PRICE T ROWE ASSOCIATES INC /MD/
13F-HR, 2000-11-14
SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES
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                               UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, DC 20549

                                  Form 13F

                            Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:            09/30/2000

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             11/14/2000
         [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:    98306882

Form 13F Information Table Entry Total:    1931

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    27356    1021445 SH       SOLE            290493          0     730952
AFLAC INCORPORATED             COMM STK   001055102    13129     204934 SH       SOLE            107734          0      97200
AES CORPORATION                COMM STK   00130H105    25518     372528 SH       SOLE            196326          0     176202
AMB PROPERTY CORP              COMM STK   00163T109     1309      53300 SH       SOLE              1200          0      52100
AMR CORPORATION                COMM STK   001765106     4384     134119 SH       SOLE             38622          0      95497
APA OPTICS INC                 COMM STK   001853100      459      36700 SH       SOLE             26900          0       9800
AT&T CORP.                     COMM STK   001957109   195952    6670719 SH       SOLE           1911281          0    4759438
AT&T CORP.                     COMM STK   001957208   169993    8587600 SH       SOLE           1441400          0    7146200
AT&T CANADA INC.               COMM STK   00207Q202    76452    2509200 SH       SOLE            352500          0    2156700
ATMI INC                       COMM STK   00207R101    35360    1510700 SH       SOLE            286200          0    1224500
AVX CORP NEW                   COMM STK   002444107      229       8800 SH       SOLE              2200          0       6600
AXA FINANCIAL, INC.            COMM STK   002451102    56943     925200 SH       SOLE             12600          0     912600
AXT INC                        COMM STK   00246W103      702      16800 SH       SOLE             12600          0       4200
AARON RENTS INC                COMM STK   002535201    13711    1064900 SH       SOLE            190100          0     874800
AARON RENTS INC                COMM STK   002535300     1284      84900 SH       SOLE             49900          0      35000
ABBOTT LABORATORIES            COMM STK   002824100   255194    5365442 SH       SOLE           2056032          0    3309410
ABERCROMBIE & FITCH COMPANY    COMM STK   002896207      248      13016 SH       SOLE              8800          0       4216
ABGENIX INC                    COMM STK   00339B107   193083    2390200 SH       SOLE            311000          0    2079200
ABOUT COM INC                  COMM STK   003736105      565      17300 SH       SOLE             12700          0       4600
ABITIBI-CONSOLIDATED INC.      COMM STK   003924107     1205     128500 SH       SOLE            128500          0          0
ACCRUE SOFTWARE INC            COMM STK   00437W102     3417     285466 SH       SOLE            192127          0      93339
ACETO CORP                     COMM STK   004446100     6300     638000 SH       SOLE             63000          0     575000
ACLARA BIOSCIENCES INC         COMM STK   00461P106     3406     112000 SH       SOLE            110200          0       1800
A C NIELSON CORP               COMM STK   004833109     3708     155700 SH       SOLE            137000          0      18700
ACTIVISION INC NEW    CO       COMM STK   004930202     2142     142500 SH       SOLE             33000          0     109500
ACTUATE SOFTWARE CORP          COMM STK   00508B102    92368    2674900 SH       SOLE            421100          0    2253800
ACTUANT CORPORATION            COMM STK   00508X104     6194    1573025 SH       SOLE            372400          0    1200625
ADAPTIVE BROADBAND CORP        COMM STK   00650M104      609      31200 SH       SOLE             22400          0       8800
ADAPTEC INC                    COMM STK   00651F108     1598      79753 SH       SOLE             28553          0      51200
ADOBE SYSTEMS INC              COMM STK   00724F101    17237     111005 SH       SOLE             62459          0      48546
