOLE              7100          0       3300
PERRIGO COMPANY                COMM STK   714290103      179      28000 SH       SOLE             25500          0       2500
PETCO ANIMAL SUPPLIES          COMM STK   716016100      398      20300 SH       SOLE             20300          0          0
PFIZER, INC.                   COMM STK   717081103  1481866   30872203 SH       SOLE          10285691          0   20586512
PHARMACOPEIA INC               COMM STK   71713B104    10795     233400 SH       SOLE             42967          0     190433
PHARMACIA CORPORATION          COMM STK   71713U102   562180   10876508 SH       SOLE           2639568          0    8236940
PHELPS DODGE CORPORATION       COMM STK   717265102    76323    2052387 SH       SOLE            435179          0    1617208
PHILIP MORRIS COMPANIES, INC.  COMM STK   718154107   279979   10540398 SH       SOLE           2856185          0    7684213
PHILLIPS PETROLEUM COMPANY     COMM STK   718507106    10489     206942 SH       SOLE             63102          0     143840
PHONE COM INC                  COMM STK   71920Q100     1291      19800 SH       SOLE             16700          0       3100
PHOTOWORKS INC                 COMM STK   71940B109     3547    1170300 SH       SOLE                 0          0    1170300
PHYCOR INC.                    CONV BND   71940FAB6     1887   11100000 PRN      SOLE           5200000          0    5900000
PICTURETEL CORP COM NEW        COMM STK   720035302       27      10200 SH       SOLE               600          0       9600
PINNACLE HLDGS INC             COMM STK   72346N101   103244    1925300 SH       SOLE            368700          0    1556600
PINNACLE SYSTEMS               COMM STK   723481107     1103      48700 SH       SOLE             35800          0      12900
PINNACLE WEST CAPITAL CORP.    COMM STK   723484101     5078     149900 SH       SOLE             51300          0      98600
PIONEER STANDARD ELECTRO       COMM STK   723877106     2720     185200 SH       SOLE            154100          0      31100
PITNEY BOWES INC.              COMM STK   724479100    15004     375101 SH       SOLE            268316          0     106785
PITT-DES MOINES INC            COMM STK   724508106     5890     310000 SH       SOLE             10000          0     300000
PIXAR INC                      COMM STK   725811103      748      21200 SH       SOLE             15100          0       6100
PIVOTAL CORP                   COMM STK   72581R106     2592     109149 SH       SOLE             82937          0      26212
PJ AMERICA                     COMM STK   72585Q104     5651     572300 SH       SOLE             90500          0     481800
PLACER DOME INC                COMM STK   725906101    13210    1381413 SH       SOLE            306724          0    1074689
PLANAR SYSTEMS INC             COMM STK   726900103     2915     227500 SH       SOLE             20000          0     207500
PLANTRONICS INC NEW            COMM STK   727493108     5567      48200 SH       SOLE             39400          0       8800
PLEXUS CORP                    COMM STK   729132100     3581      31680 SH       SOLE             23400          0       8280
PLUM CREEK TIMBER CO INC       COMM STK   729251108     1433      55100 SH       SOLE             16100          0      39000
POGO PRODUCING                 COMM STK   730448107     4485     202700 SH       SOLE               600          0     202100
POLAROID                       COMM STK   731095105     7382     408671 SH       SOLE            196552          0     212119
POLYCOM INC                    COMM STK   73172K104     4082      43400 SH       SOLE             32300          0      11100
POLYMEDICA CORP                COMM STK   731738100     1221      28200 SH       SOLE             20800          0       7400
POLYMER GROUP INC              COMM STK   731745105     4249     459400 SH       SOLE             77300          0     382100
PORTAL SOFTWARE                COMM STK   736126103      511       8000 SH       SOLE              2000          0       6000
POST PROPERTIES INC REIT       COMM STK   737464107     2081      47300 SH       SOLE             26200          0      21100
POTLATCH CORP.                 COMM STK   737628107     6370     192316 SH       SOLE             16269          0     176047
POTOMAC ELECTRIC POWER CO.     COMM STK   737679100     1809      72348 SH       SOLE             13100          0      59248
POTOMAC ELECTRIC POWER CO.     CONV BND   737679BT6     9192    9650000 PRN      SOLE           4650000          0    5000000
POWER-ONE INC.                 COMM STK   739308104     1999      17550 SH       SOLE             12250          0       5300
POWERWAVE TECHNOLOGIES INC     COMM STK   739363109     3049      69300 SH       SOLE             52200          0      17100
POWERTEL INC                   COMM STK   73936C109     1710      24100 SH       SOLE             22900          0       1200
PRAXAIR, INC.                  COMM STK   74005P104     3722      99415 SH       SOLE             37268          0      62147
PREPAID LEGAL SERVICES I       COMM STK   740065107    14997     502000 SH       SOLE              1200          0     500800
SIX FLAGS INC                  COMM STK   740540208    63848    2806500 SH       SOLE            587300          0    2219200
PRESIDENTIAL LIFE              COMM STK   740884101    17519    1265500 SH       SOLE            116000          0    1149500
PRICE COMMUNICATIONS INC       COMM STK   741437305     1696      71996 SH       SOLE             51600          0      20396
T. ROWE PRICE ASSOCIATES       COMM STK   741477103     2833      66600 SH       SOLE             22800          0      43800
PRICELINE COM INC              COMM STK   741503106    41693    1099000 SH       SOLE             11800          0    1087200
PRIME RETAIL INC.              CVPFSTKF   741570303     1400     200000 SH       SOLE                 0          0     200000
PRIMEDIA INC.                  COMM STK   74157K101      253      11100 SH       SOLE              4100          0       7000
PRIMESOURCE CORP               COMM STK   741593107     1301     254600 SH       SOLE             45200          0     209400
PRIMUS KNOWLEDGE SOLUTIONS     COMM STK   74163Q100      584      12900 SH       SOLE              9900          0       3000
PRIMUS TELECOM                 COMM STK   741929103      813      32600 SH       SOLE             23400          0       9200
PRIDE INTERNATIONAL INC.       COMM STK   741932107      233       9400 SH       SOLE              7900          0       1500
PRIORITY HEALTHCARE CORP       COMM STK   74264T102     1635      22048 SH       SOLE             15651          0       6397
PROBUSINESS SERVICES INC.      COMM STK   742674104    13243     502700 SH       SOLE              1300          0     501400
PROCTER & GAMBLE CO.           COMM STK   742718109   159448    2785110 SH       SOLE            859265          0    1925845
PROFESSIONAL STAFF             ADR        74315R105      260      56500 SH       SOLE             42300          0      14200
PROFIT RECOVERY GROUP INTL     COMM STK   743168106      619      37300 SH       SOLE             27050          0      10250
PROGRESS SOFTWARE CORP         COMM STK   743312100    38163    2084000 SH       SOLE            688100          0    1395900
PROGRESSIVE CORPORATION        COMM STK   743315103     3515      47495 SH       SOLE             19730          0      27765
PROLOGIS TR                    COMM STK   743410102    26383    1237935 SH       SOLE            161658          0    1076277
PROLOGIS TR                    CVPFSTKF   743410300     6526     239500 SH       SOLE              4000          0     235500
PROSOFTTRAINING COM            COMM STK   743477101    11342     675900 SH       SOLE                 0          0     675900
PROTECTIVE LIFE CORPORATION    COMM STK   743674103    46096    1731300 SH       SOLE            393100          0    1338200
PROTEIN DESIGN LABS INC        COMM STK   74369L103     6066      36800 SH       SOLE             34200          0       2600
PROVINCE HEALTHCARE CO         COMM STK   743977100     6208     172000 SH       SOLE            163500          0       8500
PROVIDIAN CORP                 COMM STK   74406A102    83341     926011 SH       SOLE            209155          0     716856
PROXIM INC                     COMM STK   744284100     3326      33530 SH       SOLE             25400          0       8130
PSINET INC                     COMM STK   74437C101   324809   12943808 SH       SOLE           1574458          0   11369350
PUBLIC SERVICE ENTERPRISE GROU COMM STK   744573106     4763     137568 SH       SOLE             55929          0      81639
PUBLIC STORAGE INC.            COMM STK   74460D109      988      42158 SH       SOLE              7458          0      34700
PUERTO RICAN CEMENT CO         COMM STK   745075101    13792     495900 SH       SOLE             49600          0     446300
PUGET SOUND ENERGY, INC.       COMM STK   745332106      215      10100 SH       SOLE              8000          0       2100
PULTE CORP                     COMM STK   745867101      596      27539 SH       SOLE             10530          0      17009
PURCHASEPRO.COM INC            COMM STK   746144104    54395    1325700 SH       SOLE            117700          0    1208000
QLT PHOTOTHERAPEUTICS          COMM STK   746927102   176854    2277400 SH       SOLE            575300          0    1702100
QLOGIC CORP                    COMM STK   747277101     2474      37400 SH       SOLE             31400          0       6000
QUAKER OATS COMPANY            COMM STK   747402105    71943     957642 SH       SOLE            103063          0     854579