ADVANCE PARADIGM INC.          COMM STK   007491103     1927      45700 SH       SOLE             33300          0      12400
ADVANCED DIGITAL INFO CO       COMM STK   007525108      473      31100 SH       SOLE             20300          0      10800
ADVANCED FIBRE COMMS INC       COMM STK   00754A105     1389      36600 SH       SOLE             26800          0       9800
ADVANTAGE LEARNING SYSTEMS     COMM STK   00757K100     9339     266600 SH       SOLE               500          0     266100
ADVANCED NEUROMODULATION       COMM STK   00757T101    18957     973700 SH       SOLE            278000          0     695700
ADVO INC                       COMM STK   007585102    50533    1531300 SH       SOLE            182800          0    1348500
ADVANCED MICRO DEVICES         COMM STK   007903107     4331     183334 SH       SOLE             70944          0     112390
AEGON NV                       ADR        007924103     7938     213827 SH       SOLE            146652          0      67175
ADVANCED ENERGY INDUSTRI       COMM STK   007973100     1200      36400 SH       SOLE             27400          0       9000
ADVENT SOFTWARE INC            COMM STK   007974108     1201      17200 SH       SOLE             12200          0       5000
AETHER SYSTEMS INC             COMM STK   00808V105      201       1900 SH       SOLE               500          0       1400
AETNA INC.                     COMM STK   008117103    24834     427712 SH       SOLE             89783          0     337929
AFFILIATED COMPUTER SVCS       COMM STK   008190100   264621    5134400 SH       SOLE            657000          0    4477400
AFFILIATED MANAGERS GROUP      COMM STK   008252108    25753     452300 SH       SOLE             39500          0     412800
AFFYMETRIX INC                 COMM STK   00826T108    79169    1585360 SH       SOLE            517600          0    1067760
AGILENT TECH INC               COMM STK   00846U101    25141     513737 SH       SOLE            269745          0     243992
AGILE SOFTWARE CORP            COMM STK   00846X105    14337     359270 SH       SOLE            244525          0     114745
AIR PRODUCTS & CHEMICALS INC.  COMM STK   009158106     5362     148942 SH       SOLE             58940          0      90002
AIRGAS INC                     COMM STK   009363102     7008    1028700 SH       SOLE            243600          0     785100
AIRGATE PCS, INC.              COMM STK   009367103    23810     530950 SH       SOLE             40200          0     490750
AIRNET COMMUNICATIONS CORP.    COMM STK   00941P106    10249     460000 SH       SOLE              9200          0     450800
ALAMO GROUP INC                COMM STK   011311107     8039     633600 SH       SOLE             71600          0     562000
ALAMOSA PCS HOLDINGS, INC.     COMM STK   011593100    12450     753100 SH       SOLE               700          0     752400
ALBERTO-CULVER CO CL A         COMM STK   013068101      982      34097 SH       SOLE             12896          0      21201
ALBERTSON'S, INC.              COMM STK   013104104    63254    3012094 SH       SOLE           1079206          0    1932888
ALCAN ALUMINUM LTD.            COMM STK   013716105    46261    1593279 SH       SOLE           1402576          0     190703
ALCOA, INC.                    COMM STK   013817101    70611    2789573 SH       SOLE            476143          0    2313430
ALEXION PHARMACEUTICAL         COMM STK   015351109    54891     481100 SH       SOLE               200          0     480900
ALKERMES INC                   COMM STK   01642T108    97110    2516200 SH       SOLE            609900          0    1906300
ALLAIRE CORP                   COMM STK   016714107      843      99400 SH       SOLE             75300          0      24100
ALLEGHENY POWER SYSTEM, INC.   COMM STK   017361106      422      11060 SH       SOLE              6300          0       4760
ALLEGHENY TECHNOLOGIES INC     COMM STK   01741R102    39170    2161089 SH       SOLE            468678          0    1692411
ALLEGIANCE TELECOM INC.        COMM STK   01747T102    61559    1659550 SH       SOLE            362650          0    1296900
ALLERGAN INC                   COMM STK   018490102    66275     784895 SH       SOLE            307167          0     477728
ALLIANCE CAPITAL MGMT L P      COMM STK   01855A101     3138      62610 SH       SOLE              2300          0      60310
ALLIED CAPITAL CORP            COMM STK   01903Q108    34986    1683518 SH       SOLE            374818          0    1308700
ALLIED HEALTHCARE PRODS        COMM STK   019222108      552     188000 SH       SOLE                 0          0     188000
ALLIED WASTE INDUSTRIES        COMM STK   019589308     1641     178564 SH       SOLE             46004          0     132560
ALLMERICA FINANCIAL CORPORATIO COMM STK   019754100     1075      16821 SH       SOLE             13500          0       3321
ALLOS THERAPEUTICS INC         COMM STK   019777101     2383     183318 SH       SOLE            147172          0      36146
ALLSTATE CORPORATION           COMM STK   020002101    29098     837365 SH       SOLE            211213          0     626152
ALLTEL CORPORATION             COMM STK   020039103   213054    4082476 SH       SOLE           1098457          0    2984019
ALPHA INDUSTRIES               COMM STK   020753109     2485      72700 SH       SOLE             54700          0      18000
ALPHARMA INC CLASS A           COMM STK   020813101      428       7000 SH       SOLE              4700          0       2300
ALTERA CORP                    COMM STK   021441100   811033   16695717 SH       SOLE           2323917          0   14371800
ALTEON WEBSYSTEMS INC          COMM STK   02145A109      396       3650 SH       SOLE              2000          0       1650
ALZA CORPORATION               COMM STK   022615108    90119     902657 SH       SOLE            386281          0     516376
AMAZON COM INC                 COMM STK   023135106      704      18300 SH       SOLE              4700          0      13600
AMBAC INC                      COMM STK   023139108    25982     354700 SH       SOLE            124100          0     230600
AMERADA HESS CORP.             COMM STK   023551104   296748    4433206 SH       SOLE           1191302          0    3241904
AMEREN CORPORATION             COMM STK   023608102     3442      82190 SH       SOLE             32938          0      49252
AMERICA ONLINE DELAWARE        COMM STK   02364J104   451476    7960611 SH       SOLE           2120888          0    5839723
AMERICAN CLASSIC VOYAGES       COMM STK   024928103     9128     621500 SH       SOLE                 0          0     621500
AMERICAN CAPITAL STRATEGIES    COMM STK   024937104    14112     593400 SH       SOLE            224500          0     368900
AMERICAN ELECTRIC POWER COMPAN COMM STK   025537101     8002     204534 SH       SOLE             80809          0     123725
AMERICAN EXPRESS COMPANY       COMM STK   025816109   208801    3437050 SH       SOLE           1103077          0    2333973
AMERICAN GENERAL CORPORATION   COMM STK   026351106   246024    3154149 SH       SOLE            623592          0    2530557
AMERICAN GREETINGS CORPORATION COMM STK   026375105      710      40558 SH       SOLE             15351          0      25207
AMERICAN HOME PRODUCTS CORP.   COMM STK   026609107   688359   11870119 SH       SOLE           3197911          0    8672208
AMERICAN INTERNATIONAL GROUP I COMM STK   026874107   320546    3349924 SH       SOLE           1363186          0    1986738
AMERICAN ITALIAN PASTA CO      COMM STK   027070101    18744     976900 SH       SOLE            111600          0     865300
AMERICAN POWR CONVERSION       COMM STK   029066107     3674     192101 SH       SOLE             97001          0      95100
AMERICAN TOWERS SYSTEMS CORP   COMM STK   029912201     7603     201729 SH       SOLE            116210          0      85519
AMERICAN SUPERCONDUCTOR        COMM STK   030111108    12197     247500 SH       SOLE             62000          0     185500
AMERICAN WATER WORKS CO., INC. COMM STK   030411102      634      23000 SH       SOLE             18800          0       4200
AMERICREDIT CORP               COMM STK   03060R101     1596      55400 SH       SOLE             39200          0      16200
AMERON INTL INC                COMM STK   030710107    10286     279900 SH       SOLE             45100          0     234800
AMERIPATH INC                  COMM STK   03071D109    30532    2101100 SH       SOLE            375100          0    1726000
AMERISOURCE HEALTH CORP CL A   COMM STK   03071P102   186158    3960800 SH       SOLE            871100          0    3089700
AMGEN                          COMM STK   031162100   148829    2135668 SH       SOLE            783182          0    1352486