QUALCOMM FINL TR I             COMM STK   747525103   376699    6281580 SH       SOLE            834200          0    5447380
QUANTA SERVICES INC            COMM STK   74762E102     1848      33600 SH       SOLE             24450          0       9150
QUANTUM CORP                   COMM STK   747906204      170      17500 SH       SOLE             11200          0       6300
QUEST DIAGNOSTIC               COMM STK   74834L100     4917      68703 SH       SOLE             59650          0       9053
QUEST SOFTWARE INC             COMM STK   74834T103     5349      96375 SH       SOLE             22000          0      74375
QUESTAR CORP.                  COMM STK   748356102     6487     334800 SH       SOLE            186400          0     148400
QUICKLOGIC CORP                COMM STK   74837P108     5372     239100 SH       SOLE             45900          0     193200
QUIKSILVER INC                 COMM STK   74838C106    33559    2156400 SH       SOLE            493250          0    1663150
QUIDEL CORP COM STOCK          COMM STK   74838J101     3686     700000 SH       SOLE                 0          0     700000
QUINTILES TRANSNATIONAL        COMM STK   748767100     1263      89633 SH       SOLE             46333          0      43300
QUINTUS CORPORATION            COMM STK   748798105      850      42854 SH       SOLE             40941          0       1913
QUORUM HEALTH                  COMM STK   749084109     1972     190650 SH       SOLE             52750          0     137900
QWEST COMMUNICATIONS INT'L, IN COMM STK   749121109     2824      56830 SH       SOLE             29162          0      27668
R & B INC                      COMM STK   749124103     1217     458000 SH       SOLE             58000          0     400000
R&B FALCON CORPORATION         COMM STK   74912E101      237      10040 SH       SOLE              2500          0       7540
RGS ENERGY GROUP INC           COMM STK   74956K104      343      15400 SH       SOLE             14100          0       1300
RPM INC OHIO                   COMM STK   749685103      712      70300 SH       SOLE             65400          0       4900
RSA SECURITY INC               COMM STK   749719100     5520      79500 SH       SOLE             62100          0      17400
RF MICRO DEVICES INC.          COMM STK   749941100     1611      18400 SH       SOLE             15200          0       3200
RADIAN GROUP INC               COMM STK   750236101   163896    3167075 SH       SOLE            513353          0    2653722
RADIANT SYSTEMS INC            COMM STK   75025N102      924      38650 SH       SOLE             28600          0      10050
RADIO ONE INC                  COMM STK   75040P108     1369      46200 SH       SOLE             38700          0       7500
RADIO ONE INC                  COMM STK   75040P405     1575      71200 SH       SOLE             62800          0       8400
RADIO UNICA COMMUNICATIONS     COMM STK   75040Q106      690     101000 SH       SOLE               500          0     100500
TANDY CORPORATION              COMM STK   750438103    12826     270740 SH       SOLE             58220          0     212520
RAINBOW RENTALS                COMM STK   750857104     4767     416800 SH       SOLE             57000          0     359800
RAMBUS INC                     COMM STK   750917106      564       5480 SH       SOLE              2000          0       3480
RALSTON PURINA COMPANY         COMM STK   751277302    11572     580424 SH       SOLE            193240          0     387184
RANGER OIL LTD                 COMM STK   752805101       62      11200 SH       SOLE             11200          0          0
RARE HOSPITALITY INTL          COMM STK   753820109    18845     663400 SH       SOLE            242600          0     420800
RATIONAL SOFTWARE CORP         COMM STK   75409P202      603       6490 SH       SOLE              3190          0       3300
RAVEN INDUSTRIES INC           COMM STK   754212108     5668     399500 SH       SOLE             44500          0     355000
RAYMOND JAMES FINANCIAL        COMM STK   754730109     4656     206912 SH       SOLE            200812          0       6100
RAYONIER INC W.I.              COMM STK   754907103      800      22300 SH       SOLE              8200          0      14100
RAYOVAC                        COMM STK   755081106    21619     966200 SH       SOLE            101600          0     864600
RAYTHEON COMPANY               COMM STK   755111408     6759     351096 SH       SOLE            215748          0     135348
READERS DIGEST ASSN INC        COMM STK   755267101    89008    2239200 SH       SOLE            498000          0    1741200
READERS DIGEST ASSN INC        COMM STK   755267200    13927     380900 SH       SOLE             55100          0     325800
REALNETWORKS INC               COMM STK   75605L104   108152    2140300 SH       SOLE            233000          0    1907300
RECKSON ASSOCIATES REALTY CORP COMM STK   75621K106    43784    1843520 SH       SOLE             53600          0    1789920
RECKSON ASSOCIATES REALTY CORP CVPFSTKF   75621K205    15413     688850 SH       SOLE             17250          0     671600
RECKSON ASSOCIATES REALTY CORP COMM STK   75621K304     8295     326093 SH       SOLE             68136          0     257957
RED HAT INC                    COMM STK   756577102      461      17000 SH       SOLE              9400          0       7600
REDBACK NETWORKS               COMM STK   757209101     1285       7170 SH       SOLE              1900          0       5270
REEBOK INTL LTD                COMM STK   758110100    21045    1320444 SH       SOLE            494557          0     825887
REGENT COMMUNICATIONS INC      COMM STK   758865109     3779     440500 SH       SOLE            172800          0     267700
REGIONS FINANCIAL CORPORATION  COMM STK   758940100     2877     144968 SH       SOLE             62940          0      82028
RELIANT ENERGY, INC.           COMM STK   75952J108    85867    2904598 SH       SOLE            670555          0    2234043
RELIASTAR FINL CORP            COMM STK   75952U103     3545      67600 SH       SOLE             64700          0       2900
REMEDY CORPORATION             COMM STK   759548100     3403      61000 SH       SOLE             46800          0      14200
RENAL CARE GROUP INC           COMM STK   759930100    81397    3326550 SH       SOLE            482350          0    2844200
RENT WAY INC CO                COMM STK   76009U104      949      32500 SH       SOLE             24500          0       8000
REPSOL-YPF, S.A.               ADR        76026T205     2467     124500 SH       SOLE             29100          0      95400
REPUBLIC GROUP INC             COMM STK   760473108     6954     772700 SH       SOLE            271300          0     501400
REPUBLIC SERVICES, INC.        COMM STK   760759100   124266    7766600 SH       SOLE           1395400          0    6371200
RESTORATION HARDWARE INC       COMM STK   760981100       82      20000 SH       SOLE             20000          0          0
RESMED INC                     COMM STK   761152107    17778     664600 SH       SOLE            136400          0     528200
REUTERS GROUP PLC              ADR        76132M102      914      20871 SH       SOLE             19659          0       1212
REYNOLDS & REYNOLDS A          COMM STK   761695105     2338     128100 SH       SOLE             39800          0      88300
R.J. REYNOLDS TOBACCO HOLDINGS COMM STK   76182K105      307      10988 SH       SOLE              6633          0       4355
RHYTHMS NETCONNECTIONS         COMM STK   762430205    43583    3469300 SH       SOLE           1057800          0    2411500
RICHARSON ELECTRIC LTD.        COMM STK   763165107     9465     590400 SH       SOLE             35000          0     555400
RICHARSON ELECTRIC LTD.        CONV BND   763165AB3     3323    3516000 PRN      SOLE                 0          0    3516000
RIGGS NATIONAL CORPORATION     COMM STK   766570105      144      11400 SH       SOLE              8500          0       2900
RIGHT MANAGEMENT CONSULT       COMM STK   766573109     6006     562000 SH       SOLE             47000          0     515000
RIO TINTO PLC - REG            COMM STK   767204100     9709     893200 SH       SOLE             76900          0     816300
RITE AID CORP.                 COMM STK   767754104     2365     360338 SH       SOLE            206942          0     153396
ROBERT HALF INTL INC           COMM STK   770323103   125417    4400600 SH       SOLE           1111400          0    3289200
ROCKWELL INTERNATIONAL CORP.   COMM STK   773903109   114483    3634375 SH       SOLE            811730          0    2822645
ROGER COMMUNICATION INC        COMM STK   775109200    49562    1739000 SH       SOLE            376400          0    1362600
ROHM & HAAS COMPANY            COMM STK   775371107    11190     324352 SH       SOLE            133617          0     190735
ROPER INDUSTRIES INC           COMM STK   776696106     2388      93200 SH       SOLE             85800          0       7400
ROSLYN BANCORP                 COMM STK   778162107      171      10310 SH       SOLE              7510          0       2800
ROSS STORES INC                COMM STK   778296103     2793     164000 SH       SOLE            143300          0      20700
ROUSE COMPANY                  COMM STK   779273101   139726    5645500 SH       SOLE           1319000          0    4326500
ROUSE COMPANY                  CVPFSTKF   779273309    38721    1083100 SH       SOLE            543100          0     540000
ROWAN COMPANIES                COMM STK   779382100     1710      56293 SH       SOLE             20797          0      35496
RUBY TUESDAY INC               COMM STK   781182100    36940    2940500 SH       SOLE            919800          0    2020700
RURAL CELLULAR CORPORATION     COMM STK   781904107    18436     240700 SH       SOLE             31100          0     209600
RUSSELL CORP                   COMM STK   782352108      430      21475 SH       SOLE              9277          0      12198
RYDER SYSTEM INC.              COMM STK   783549108    15500     818479 SH       SOLE            273801          0     544678
RYERSON TULL INC NEW           COMM STK   78375P107     1554     149800 SH       SOLE             47100          0     102700
S & K FAMOUS BRANDS INC        COMM STK   783774102     3077     429000 SH       SOLE             29000          0     400000
SBC COMMUNICATIONS, INC.       COMM STK   78387G103   440369   10181949 SH       SOLE           2653510          0    7528439
SBS TECHNOLOGIES INC           COMM STK   78387P103      298       8100 SH       SOLE              4900          0       3200
SBA COMMUNICATIONS             COMM STK   78388J106    28042     539600 SH       SOLE             35400          0     504200
SCI SYSTEMS INC                COMM STK   783890106    75628    1929890 SH       SOLE            490000          0    1439890
SCP POOL                       COMM STK   784028102    39137    1674300 SH       SOLE            523550          0    1150750
SDL INC                        COMM STK   784076101   131814     462150 SH       SOLE            111450          0     350700
SEI CORP                       COMM STK   784117103     3488      86800 SH       SOLE             79500          0       7300
SFX ENTMT INC                  COMM STK   784178105    84161    1857350 SH       SOLE             79700          0    1777650
SLM HOLDING CORP.              COMM STK   78442A109     3642      97271 SH       SOLE             37200          0      60071
SLI INC                        COMM STK   78442T108     1311     108100 SH       SOLE             32200          0      75900
SPSS INCORPORATED              COMM STK   78462K102    26328     905900 SH       SOLE            290800          0     615100
SPX CORP                       COMM STK   784635104     4481      37050 SH       SOLE             11000          0      26050
SECURITY FIRST NETWORK         COMM STK   78463B101      231       9900 SH       SOLE              5200          0       4700
S-3 INCORPORATED               COMM STK   784849101     1662     113412 SH       SOLE             87112          0      26300
SABRE GROUP HLDGS INC.         COMM STK   785905100     3211     112661 SH       SOLE             35805          0      76856
SAFECO CORPORATION             COMM STK   786429100    76510    3843493 SH       SOLE            745148          0    3098345
SAFEGUARD SCIENTIFICS IN       COMM STK   786449108      295       9200 SH       SOLE              4500          0       4700
SAFEWAY INC.                   COMM STK   786514208   287568    6372705 SH       SOLE           1564610          0    4808095
SAGA COMMUNICATIONS            COMM STK   786598102    31787    1444850 SH       SOLE            176850          0    1268000
ST JUDE MEDICAL INC            COMM STK   790849103     2395      52215 SH       SOLE             20848          0      31367
ST. PAUL COMPANIES, INC.       COMM STK   792860108   146507    4293245 SH       SOLE            952584          0    3340661
SAKS INCORPORATED              COMM STK   79377W108      144      13750 SH       SOLE              8200          0       5550
SANDISK CORP                   COMM STK   80004C101      906      14800 SH       SOLE               900          0      13900
SANMINA CORPORATION            COMM STK   800907107   328340    3841640 SH       SOLE            590320          0    3251320
SANTA FE SNYDER CORP           COMM STK   80218K105     8203     721125 SH       SOLE            100125          0     621000
SAPIENT CORP COM               COMM STK   803062108     3838      35900 SH       SOLE             13700          0      22200
SARA LEE CORPORATION           COMM STK   803111103    23523    1218005 SH       SOLE            623924          0     594081
SAWTEK INC                     COMM STK   805468105     1956      34000 SH       SOLE             31400          0       2600
SCHEIN, HENRY INC              COMM STK   806407102    39455    2291400 SH       SOLE            220500          0    2070900
SCHERING-PLOUGH CORP.          COMM STK   806605101   241947    4791028 SH       SOLE           1812074          0    2978954
SCHLUMBERGER LTD               COMM STK   806857108   107533    1440976 SH       SOLE            218602          0    1222374
SCHOLASTIC CORPORATION         COMM STK   807066105     1243      20350 SH       SOLE             16050          0       4300
SCHOOL SPECIALTY INC           COMM STK   807863105     7460     402563 SH       SOLE              1887          0     400676
SCHULMAN A INC                 COMM STK   808194104     5900     490429 SH       SOLE            217104          0     273325
CHARLES SCHWAB CORP NEW        COMM STK   808513105    77856    2315407 SH       SOLE           1237235          0    1078172
SCIENT CORP                    COMM STK   80864H109     1174      26325 SH       SOLE               900          0      25425
SCIENTIFIC ATLANTA INC         COMM STK   808655104     8375     112414 SH       SOLE             52392          0      60022
SCOTTISH POWER PLC             ADR        81013T705    58123    1738261 SH       SOLE            466549          0    1271712
SCOTTS COMPANY CLASS A         COMM STK   810186106      409      11200 SH       SOLE               400          0      10800
SCRIPPS (E.W.) COMPANY         COMM STK   811054204      207       4200 SH       SOLE              1000          0       3200
SEACHANGE INTERNATIONAL INC    COMM STK   811699107      350      12100 SH       SOLE              7900          0       4200
SEAGATE TECHNOLOGY             COMM STK   811804103     7822     142214 SH       SOLE             58286          0      83928
SEAGRAM COMPANY LTD. (THE)     COMM STK   811850106    25047     431850 SH       SOLE            101168          0     330682
SEACOR SMIT INC                COMM STK   811904101    25901     669500 SH       SOLE            202650          0     466850
SEALED AIR CORPORATION         COMM STK   81211K100     5521     105414 SH       SOLE             69765          0      35649
SEARS ROEBUCK & CO.            COMM STK   812387108     9822     301060 SH       SOLE             92575          0     208485
SECURITY CAPITAL US REALTY     ADR        814136206      917      51200 SH       SOLE             27200          0      24000
SECURITY CAPITAL GROUP INC     COMM STK   81413P204     2370     139400 SH       SOLE            125000          0      14400
SELESCT COMFORT CORPORATION    COMM STK   81616X103      333      50000 SH       SOLE             50000          0          0
SELECTICA INC                  COMM STK   816288104    49949     715150 SH       SOLE             30200          0     684950
SELECTIVE INSURANCE GRP        COMM STK   816300107     4091     217100 SH       SOLE             47800          0     169300
SEMTECH CORP                   COMM STK   816850101     4757      62800 SH       SOLE             50200          0      12600
SEMPRA ENERGY                  COMM STK   816851109     2457     144558 SH       SOLE             56638          0      87920
SENECA FOODS CORP              COMM STK   817070105     1275     106800 SH       SOLE             26800          0      80000
SENECA FOODS CORP              COMM STK   817070501     2812     240600 SH       SOLE             49500          0     191100
SEPRACOR INC                   COMM STK   817315104   138514    1148300 SH       SOLE            294800          0     853500
SERENA COFTWARE INC            COMM STK   817492101      994      21900 SH       SOLE             15900          0       6000
SEROLOGICALS CORPORATION       COMM STK   817523103    13355    2654350 SH       SOLE            237600          0    2416750
SERVICE CORPORATION INTERNATIO COMM STK   817565104       41      12871 SH       SOLE              3471          0       9400
SERVICEMASTER CO               COMM STK   81760N109    27017    2375125 SH       SOLE            117800          0    2257325
724 SOLUTIONS INC              COMM STK   81788Q100      708      16200 SH       SOLE              2800          0      13400
SHARED MED SYSTEMS CORP        COMM STK   819486101     1357      18600 SH       SOLE             17000          0       1600
SHAW INDUSTRIES INC            COMM STK   820286102      206      16500 SH       SOLE             10200          0       6300
SHELL TRAN&TRADE NY SHR        ADR        822703609     3625      72600 SH       SOLE             14300          0      58300
SHERWIN-WILLIAMS CO.           COMM STK   824348106     3719     175540 SH       SOLE            109910          0      65630
SHILOH INDUSTRIES INC          COMM STK   824543102     2842     292400 SH       SOLE                 0          0     292400
SHIRE PHARMACEUTICALS GROUP    ADR        82481R106   139153    2679241 SH       SOLE            579883          0    2099358
SHOPKO STORES INC.             COMM STK   824911101    21454    1395400 SH       SOLE            294800          0    1100600
SIEBEL SYS INC                 COMM STK   826170102   212574    1299400 SH       SOLE            325700          0     973700
SIGMA ALDRICH CORP             COMM STK   826552101     3270     111684 SH       SOLE             74079          0      37605