AMKOR TECHNOLOGY, INC.         COMM STK   031652100      204       7800 SH       SOLE              1800          0       6000
AMPHENOL CORP                  COMM STK   032095101     2437      42800 SH       SOLE             31300          0      11500
AMSOUTH BANCORPORATION         COMM STK   032165102     7952     636132 SH       SOLE            116349          0     519783
AMYLIN PHARMACEUTICALS         COMM STK   032346108      334      31446 SH       SOLE             29346          0       2100
AMVESCAP PLC                   ADR        03235E100     1764      35100 SH       SOLE             30900          0       4200
ANADARKO PETROLEUM CORP.       COMM STK   032511107    53416     803731 SH       SOLE            119161          0     684570
ANADIGICS INC                  COMM STK   032515108      368      16795 SH       SOLE             11700          0       5095
ANALOG DEVICES                 COMM STK   032654105  1439780   17288783 SH       SOLE           2261283          0   15027500
ANALOGIC CORP                  COMM STK   032657207    66381    1725580 SH       SOLE            346100          0    1379480
ANALYSTS INTERNATIONAL         COMM STK   032681108    14439    1995900 SH       SOLE            704600          0    1291300
ANAREN MICROWAVE INC           COMM STK   032744104     3464      25550 SH       SOLE             19350          0       6200
ANDREW CORP                    COMM STK   034425108     2253      85949 SH       SOLE             45597          0      40352
ANDRX CORP                     COMM STK   034553107     2542      27200 SH       SOLE             19200          0       8000
ANESTA CORPORATION             COMM STK   034603100    37255    1626400 SH       SOLE            411100          0    1215300
ANHEUSER-BUSCH COMPANIES INC.  COMM STK   035229103   117076    2766944 SH       SOLE           1284918          0    1482026
ANN TAYLOR STORES INC.         COMM STK   036115103     1637      42600 SH       SOLE             33400          0       9200
ANSYS INC             CO       COMM STK   03662Q105     1443     120900 SH       SOLE            115000          0       5900
Antenna TV                     ADR        03672N100    14134     642486 SH       SOLE            642486          0          0
ANSWERTHINK CONSULTING GROUP   COMM STK   036916104    24747    1525820 SH       SOLE            447300          0    1078520
AON CORPORATION                COMM STK   037389103    18309     466468 SH       SOLE             69987          0     396481
APACHE CORP                    COMM STK   037411105     7819     132241 SH       SOLE             87710          0      44531
APARTMENT INVT & MGMT          COMM STK   03748R101    16583     360015 SH       SOLE            143503          0     216512
APOLLO GROUP INC CL A          COMM STK   037604105   102045    2557125 SH       SOLE            368525          0    2188600
APPLE COMPUTER INC.            COMM STK   037833100     5024     195360 SH       SOLE             75630          0     119730
APPLEBEES INTERNATIONAL        COMM STK   037899101     7874     336400 SH       SOLE             52100          0     284300
APRIA HEALTHCARE GROUP         COMM STK   037933108      230      16500 SH       SOLE             10900          0       5600
APPLIED EXTRUSION              COMM STK   038196101     2367     750000 SH       SOLE                 0          0     750000
APPLIED MATERIALS INC          COMM STK   038222105   623953   10337940 SH       SOLE           1484735          0    8853205
APPLIED MICRO CIRCUITS CORP.   COMM STK   03822W109   825169    3953600 SH       SOLE            516450          0    3437150
APPLIED SCIENCE & TECHNO       COMM STK   038236105      309      21000 SH       SOLE             15400          0       5600
APTARGROUP INC                 COMM STK   038336103     4610     192600 SH       SOLE            155900          0      36700
ARCH CHEMICAL INC WI           COMM STK   03937R102    36728    2012500 SH       SOLE            570900          0    1441600
ARCH COAL INC                  COMM STK   039380100    19833    1311292 SH       SOLE            209146          0    1102146
ARCHER DANIELS MIDLAND COMPANY COMM STK   039483102     3415     395932 SH       SOLE            161231          0     234701
ARCHSTONE COMMUNITY TRUST      COMM STK   039581103    19304     785928 SH       SOLE             96300          0     689628