SILICON GRAPHICS               COMM STK   827056102       78      20900 SH       SOLE              2500          0      18400
SILICON VALLEY BANCSHRS        COMM STK   827064106    76043    1782700 SH       SOLE            484100          0    1298600
SILVERSTREAM SOFTWARE INC      COMM STK   827907106     1225      21200 SH       SOLE               300          0      20900
SIMON PROPERTY GROUP, INC.     COMM STK   828806109   135890    6124626 SH       SOLE           1026779          0    5097847
SIMPSON MFG CO INC             COMM STK   829073105     9888     206800 SH       SOLE             51900          0     154900
SINCLAIR BROADCAST GROUP       COMM STK   829226109    35635    3248800 SH       SOLE            522800          0    2726000
SITEL                          COMM STK   82980K107     7420    1502700 SH       SOLE               800          0    1501900
SIPEX CORP COM                 COMM STK   829909100    69688    2514100 SH       SOLE            433300          0    2080800
SKYLINE CORP                   COMM STK   830830105    13597     632400 SH       SOLE            165400          0     467000
SKYWEST INC                    COMM STK   830879102      319       8600 SH       SOLE              5900          0       2700
SMARTFORCE PLC                 ADR        83170A206    25378     529400 SH       SOLE                 0          0     529400
SMITH (A.O.) CORP              COMM STK   831865209    38462    1837000 SH       SOLE            509450          0    1327550
SMITH INTERNATIONAL            COMM STK   832110100   167927    2306300 SH       SOLE            407300          0    1899000
SMITH CHARLES RESIDNTL         COMM STK   832197107      787      20700 SH       SOLE               300          0      20400
SMITH FIELD FOODS              COMM STK   832248108      558      19900 SH       SOLE             14600          0       5300
SMITHKLINE BEECHAM PLC         ADR        832378301    10564     162056 SH       SOLE             32856          0     129200
SMURFIT STONE CONTAINER CORP   COMM STK   832727101    12121     943690 SH       SOLE            165600          0     778090
SNAP-ON INCORPORATED           COMM STK   833034101     1004      37711 SH       SOLE             16322          0      21389
SOFTWARE COM INC               COMM STK   83402P104     1247       9600 SH       SOLE              6400          0       3200
SOLA INTERNATIONAL INC         COMM STK   834092108     6572    1348200 SH       SOLE            255700          0    1092500
SOLECTRON CORP                 COMM STK   834182107   617680   14750570 SH       SOLE           2064604          0   12685966
SOLUTIA INC                    COMM STK   834376105      560      40760 SH       SOLE              9900          0      30860
SONIC INC                      COMM STK   835451105    56042    1905800 SH       SOLE            263400          0    1642400
SONIC AUTOMOTIVE INC           COMM STK   83545G102    10688    1000000 SH       SOLE                 0          0    1000000
SONICWALL INC                  COMM STK   835470105    36573     415450 SH       SOLE              4000          0     411450
SONOCO PRODUCTS COMPANY        COMM STK   835495102     3856     187545 SH       SOLE             56810          0     130735
SOURCE INFORMATION MGMT        COMM STK   836151209     8386     551000 SH       SOLE             99300          0     451700
SOUTHDOWN, INC.                COMM STK   841297104     8362     144800 SH       SOLE             23200          0     121600
SOUTHERN COMPANY               COMM STK   842587107   121056    5192753 SH       SOLE           1253231          0    3939522
SOUTHTRUST CORPORATION         COMM STK   844730101     2356     103971 SH       SOLE             40100          0      63871
SOUTHWEST AIRLINES CO.         COMM STK   844741108     6799     359038 SH       SOLE            164883          0     194155
SOUTHWEST BANCORP OF TEX       COMM STK   84476R109    32407    1557100 SH       SOLE            470300          0    1086800
SOUTHWEST WATER CO             COMM STK   845331107     1136      87400 SH       SOLE             69400          0      18000
SOVEREIGN BANCORP INC          COMM STK   845905108      139      19660 SH       SOLE              8840          0      10820
SPARTECH CORP                  COMM STK   847220209     1844      68300 SH       SOLE             55000          0      13300
SPECTRA PHYSICS LASERS INC     COMM STK   847568102      459       6600 SH       SOLE              4000          0       2600
SPECTRIAN CORP                 COMM STK   847608106     1049      62500 SH       SOLE             46600          0      15900
SPECTRASITE HLDGS INC COM      COMM STK   84760T100    27159     956100 SH       SOLE            152900          0     803200
SPEEDWAYMOTORSPORTS            COMM STK   847788106    11553     502300 SH       SOLE               500          0     501800
SPIEKER PROPERTIES, INC.       COMM STK   848497103    10690     232400 SH       SOLE              3800          0     228600
SPRINGS INDS INC               COMM STK   851783100      400      12429 SH       SOLE              6662          0       5767
SPRINT CORPORATION             COMM STK   852061100    56424    1106354 SH       SOLE            316358          0     789996
SPRINT CORPORATION             COMM STK   852061506   159338    2677956 SH       SOLE            645244          0    2032712
EDGEWATER TECHNOLOGY INC       COMM STK   852389105    13013    1950400 SH       SOLE            434600          0    1515800
STAMPS COM INC                 COMM STK   852857101      379      51700 SH       SOLE             50500          0       1200
STANCORP FINANCIAL GROUP       COMM STK   852891100      626      19500 SH       SOLE             14000          0       5500
STANLEY FURNITURE INC          COMM STK   854305208    14092     644200 SH       SOLE            204600          0     439600
STANLEY WORKS                  COMM STK   854616109   108254    4558077 SH       SOLE           1084936          0    3473141
STAPLES INC                    COMM STK   855030102     6111     396668 SH       SOLE            157975          0     238693
STARBUCKS CORP                 COMM STK   855244109    10904     285300 SH       SOLE            155900          0     129400
STARWOOD HOTEL & RESTAURANTS   COMM STK   85590A203   256050    7863343 SH       SOLE           1507177          0    6356166
STATE STREET CORPORATION       COMM STK   857477103   180695    1703666 SH       SOLE            474503          0    1229163
STEIN MART INC                 COMM STK   858375108    13847    1371800 SH       SOLE            570500          0     801300
STERLING BANCSHARES TX         COMM STK   858907108      804      74100 SH       SOLE             53800          0      20300
STERILE RECOVERIES INC         COMM STK   859151102     2477     314500 SH       SOLE             52000          0     262500
STERIS CORPORATION             COMM STK   859152100     6359     716500 SH       SOLE            143400          0     573100
STEWART & STEVENSON SERV       COMM STK   860342104      172      11400 SH       SOLE              4400          0       7000
STEWART ENTERPRISES CL A       COMM STK   860370105       51      14700 SH       SOLE             12900          0       1800
STILLWATER MINING CO.          COMM STK   86074Q102      502      18000 SH       SOLE             13100          0       4900
STONE ENERGY CORP.             COMM STK   861642106      950      15900 SH       SOLE             14800          0       1100
STORAGE TECH                   COMM STK   862111200      264      24100 SH       SOLE              9900          0      14200
STRATEGIC DIAGNOSTICS          COMM STK   862700101      799     143720 SH       SOLE            143720          0          0
STRATTEC SECURITY CORP         COMM STK   863111100    18216     552000 SH       SOLE             59600          0     492400
STRAYER EDUCATION              COMM STK   863236105    35059    1466500 SH       SOLE            205700          0    1260800
STRIDE RITE CORP               COMM STK   863314100     7358    1201300 SH       SOLE            224500          0     976800
STRYKER CORP                   COMM STK   863667101     3344      76432 SH       SOLE             60764          0      15668
SUMMIT BANCORP COM             COMM STK   866005101    16469     668800 SH       SOLE            118014          0     550786
SUN COMMUNITIES INC            COMM STK   866674104    20852     623600 SH       SOLE            137000          0     486600
SUN MICROSYSTEMS INC           COMM STK   866810104   876900    9639570 SH       SOLE           1589276          0    8050294
SUNBEAM CORP                   CONV BND   867071AA0     8510   59000000 PRN      SOLE                 0          0   59000000
SUNGARD DATA SYSTEMS           COMM STK   867363103   139413    4497183 SH       SOLE            611783          0    3885400
SUNOCO INC                     COMM STK   86764P109     1762      59858 SH       SOLE             24140          0      35718
SUNTRUST BANKS INC.            COMM STK   867914103    11565     253141 SH       SOLE            130791          0     122350
SUNSOURCE INC                  COMM STK   867948101     3019     596400 SH       SOLE             59300          0     537100
SUPERIOR INDUSTRIES INTL       COMM STK   868168105      309      12000 SH       SOLE              3500          0       8500
SUPERIOR SURGICAL MFG          COMM STK   868358102      445      51200 SH       SOLE                 0          0      51200
SUPERTEX INC                   COMM STK   868532102      427       8500 SH       SOLE              3700          0       4800
SUPERVALU INC.                 COMM STK   868536103     1666      87377 SH       SOLE             35207          0      52170
SWIFT TRANSPORTATION INC       COMM STK   870756103      941      67050 SH       SOLE             49725          0      17325
SYBASE INC                     COMM STK   871130100     1854      80500 SH       SOLE             55800          0      24700
SYCAMORE NETWORKS INC          COMM STK   871206108     3555      32200 SH       SOLE              3300          0      28900
SYLVAN INC                     COMM STK   871371100     5127     558000 SH       SOLE             38000          0     520000
SYLVAN LEARNING SYS            COMM STK   871399101    27499    2004519 SH       SOLE               617          0    2003902
SYMANTEC CORP                  COMM STK   871503108     5184      96060 SH       SOLE             82400          0      13660
SYMBOL TECHNOLOGY INC          COMM STK   871508107    17580     325547 SH       SOLE            289410          0      36137
SYMYX TECH INC                 COMM STK   87155S108     6925     162230 SH       SOLE             53043          0     109187
SYNALLOY CORP                  COMM STK   871565107     3183     463000 SH       SOLE             10000          0     453000
SYNOPSYS INC                   COMM STK   871607107   141753    4105063 SH       SOLE            382863          0    3722200
SYNOVUS FINANCIAL CORP         COMM STK   87161C105     2995     169921 SH       SOLE             65142          0     104779
SYNTELLECT INC                 COMM STK   87161L105     4298     672500 SH       SOLE                 0          0     672500
SYSCO CORPORATION              COMM STK   871829107    38705     918812 SH       SOLE            698476          0     220336
TBC CORP                       COMM STK   872180104     7957    1732200 SH       SOLE            272200          0    1460000
TCF FINANCIAL CORP             COMM STK   872275102     4351     169400 SH       SOLE             57100          0     112300
TECO ENERGY, INC.              COMM STK   872375100    10602     528430 SH       SOLE             90970          0     437460
T-HQ INC NEW                   COMM STK   872443403      823      68050 SH       SOLE             48300          0      19750
TJX COMPANIES INC              COMM STK   872540109   120135    6407187 SH       SOLE           1066960          0    5340227
TRW INC.                       COMM STK   872649108     4566     105278 SH       SOLE             30107          0      75171
TMP WORLDWIDE                  COMM STK   872941109    85328    1156500 SH       SOLE            176900          0     979600
TV GUIDE INC CL A              COMM STK   87307Q109      285       8300 SH       SOLE              2000          0       6300
TEXAS UTILITIES COMPANY        COMM STK   873168108     8702     294998 SH       SOLE             97048          0     197950
TAB PRODUCTS                   COMM STK   873197107     1490     372500 SH       SOLE             39500          0     333000
TACO CABANA INC CL A           COMM STK   873425102     1297     201400 SH       SOLE              1400          0     200000
TALBOTS INC                    COMM STK   874161102     1209      22000 SH       SOLE             15700          0       6300
TALK CITY INC                  COMM STK   874263106      206      95593 SH       SOLE             95593          0          0
TEL-SAVE HOLDINGS INC          COMM STK   874264104       68      11800 SH       SOLE              7100          0       4700
DAYTON HUDSON CORP.            COMM STK   87612E106   185277    3194436 SH       SOLE            861978          0    2332458
TECH DATA CORP                 COMM STK   878237106    93520    2148340 SH       SOLE            467700          0    1680640
TECHNE CORP                    COMM STK   878377100     4323      33000 SH       SOLE             24100          0       8900
TECHNITROL INC                 COMM STK   878555101    55199     569800 SH       SOLE            212900          0     356900
TECK CORPORATION CLASS B       CONV BND   878742AB1    21470   28250000 PRN      SOLE          14250000          0   14000000
TEKTRONIX INC                  COMM STK   879131100     2129      28776 SH       SOLE             11237          0      17539
TELE SUDESTE CELULAR PART SA   ADR        879252104      438       9400 SH       SOLE              2080          0       7320
TELECOM NEW ZEALAND ADR        ADR        879278208     1229      43700 SH       SOLE             13100          0      30600
TELECOMUNICACOES BRASL         ADR        879287308     4788      49300 SH       SOLE             12400          0      36900
TELECOMUNICAOIS DE SAO PAOLO   ADR        87929A102     1302      47000 SH       SOLE             10400          0      36600
TELEFLEX INC                   COMM STK   879369106   105295    2841000 SH       SOLE            534600          0    2306400
TELEFONICA DE ESPANA S.A.      ADR        879382208     4838      75522 SH       SOLE             14552          0      60970
TELEFONOS DE MEXICO SA         ADR        879403780     7143     125050 SH       SOLE             23350          0     101700
TELEPHONE & DATA SYSTEMS INC.  COMM STK   879433100      832       8300 SH       SOLE              6100          0       2200
TELE1 EUROPE HOLDING AB-ADR    ADR        87944T201     3362     277982 SH       SOLE              9903          0     268079
TELESP CELULAR PART SA         ADR        87952L108    21221     472900 SH       SOLE             60900          0     412000
TELLABS INC                    COMM STK   879664100    78799    1150880 SH       SOLE            315838          0     835042
TEMPLE-INLAND INC.             COMM STK   879868107     1503      35788 SH       SOLE             13418          0      22370
TENET HEALTHCARE CORPORATION   COMM STK   88033G100     5178     191764 SH       SOLE             74275          0     117489
TERADYNE INC                   COMM STK   880770102    14009     190600 SH       SOLE            119300          0      71300
TEREX CORP                     COMM STK   880779103      534      37800 SH       SOLE             27900          0       9900
TERUMO CORPORATION             COMM STK   880999990   624660     174000 SH       SOLE             42000          0     132000
TEVA PHARMACEUTICAL ADR        ADR        881624209   122253    2204000 SH       SOLE            479200          0    1724800
TETRA TECHNOLOGIES DEL         COMM STK   88162F105    10740     757000 SH       SOLE            354800          0     402200
TETRA TECH INC.                COMM STK   88162G103    53052    2316045 SH       SOLE            283272          0    2032773
TEXACO INC.                    COMM STK   881694103   303166    5693263 SH       SOLE           1582284          0    4110979
TEXAS INDUSTRIES INC           COMM STK   882491103     1063      36800 SH       SOLE              8800          0      28000
TEXAS INSTRUMENTS, INC.        COMM STK   882508104   927558   13504032 SH       SOLE           2281300          0   11222732
TEXAS REGIONAL BANCSHARE       COMM STK   882673106     1302      50800 SH       SOLE               200          0      50600
TEXTRON INC.                   COMM STK   883203101    40825     751665 SH       SOLE             93748          0     657917
THERAGENICS CORP               COMM STK   883375107      710      82900 SH       SOLE             61900          0      21000
THERMO ELECTRON CORP           COMM STK   883556102     2581     122560 SH       SOLE             44020          0      78540
THOMAS & BETTS CORPORATION     COMM STK   884315102      683      35693 SH       SOLE             13902          0      21791
THOMAS INDUSTIRES INC          COMM STK   884425109     9661     546200 SH       SOLE            179300          0     366900
3COM CORP.                     COMM STK   885535104    31557     547931 SH       SOLE            133435          0     414496
THREE FIVE SYSTEMS INC         COMM STK   88554L108     1360      23050 SH       SOLE             16800          0       6250
TIBCO SOFTWARE  INC            COMM STK   88632Q103    15624     145765 SH       SOLE            114746          0      31019
TIDEWATER INC                  COMM STK   886423102   114811    3189200 SH       SOLE            621100          0    2568100
TIER TECHNOLOGIES INC.         COMM STK   88650Q100     6706    1251300 SH       SOLE                 0          0    1251300
TIFFANY & CO NEW               COMM STK   886547108    13684     202720 SH       SOLE            166450          0      36270
TIMBERLAND CO CLASS A          COMM STK   887100105      758      10700 SH       SOLE              7700          0       3000
TIME WARNER COMPANIES, INC.    COMM STK   887315109   133249    1753271 SH       SOLE            639134          0    1114137
TIME WARNER TELECOM INC        COMM STK   887319101    25198     390660 SH       SOLE             82300          0     308360
TIMKEN CO                      COMM STK   887389104      804      43170 SH       SOLE             21803          0      21367
TITAN CORP                     COMM STK   888266103      774      17300 SH       SOLE             11600          0       5700
TOLL BROTHERS INC              COMM STK   889478103    10279     501400 SH       SOLE               300          0     501100
TOLLGRADE COMMUNICATIONS       COMM STK   889542106      400       3000 SH       SOLE              2300          0        700
TOMKINS PLC ADR                ADR        890030208      490      38237 SH       SOLE             26317          0      11920
TOOTSIE ROLL INDS INC          COMM STK   890516107     6686     191026 SH       SOLE            185961          0       5065