ARDEN REALTY, INC.             COMM STK   039793104    32588    1215400 SH       SOLE            261900          0     953500
ARENA PHARMACEUTICALS INC      COMM STK   040047102     6686     155600 SH       SOLE                 0          0     155600
ARIBA INC                      COMM STK   04033V104   787602    5411259 SH       SOLE             90309          0    5320950
ARMOR HOLDINGS                 COMM STK   042260109    23430    1562000 SH       SOLE            377600          0    1184400
ARMSTRONG HOLDINGS INC         COMM STK   042384107    20121    1685518 SH       SOLE            349692          0    1335826
ARROW ELECTRONICS INC.         COMM STK   042735100      545      16000 SH       SOLE             10800          0       5200
ARROW INTERNATIONAL INC        COMM STK   042764100      610      16800 SH       SOLE             15400          0       1400
ART TECHNOLOGY GROUP INC       COMM STK   04289L107      481       5080 SH       SOLE              2600          0       2480
ARTESYN TECHNOLOGIES INC       COMM STK   043127109    27630     943600 SH       SOLE            268800          0     674800
ARTHROCARE CORP                COMM STK   043136100      701      36000 SH       SOLE             35200          0        800
ASHLAND INC.                   COMM STK   044204105     1444      42871 SH       SOLE             17029          0      25842
ASPECT MEDICAL SYS INC         COMM STK   045235108    22531    1816110 SH       SOLE            449082          0    1367028
ASPEN TECHNOLOGY INC           COMM STK   045327103     1285      28500 SH       SOLE             20900          0       7600
ASSOCIATED BANC CORP           COMM STK   045487105      215       8202 SH       SOLE              5190          0       3012
AT HOME CORP                   COMM STK   045919107      268      18940 SH       SOLE              4650          0      14290
ASSOCIATES FIRST CAPITAL CORP. COMM STK   046008108   147168    3872845 SH       SOLE            942059          0    2930786
ASTORIA FINANCIAL CORP         COMM STK   046265104      404      10475 SH       SOLE              8100          0       2375
ZENECA GROUP PLC               ADR        046353108     4329      82350 SH       SOLE             40150          0      42200
ASYST TECHNOLOGY CP   CO       COMM STK   04648X107     1590      77900 SH       SOLE             59900          0      18000
ATHEROGENICS INC               COMM STK   047439104       93      10800 SH       SOLE              2500          0       8300
ATMEL CORPORATION              COMM STK   049513104      876      57700 SH       SOLE             40700          0      17000
ATRION CORP                    COMM STK   049904105     2513     200000 SH       SOLE                 0          0     200000
AURORA BIOSCIENCES             COMM STK   051920106    75851    1114940 SH       SOLE            323100          0     791840
AUSTRALIA & NEW ZEALAND BKNG.  ADR        052528304     1408      39100 SH       SOLE              3600          0      35500
AUTODESK INC                   COMM STK   052769106      918      36240 SH       SOLE             13732          0      22508
AUTOLIV INC                    COMM STK   052800109      422      21653 SH       SOLE                 0          0      21653
AUTOMATIC DATA PROCESSING INC. COMM STK   053015103   313600    4400285 SH       SOLE           1520633          0    2879652
AUTONATIONAL INC               COMM STK   05329W102      129      21500 SH       SOLE              5500          0      16000
AUTOZONE INC                   COMM STK   053332102     1827      80542 SH       SOLE             30517          0      50025
AVALONBAY COMMUNITIES INC.     COMM STK   053484101     1106      23191 SH       SOLE              2400          0      20791
AVANT CORP                     COMM STK   053487104      206      11300 SH       SOLE               500          0      10800
AVANEX CORP                    COMM STK   05348W109    30738     285772 SH       SOLE            222572          0      63200
AVERY DENNISON CORP            COMM STK   053611109    11178     241040 SH       SOLE            194716          0      46324
AVIRON                         COMM STK   053762100     6853     117200 SH       SOLE             49300          0      67900
AVIS GROUP HOLDINGS, INC.      COMM STK   053790101    52297    1765300 SH       SOLE             74900          0    1690400