TOPPS INC                      COMM STK   890786106     1212     106300 SH       SOLE             81200          0      25100
TORCHMARK CORPORATION          COMM STK   891027104     4042     163729 SH       SOLE             37604          0     126125
TOSCO CORPORATION              COMM STK   891490302     2579      91100 SH       SOLE             36800          0      54300
TOTAL RENAL CARE HOLDING       COMM STK   89151A107    11702    1950333 SH       SOLE              5200          0    1945133
TOTAL FINA ELF S.A.            ADR        89151E109    32125     418228 SH       SOLE             41966          0     376262
TOTAL SYSTEM SERVICES          COMM STK   891906109      159      10000 SH       SOLE              2500          0       7500
TOYS R US INC.                 COMM STK   892335100   183280   12585749 SH       SOLE           3004805          0    9580944
TRACTOR SUPPLY CO              COMM STK   892356106    16557     997800 SH       SOLE            197800          0     800000
TRAMMELL CROW CO.              COMM STK   89288R106    14695    1367000 SH       SOLE             69200          0    1297800
TRANSATLANTIC HLDGS INC        COMM STK   893521104      420       5020 SH       SOLE              3600          0       1420
TRANSKARYOTIC THERAPIES INC    COMM STK   893735100     2496      67966 SH       SOLE             13966          0      54000
TRANSPORT CORP OF AMERIC       COMM STK   89385P102     3990     593800 SH       SOLE             40000          0     553800
TRANSTECHNOLOGY CORP           COMM STK   893889105     5686     516900 SH       SOLE            181100          0     335800
TRANSMONTAIGNE OIL CO          COMM STK   893934109      417      68100 SH       SOLE             68100          0          0
TRANSWITCH CORPORATION         COMM STK   894065101     3481      45075 SH       SOLE             33650          0      11425
TREGA BIOSCIENCES INC          COMM STK   894699107      186      59000 SH       SOLE             27000          0      32000
TREGA BIOSCIENCES INC          COMM STK   894699107     5681    2000000 SH       SOLE            226000          0    1774000
TREX COMPANY INC               COMM STK   89531P105     4155      83100 SH       SOLE             15200          0      67900
TRIANGLE PHARMACEUTICALS INC   COMM STK   89589H104    28388    3089800 SH       SOLE            505600          0    2584200
TRIAD GTY INC                  COMM STK   895925105    12436     542900 SH       SOLE            223500          0     319400
TRICON GLOBAL RESTAURANT       COMM STK   895953107    12157     430333 SH       SOLE             54189          0     376144
TRIBUNE COMPANY                COMM STK   896047107    11748     335649 SH       SOLE             80202          0     255447
TRICO MARINE SVCS INC          COMM STK   896106101     2261     176900 SH       SOLE               300          0     176600
TRIMERIS INC.                  COMM STK   896263100    28155     402400 SH       SOLE             28900          0     373500
TRIQUINT SEMICONDUCTOR         COMM STK   89674K103     2492      26050 SH       SOLE             18800          0       7250
TRIUMPH GROUP INCORPORAT       COMM STK   896818101      775      27800 SH       SOLE             22700          0       5100
TRIZEC HAHN CORP SUB VTG       COMM STK   896938107      983      55000 SH       SOLE                 0          0      55000
AUTOCYTE INC                   COMM STK   896942109      292      47473 SH       SOLE             39570          0       7903
TRUE NORTH                     COMM STK   897844106     2948      67000 SH       SOLE             61800          0       5200
TUPPERWARE CORPORATION         COMM STK   899896104    45284    2058361 SH       SOLE            460183          0    1598178
TUSCARORA INC                  COMM STK   900902107    12947     845500 SH       SOLE            104800          0     740700
TWEETER HOME ENTERTAINMENT     COMM STK   901167106    31809    1058100 SH       SOLE            193200          0     864900
24/7 MEDIA INC                 COMM STK   901314104      267      17140 SH       SOLE             12940          0       4200
TYCO INTERNATIONAL LTD.        COMM STK   902124106   536832   11331553 SH       SOLE           2902430          0    8429123
TYSON FOODS, INC.              COMM STK   902494103      194      22205 SH       SOLE             13700          0       8505
UAL CORP                       COMM STK   902549500     1909      32800 SH       SOLE               700          0      32100
UCBH HOLDINGS INC              COMM STK   90262T308     4718     177000 SH       SOLE             23000          0     154000
USX CORPORATION                COMM STK   902905827   191424    7637849 SH       SOLE           1010639          0    6627210
UST INC.                       COMM STK   902911106    88948    6056067 SH       SOLE           1381045          0    4675022
U.S. BANCORP                   COMM STK   902973106    14992     778827 SH       SOLE            367883          0     410944
US LIQUIDS INC                 COMM STK   902974104     1928     350600 SH       SOLE                 0          0     350600
USA NETWORKS, INC.             COMM STK   902984103     2475     114292 SH       SOLE             90876          0      23416
US CAN                         COMM STK   90328W105    23342    1343400 SH       SOLE            221000          0    1122400
USG CORP                       COMM STK   903293405      589      19400 SH       SOLE              2900          0      16500
U S AGGREGATES INC             COMM STK   90334D109    19348    1067500 SH       SOLE            327000          0     740500
U S INTERACTIVE INC COM        COMM STK   90334M109     8707     671365 SH       SOLE             48715          0     622650
USX US STEEL GROUP             COMM STK   90337T101     9512     512457 SH       SOLE             78714          0     433743
UTI ENERGY CORP       CO       COMM STK   903387108     2351      58600 SH       SOLE             44100          0      14500
US UNWIRED INC                 COMM STK   90338R104     6594     500000 SH       SOLE                 0          0     500000
US ONCOLOGY INC                COMM STK   90338W103      359      72810 SH       SOLE             71052          0       1758
ULTIMATE ELECTRONICS           COMM STK   903849107     8034     300000 SH       SOLE                 0          0     300000
ULTRAMAR DIAMOND SHAMROCK CORP COMM STK   904000106      479      19300 SH       SOLE              7500          0      11800
UNIBANCO                       ADR        90458E107      365      12700 SH       SOLE              4100          0       8600
UNIFI INC.                     COMM STK   904677101    15076    1218300 SH       SOLE            416500          0     801800
UNIFIRST CORP                  COMM STK   904708104     1122     142500 SH       SOLE             79000          0      63500
UNILEVER NV                    ADR        904784709    18246     424326 SH       SOLE            171562          0     252764
UNICOM INC.                    COMM STK   904911104   165975    4290134 SH       SOLE            808574          0    3481560
UNION CARBIDE CORPORATION      COMM STK   905581104     5285     106765 SH       SOLE             56443          0      50322
UNION PACIFIC CORPORATION      COMM STK   907818108   158061    4250387 SH       SOLE            992943          0    3257444
UNION PACIFIC RESOURCES GROUP  COMM STK   907834105    23575    1071610 SH       SOLE            182297          0     889313
UNION PLANTERS CORP.           COMM STK   908068109     2420      86624 SH       SOLE             35100          0      51524
UNIONSOURCE ENERGY CORP HOLDIN COMM STK   909205106    26052    1736800 SH       SOLE            814300          0     922500
UNISYS CORPORATION             COMM STK   909214108    55339    3800131 SH       SOLE            632769          0    3167362
UNITED DOMINION REALTY TRUST I COMM STK   910197102      895      81400 SH       SOLE             78400          0       3000
UNITED PARCEL SERVICE, INC.    COMM STK   911312106     6638     112500 SH       SOLE              2100          0     110400
UNITED RENTALS INC             COMM STK   911363109    72132    4212100 SH       SOLE            787600          0    3424500
UNITED STATES CELLULAR CORP.   COMM STK   911684108    10874     172600 SH       SOLE             46800          0     125800
US AIRWAYS GROUP, INC.         COMM STK   911905107     1750      44862 SH       SOLE             16743          0      28119
US WEST, INC.                  COMM STK   91273H101    91514    1067221 SH       SOLE            332424          0     734797
ADTL UNITED STATIONERS INC.    COMM STK   913004107    56643    1747900 SH       SOLE            129700          0    1618200
UNITED TECHNOLOGIES CORP.      COMM STK   913017109   128494    2182493 SH       SOLE            450145          0    1732348
UNITED WATER RESOURCES INC.    COMM STK   913190104    11690     335200 SH       SOLE            134400          0     200800
UNITEDGLOBALCOM INC CL A       COMM STK   913247508    18165     388300 SH       SOLE             62400          0     325900
UNITEDHEALTH GROUP INC         COMM STK   91324P102   305017    3557046 SH       SOLE            899616          0    2657430
UNITRIN INC                    COMM STK   913275103     5614     190900 SH       SOLE             93500          0      97400
UNIVERSAL FOODS CORP           COMM STK   913538104      414      22400 SH       SOLE              6000          0      16400
UNIVERSAL HEALTH SVS           COMM STK   913903100     2329      35550 SH       SOLE             26300          0       9250
UNO RESTAURANT CORP            COMM STK   914900105    11028    1031900 SH       SOLE             99700          0     932200
UNIVISION COMMUNICATIONS INC   COMM STK   914906102    53758     519400 SH       SOLE            150300          0     369100
UNOCAL CORPORATION             COMM STK   915289102   211137    6373938 SH       SOLE           1255326          0    5118612
UNUMPROVIDENT CORP.            COMM STK   91529Y106   139603    6958409 SH       SOLE           1628396          0    5330013
US FREIGHTWAYS CORP            COMM STK   916906100      873      35600 SH       SOLE             27100          0       8500
URBAN OUTFITTERS INC           COMM STK   917047102    18590    2102000 SH       SOLE            316300          0    1785700
USINTERNETWORKING INC          COMM STK   917311805    41272    2022500 SH       SOLE            109325          0    1913175
UTILICORP UNITED INC.          COMM STK   918005109     1076      54150 SH       SOLE             50550          0       3600
VA LINUX SYSTEMS INC           COMM STK   91819B105     3976      92409 SH       SOLE             20797          0      71612
VYYO INC                       COMM STK   918458100    14021     518700 SH       SOLE             78700          0     440000
VAIL RESORTS INC               COMM STK   91879Q109    10471     641900 SH       SOLE              2300          0     639600
VALASSIS COMMUNICATIONS        COMM STK   918866104     6424     168500 SH       SOLE            110800          0      57700
VALENTIS INC                   COMM STK   91913E104      255      21764 SH       SOLE              3700          0      18064
VALERO ENERGY CORP             COMM STK   91913Y100      324      10200 SH       SOLE              8100          0       2100
VALLEY NATIONAL GASES INC      COMM STK   919792101     3209     744200 SH       SOLE             47000          0     697200
VALSPAR CORP                   COMM STK   920355104    12009     355820 SH       SOLE            200080          0     155740
VALUE LINE INC                 COMM STK   920437100      453      11700 SH       SOLE              8300          0       3400
VANS INC                       COMM STK   921930103      629      43200 SH       SOLE             29800          0      13400
VARI-L CO INC                  COMM STK   922150107      153      13100 SH       SOLE              7800          0       5300
VARIAN INC                     COMM STK   922206107     3263      70800 SH       SOLE             55600          0      15200
VARIAN SEMICONDUCTOR EQUIP     COMM STK   922207105     1383      22000 SH       SOLE             15900          0       6100
VARIAN MEDICAL SYSTEMS         COMM STK   92220P105      286       7300 SH       SOLE              5700          0       1600
VASTAR RESOURCES INC.          COMM STK   922380100    24933     303600 SH       SOLE             73900          0     229700
VECTREN CORPORATION            COMM STK   92240G101     7636     442665 SH       SOLE             38833          0     403832
VELCRO INDUSTRIES N V          COMM STK   922571104     4355     385000 SH       SOLE             22000          0     363000
VERDANT BRANDS                 COMM STK   923366207       13      30000 SH       SOLE             30000          0          0
VERIO                          COMM STK   923433106     2001      36070 SH       SOLE             32400          0       3670
VERITAS SOFTWARE CO            COMM STK   923436109   536227    4746685 SH       SOLE            803585          0    3943100
VERITY INC                     COMM STK   92343C106    34578    1021700 SH       SOLE             70100          0     951600
VERISIGN INC                   COMM STK   92343E102   480982    2727525 SH       SOLE            302134          0    2425391
VERITAS DGC INC                COMM STK   92343P107     1193      45900 SH       SOLE             45100          0        800
VIACOM INC.                    COMM STK   925524100      615       9000 SH       SOLE                 0          0       9000
VIACOM INC.                    COMM STK   925524308   401707    5891211 SH       SOLE           1710792          0    4180419
VIATEL INC.                    COMM STK   925529208     1092      38278 SH       SOLE             36800          0       1478
VIAD CORP                      COMM STK   92552R109   130405    4785500 SH       SOLE            823000          0    3962500
VIASAT INC.                    COMM STK   92552V100      859      15900 SH       SOLE             11900          0       4000
VIANT CORP                     COMM STK   92553N107    35249    1188600 SH       SOLE            300600          0     888000
VICAL INC                      COMM STK   925602104      687      35800 SH       SOLE             26200          0       9600
VICOR CORP                     COMM STK   925815102      512      14700 SH       SOLE              1700          0      13000
VIGNETTE CORP                  COMM STK   926734104     3804      73114 SH       SOLE             66214          0       6900
VIRATA CORP                    COMM STK   927646109    13748     230100 SH       SOLE            125900          0     104200
VIROPHARMA INC                 COMM STK   928241108    10585     674751 SH       SOLE             95251          0     579500
VISHAY INTERTECHNOLOGY         COMM STK   928298108      369       9717 SH       SOLE              3712          0       6005
VISIBLE GENETICS INC           COMM STK   92829S104    19377     430000 SH       SOLE             19000          0     411000
VISTEON CORPORATION            COMM STK   92839U107     1655     136466 SH       SOLE             49608          0      86858
VISUAL NETWORKS INC            COMM STK   928444108     4988     175200 SH       SOLE             58800          0     116400
VISX INC DE                    COMM STK   92844S105      204       7300 SH       SOLE              4000          0       3300
VITESSE SEMICONDUCTOR          COMM STK   928497106     7208      97940 SH       SOLE             82540          0      15400
VITRIA TECHNOLOGY INC          COMM STK   92849Q104    66293    1084000 SH       SOLE            420700          0     663300
VIXEL CORP                     COMM STK   928552108      874     105995 SH       SOLE             85880          0      20115
VODAFONE AIRTOUCH PLC          ADR        92857T107   860876   20775290 SH       SOLE           3152850          0   17622440
VOICESTREAM WIRELESS           COMM STK   928615103   234614    2017099 SH       SOLE            271041          0    1746058
VORNADO REALTY TRUST           COMM STK   929042109    10762     309700 SH       SOLE             26200          0     283500
VULCAN MATERIALS COMPANY       COMM STK   929160109     2664      62400 SH       SOLE             25100          0      37300
W D 40 COMPANY                 COMM STK   929236107      706      34000 SH       SOLE             34000          0          0
WACHOVIA CORPORATION           COMM STK   929771103     8863     163381 SH       SOLE             84260          0      79121
WADDELL & REED FINANCIAL       COMM STK   930059100   121873    3714215 SH       SOLE           1075442          0    2638773
WADDELL & REED FINANCIAL       COMM STK   930059209   147057    5060011 SH       SOLE            452534          0    4607477
WAL-MART STORES INC.           COMM STK   931142103   550372    9550926 SH       SOLE           3446576          0    6104350
WALGREEN COMPANY               COMM STK   931422109    24908     773845 SH       SOLE            387756          0     386089
WASHINGTON GAS LIGHT CO.       COMM STK   938837101      294      12200 SH       SOLE             10000          0       2200
WASHINGTON MUTUAL INC.         COMM STK   939322103    29680    1027892 SH       SOLE            357257          0     670635
WASHINGTON POST COMPANY        COMM STK   939640108    43044      90050 SH       SOLE             39920          0      50130
WASHINGTON REAL ESTATE         COMM STK   939653101      450      25200 SH       SOLE             24500          0        700
WASTE CONNECTIONS INC          COMM STK   941053100    19423     985000 SH       SOLE              8600          0     976400
WASTE MANAGEMENT INC.          COMM STK   94106L109   172215    9063923 SH       SOLE           2164295          0    6899628
WASTE MANAGEMENT INC.          CONV BND   94106LAA7    28684   30980000 PRN      SOLE          14705000          0   16275000
WATCHGUARD TECHNOLOGIES INC    COMM STK   941105108     3210      58400 SH       SOLE             57400          0       1000
WATERLINK INC                  COMM STK   94155N105     4730    1892050 SH       SOLE            202800          0    1689250
WATERS CORPORATION             COMM STK   941848103   416296    3335375 SH       SOLE            850700          0    2484675
WATSCO INC                     COMM STK   942622200    43915    3513200 SH       SOLE            569550          0    2943650
WATSON PHARMACEUTICALS INC.    COMM STK   942683103    45161     840200 SH       SOLE            237800          0     602400
WAUSAU-MOSINEE PAPER CORP      COMM STK   943315101    10149    1185300 SH       SOLE            457900          0     727400
WEATHERFORD INTERNATIONAL      COMM STK   947074100    10376     260615 SH       SOLE             95675          0     164940
WEBSENSE INC                   COMM STK   947684106     7779     310400 SH       SOLE             14900          0     295500
WEBMETHODS INC                 COMM STK   94768C108      236       1500 SH       SOLE               400          0       1100
WEBHIRE INC                    COMM STK   94768W104      164      41416 SH       SOLE             41416          0          0