AVNET INC                      COMM STK   053807103      223       7852 SH       SOLE              4452          0       3400
AVOCENT CORPORATION            COMM STK   053893103     2486      45462 SH       SOLE             33256          0      12206
AVON PRODUCTS                  COMM STK   054303102     8912     218021 SH       SOLE            128583          0      89438
BB&T CORPORATION               COMM STK   054937107    11472     380819 SH       SOLE            229536          0     151283
BHA GROUP HLDGS INC            COMM STK   055446108     9096     645400 SH       SOLE             31300          0     614100
BHC COMMUNICATIONS INC         COMM STK   055448104      205       1300 SH       SOLE               300          0       1000
BISYS GROUP INC                COMM STK   055472104   167892    2176000 SH       SOLE            357800          0    1818200
B J SERVICES CO                COMM STK   055482103   203124    3323100 SH       SOLE            444200          0    2878900
BJS WHOLESALE CLUB INC         COMM STK   05548J106    86596    2537600 SH       SOLE            593200          0    1944400
BP AMOCO PLC                   ADR        055622104   524725    9900473 SH       SOLE           2114145          0    7786328
BP PRUDHOE BAY ROYALTY T       COMM STK   055630107     1419     102300 SH       SOLE            100000          0       2300
BMC SOFTWARE INC               COMM STK   055921100    96512    5054648 SH       SOLE            952517          0    4102131
BWAY CORP.                     COMM STK   056039100     4217     854000 SH       SOLE             65000          0     789000
BADGER METER INC               COMM STK   056525108     3177     115000 SH       SOLE                 0          0     115000
BAKER HUGHES INCORPORATED      COMM STK   057224107   449472   11560988 SH       SOLE           2602961          0    8958027
BAKER HUGHES INCORPORATED      CONV BND   057224AH0     4099    5100000 PRN      SOLE           2500000          0    2600000
BALL CORP                      COMM STK   058498106      588      18545 SH       SOLE              6630          0      11915
BANCO BILBAO VIZCAYA, S.A.     ADR        05946K101     5666     377700 SH       SOLE             80200          0     297500
BANCO FRANCES DEL RIO          ADR        059591107     6481     312390 SH       SOLE            244356          0      68034
BANCO SANTIAGO, S.A.           ADR        05965L105     4371     224161 SH       SOLE            175461          0      48700
BANK OF AMERICA CORPORATION    COMM STK   060505104   298501    5699298 SH       SOLE           1430652          0    4268646
BANK OF NEW YORK COMPANY, INC. COMM STK   064057102   352038    5915371 SH       SOLE           1360147          0    4555224
BANK ONE CORPORATION           COMM STK   06423A103   263039    6810065 SH       SOLE           1832864          0    4977201
BANK UNITED CORP.              COMM STK   065412108     6771     133500 SH       SOLE             60100          0      73400
BANKNORTH GROUP INC COM        COMM STK   06646R107     2251     126349 SH       SOLE             42854          0      83495
BANTA CORP                     COMM STK   066821109      461      18900 SH       SOLE              4800          0      14100
BARD (C.R.) INC                COMM STK   067383109     1324      31328 SH       SOLE             11902          0      19426
BARRICK GOLD CORP              COMM STK   067901108     8875     581969 SH       SOLE            142946          0     439023
BARRA INC             CO       COMM STK   068313105     3176      51200 SH       SOLE             50800          0        400
BARRETT RESOURCES CORP         COMM STK   068480201    64260    1699436 SH       SOLE            328150          0    1371286
BATTLE MOUNTAIN GOLD           COMM STK   071593107    10207    5832500 SH       SOLE           1681300          0    4151200
BATTLE MOUNTAIN GOLD           CVPFSTKF   071593305     1204      38600 SH       SOLE             38600          0          0
BATTLE MOUNTAIN GOLD           CONV BND   071593AA5     1660    2000000 PRN      SOLE           1000000          0    1000000
BAUSCH & LOMB, INC.            COMM STK   071707103     1717      44085 SH       SOLE             22326          0      21759
BAXTER INTERNATIONAL INC.      COMM STK   071813109   318251    3784071 SH       SOLE           1144371          0    2639700
BE FREE INC                    COMM STK   073308108     1934     461898 SH       SOLE            208980          0     252918
BE INCORPORATED                COMM STK   073309106      648     163400 SH       SOLE            162800          0        600
BEA SYSTEMS INC.               COMM STK   073325102    33469     429600 SH       SOLE            411900          0      17700
BEAR STEARNS COMPANIES INC.    COMM STK   073902108    17425     276592 SH       SOLE             36518          0     240074
BECKMAN COULTER INC            COMM STK   075811109     9247     119900 SH       SOLE             38700          0      81200
BECTON DICKINSON & CO.         COMM STK   075887109    87711    3317664 SH       SOLE            702519          0    2615145
BED BATH & BEYOND              COMM STK   075896100    10208     419337 SH       SOLE            295537          0     123800
BELLSOUTH CORPORATION          COMM STK   079860102   209534    5205818 SH       SOLE           1285813          0    3920005
BELO (AH) CORP                 COMM STK   080555105      540      29300 SH       SOLE              9600          0      19700
BEMIS CO                       COMM STK   081437105     1268      39476 SH       SOLE             19651          0      19825
BENCHMARK ELECTRONICS          COMM STK   08160H101    33680     647700 SH       SOLE            175700          0     472000
BERGEN BRUNSWIG CL A           COMM STK   083739102      147      12617 SH       SOLE              6402          0       6215
BERKLEY (W.R.) CORPORATION     COMM STK   084423102    20917     609600 SH       SOLE            186600          0     423000
BERKSHIRE HATHAWAY INC.        COMM STK   084670108    44971        622 SH       SOLE               157          0        465
BERKSHIRE HATHAWAY INC.        COMM STK   084670207     5557       2330 SH       SOLE               502          0       1828
BEST BUY CO INC                COMM STK   086516101     8018     126020 SH       SOLE             51320          0      74700
BESTFOODS                      COMM STK   08658U101    20618     283411 SH       SOLE            111073          0     172338
BETHLEHEM STEEL CORP.          COMM STK   087509105      242      80536 SH       SOLE             31340          0      49196
BIG CITY RADIO INC             COMM STK   089098107      863     200000 SH       SOLE                 0          0     200000
BIOCHEM PHARMA INC             COMM STK   09058T108     1108      55500 SH       SOLE             47300          0       8200
BIOGEN INC                     COMM STK   090597105    13276     217529 SH       SOLE             96129          0     121400
BIOMATRIX INC                  COMM STK   09060P102      726      41500 SH       SOLE             40600          0        900
BIOMET INC                     COMM STK   090613100     6459     184372 SH       SOLE            112934          0      71438
BLACK & DECKER CORPORATION     COMM STK   091797100    27132     793619 SH       SOLE            291029          0     502590
BLACK BOX CORP                 COMM STK   091826107    22363     478670 SH       SOLE            112500          0     366170
BLACK HILLS CORP               COMM STK   092113109    15959     568700 SH       SOLE            173300          0     395400
BLAZE SOFTWARE INC             COMM STK   09347T109      539      42165 SH       SOLE             41765          0        400
H & R BLOCK INC                COMM STK   093671105   103130    2782588 SH       SOLE            620822          0    2161766
BLUESTONE SOFTWARE             COMM STK   09623P102     3477     201200 SH       SOLE               400          0     200800
BLYTH INDUSTRIES INC           COMM STK   09643P108     2898     123650 SH       SOLE             34600          0      89050
BOEING COMPANY                 COMM STK   097023105    46195     733251 SH       SOLE            311527          0     421724
BOISE CASCADE CORP.            COMM STK   097383103      954      35900 SH       SOLE             14669          0      21231
THE BON-TON STORES INC         COMM STK   09776J101     2202    1092500 SH       SOLE            293800          0     798700
BONE CARE INTERNATIONAL INC    COMM STK   098072101    21293    1020000 SH       SOLE            127000          0     893000
BORDERS GROUP INC              COMM STK   099709107    23481    1684700 SH       SOLE            375400          0    1309300
BORON LEPORE & ASSOC           COMM STK   10001P102    12538    1215800 SH       SOLE             61900          0    1153900
BOSTON PROPERTIES INC          COMM STK   101121101     1825      42500 SH       SOLE              5800          0      36700
BOSTON SCIENTIFIC CORP         COMM STK   101137107     4684     284957 SH       SOLE            136294          0     148663
BOWATER INCORPORATED           COMM STK   102183100     7453     160500 SH       SOLE              7400          0     153100
Brasil Telecom Participacoes S ADR        105530109     2100      36054 SH       SOLE             36054          0          0
BREAKAWAY SOLUTIONS INC        COMM STK   106372105      315      35400 SH       SOLE             33800          0       1600
BRIGGS & STRATTON CORP         COMM STK   109043109      525      13875 SH       SOLE              4968          0       8907
BRIGHAM EXPLORATION CO         COMM STK   109178103     1859     550900 SH       SOLE                 0          0     550900
BRIGHT HORIZON FAMILY SOLUTION COMM STK   109195107    14443     564300 SH       SOLE             51600          0     512700
BRIGHT POINT INC.              COMM STK   109473108     7581    1502100 SH       SOLE               700          0    1501400
BRINKER INTERNATIONAL          COMM STK   109641100      612      20325 SH       SOLE              8450          0      11875
BRISTOL-MYERS SQUIBB COMPANY   COMM STK   110122108   213909    3584009 SH       SOLE           1051038          0    2532971
BRITISH TELECOMMUNICATIONS PLC ADR        111021408     4165      38900 SH       SOLE              6700          0      32200
BROADBASE SOFTWARE INC         COMM STK   11130R100     1611     118480 SH       SOLE             77900          0      40580
BROADCOM CORP                  COMM STK   111320107    41161     168823 SH       SOLE             74573          0      94250
BROADVISION INC                COMM STK   111412102     4115     160380 SH       SOLE            119400          0      40980
CINCINNATI BELL INC.           COMM STK   111620100     2833     110844 SH       SOLE             38748          0      72096
BROCADE COMM SYS               COMM STK   111621108     4237      17940 SH       SOLE             13150          0       4790
BROOKS AUTOMATION INC.         COMM STK   11434A100     8267     250500 SH       SOLE                 0          0     250500
BROWN AND BROWN INC            COMM STK   115236101   111687    3510800 SH       SOLE            807100          0    2703700
BROWN-FORMAN CORP.             COMM STK   115637209   118468    2163796 SH       SOLE            552032          0    1611764
TOM BROWN INC                  COMM STK   115660201     2458      99800 SH       SOLE             75600          0      24200
BRUKER DALTONICS INC           COMM STK   116795105      490      11100 SH       SOLE                 0          0      11100
BRUNSWICK CORPORATION          COMM STK   117043109     1228      67315 SH       SOLE             36198          0      31117
BUCA INC                       COMM STK   117769109    13026    1222400 SH       SOLE            336500          0     885900
BUCKEYE TECHNOLOGIES INC       COMM STK   118255108    17943     864700 SH       SOLE            209200          0     655500
BUILDING MATERIALS             COMM STK   120113105     4022     450000 SH       SOLE                 0          0     450000
BURLINGTON INDUSTRIES INC.     COMM STK   121693105       22      17700 SH       SOLE                 0          0      17700
BURLINGTON NORTHERN SANTA FE C COMM STK   12189T104    10828     502170 SH       SOLE            106965          0     395205
BURLINGTON RESOURCES, INC.     COMM STK   122014103    30772     835904 SH       SOLE            150243          0     685661
BUSH BOAKE ALLEN INC           COMM STK   123162109     1769      37000 SH       SOLE             36500          0        500
CBL & ASSOC PROPERTIES         COMM STK   124830100      937      37400 SH       SOLE               400          0      37000
C-COR ELECTRONICS INC          COMM STK   125010108      308      20100 SH       SOLE             14500          0       5600
CDW COMPUTER CENTERS INC       COMM STK   125129106     5279      76400 SH       SOLE             63200          0      13200
CEC ENTERTAINMENT              COMM STK   125