PAGEMART WIRELESS INC          COMM STK   94769A101     1634     123598 SH       SOLE            122898          0        700
WEBTRENDS CORP                 COMM STK   94844D104   118286    3069880 SH       SOLE            323600          0    2746280
WEINGARTEN REALTY              COMM STK   948741103     1760      43600 SH       SOLE             25700          0      17900
WELLPOINT HEALTH               COMM STK   94973H108   229627    3170000 SH       SOLE            712800          0    2457200
WELLS FARGO & COMPANY          COMM STK   949746101   337522    8710248 SH       SOLE           2269648          0    6440600
WENDY'S INTERNATIONAL          COMM STK   950590109     1368      76814 SH       SOLE             32470          0      44344
WESLEY JESSEN VISIONCARE       COMM STK   951018100    57052    1517600 SH       SOLE            204300          0    1313300
WEST TELESERVICES CORP         COMM STK   956188106    23451     925300 SH       SOLE             54700          0     870600
WESTAMERICA BANCORPORATION     COMM STK   957090103    18874     721600 SH       SOLE            131600          0     590000
WESTERN RESOURCES INC.         COMM STK   959425109      197      12700 SH       SOLE              8900          0       3800
WESTERN WATER COMPANY          COMM STK   959881103      360     768700 SH       SOLE             82000          0     686700
WESTERN WIRELESS               COMM STK   95988E204   253378    4651800 SH       SOLE            838700          0    3813100
WESTPOINT STEVENS              COMM STK   961238102     6209     558100 SH       SOLE            115100          0     443000
WESTVACO CORP.                 COMM STK   961548104     1539      62039 SH       SOLE             23907          0      38132
WESTWOOD ONE INC               COMM STK   961815107    10224     299600 SH       SOLE            235900          0      63700
WEYERHAEUSER COMPANY           COMM STK   962166104    28419     660902 SH       SOLE            253214          0     407688
WHIRLPOOL CORPORATION          COMM STK   963320106     2422      51947 SH       SOLE             23600          0      28347
WHITEHALL JEWELLERS            COMM STK   965063100     1656      88900 SH       SOLE             67900          0      21000
WHITMAN CORP.                  COMM STK   96647R107      199      16100 SH       SOLE              8000          0       8100
WHOLE FOODS MKT INC            COMM STK   966837106    50849    1229900 SH       SOLE            259600          0     970300
WILD OATS MARKETS INC          COMM STK   96808B107    14786    1182900 SH       SOLE            103200          0    1079700
WILLAMETTE INDUSTRIES          COMM STK   969133107     1893      69473 SH       SOLE             27518          0      41955
WILLIAMS COMPANIES INC.        COMM STK   969457100    12960     310884 SH       SOLE            139497          0     171387
WILLIAMS SONOMA INC            COMM STK   969904101     4979     153500 SH       SOLE            130900          0      22600
WILMINGTON TRUST CORPORATION   COMM STK   971807102     6156     144000 SH       SOLE             87600          0      56400
WIND RIVER SYSTEMS INC         COMM STK   973149107     2230      58824 SH       SOLE             53976          0       4848
WINN DIXIE STORES INC          COMM STK   974280109     1296      90551 SH       SOLE             35221          0      55330
WINSTAR COMMUNICATIONS, INC.   COMM STK   975515107     1333      39350 SH       SOLE             36250          0       3100
WIRELESS FACILITIES INC        COMM STK   97653A103     3320      65100 SH       SOLE             51500          0      13600
WISCONSIN CENTRAL TRANS        COMM STK   976592105      368      28400 SH       SOLE              4600          0      23800
WISCONSIN ENERGY CORP.         COMM STK   976657106     1948      98300 SH       SOLE             94000          0       4300
WOODHEAD INDUSTRIES INC        COMM STK   979438108    15427     845300 SH       SOLE            195900          0     649400
WOODWARD GOVERNOR CO           COMM STK   980745103    18999     680800 SH       SOLE            219700          0     461100
WORLDCOM INC.                  COMM STK   98157D106   989223   21548760 SH       SOLE           3690397          0   17858363
WORTHINGTON INDUSTRIES         COMM STK   981811102      612      58248 SH       SOLE             22876          0      35372
WRIGLEY WM JR                  COMM STK   982526105     8787     109577 SH       SOLE             65092          0      44485
WYNDAM INTERNATIONAL CL A      COMM STK   983101106      398     159130 SH       SOLE              1800          0     157330
XCEED INC                      COMM STK   98388N105      328      36100 SH       SOLE             27100          0       9000
XILINX INC                     COMM STK   983919101  1089750   13194100 SH       SOLE           2003200          0   11190900
XIRCOM                         COMM STK   983922105   138744    2919000 SH       SOLE            363500          0    2555500
XEROX CORPORATION              COMM STK   984121103   126567    6099591 SH       SOLE           1497696          0    4601895
XPEDIOR INC                    COMM STK   98413B100    26222    1902700 SH       SOLE            268600          0    1634100
YAHOO INC                      COMM STK   984332106   143702    1159764 SH       SOLE            293812          0     865952
YORK INTL CORP NEW             COMM STK   986670107      242       9600 SH       SOLE              5900          0       3700
YOUNG & RUBICAM INC            COMM STK   987425105     6439     112600 SH       SOLE             81500          0      31100
YOUNG BROADCASTING CORPORATION COMM STK   987434107    17719     692300 SH       SOLE             77700          0     614600
NETWORK EVENT THEATER CO       COMM STK   987819109      249      42600 SH       SOLE             31800          0      10800
ZALE CORP                      COMM STK   988858106     2314      63400 SH       SOLE             55600          0       7800
ZEBRA TECHNOLOGIES CORP        COMM STK   989207105    40830     925330 SH       SOLE             54830          0     870500
ZIONS BANCORPORATION           COMM STK   989701107      418       9100 SH       SOLE              5500          0       3600
ZOLL MED CORP                  COMM STK   989922109      574      11700 SH       SOLE              9700          0       2000
ZOMAX OPTICAL MEDIA   CO       COMM STK   989929104     1127      86100 SH       SOLE             64800          0      21300
DAIMLERCHRYSLER AG             COMM STK   D1668R123     1230      16024 SH       SOLE                 0          0      16024
DAIMLERCHRYSLER AG             COMM STK   D1668R990     1455      19600 SH       SOLE              7900          0      11700
ACE LIMITED ORDINARY SHS       COMM STK   G0070K103   258708    9239567 SH       SOLE           2177700          0    7061867
AMDOCS LTD                     COMM STK   G02602103     4664      65000 SH       SOLE             50000          0      15000
ANNUITY AND LIFE RE (HLDGS)    COMM STK   G03910109      855      35300 SH       SOLE             25900          0       9400
FLAG TELECOM HLDGS LTD         COMM STK   G3529L102     4185     280200 SH       SOLE             43200          0     237000
GEMSTAR INTL GROUP LTD         COMM STK   G3788V106      676      11000 SH       SOLE             11000          0          0
LORAL SPACE AND                COMM STK   G56462107      105      15200 SH       SOLE              3200          0      12000
PARTNER RE LTD                 COMM STK   G6852T105    51395    1450309 SH       SOLE            318700          0    1131609
RENAISSANCERE HOLDINGS         COMM STK   G7496G103     3921      90000 SH       SOLE             90000          0          0
SANTA FE INTERNATIONAL CORP    COMM STK   G7805C108      213       6100 SH       SOLE              1400          0       4700
TRANSOCEAN SEDCO FOREX INC     COMM STK   G90078109     8237     154140 SH       SOLE             58586          0      95554
WHITE MOUNTAINS INS GRP LTD    COMM STK   G9618E107    18240     114000 SH       SOLE             53900          0      60100
XL CAPITAL LTD                 COMM STK   G98255105    67520    1247477 SH       SOLE             86552          0    1160925
MILLICOM INTL CELLULAR         COMM STK   L6388F102    37612    1075600 SH       SOLE             90000          0     985600
AUDIOCODES LTD                 COMM STK   M15342104     1619      13400 SH       SOLE             10000          0       3400
BACKWEB TECHNOLOGIES LTD       COMM STK   M15633106     1095      47800 SH       SOLE             37800          0      10000
BREEZECOM LIMITED              COMM STK   M20385106    13050     300000 SH       SOLE                 0          0     300000
CHECK POINT SOFTWARE  OR       COMM STK   M22465104     8366      39400 SH       SOLE             32800          0       6600
GILAT SATELLITE NETWORKS       COMM STK   M51474100     1062      15300 SH       SOLE             11300          0       4000
ASM LITHOGRAPHY HLDG           ADR        N07059111   218996    4966600 SH       SOLE            543000          0    4423600
QIAGEN NV             OR       COMM STK   N72482107     9361      53800 SH       SOLE              3800          0      50000
ROYAL CARIBBEAN CRUISES        COMM STK   V7780T103      618      33410 SH       SOLE             26400          0       7010
FLEXTRONICS INTL LTD ORD       COMM STK   Y2573F102   609064    8863144 SH       SOLE           1459344          0    7403800
</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission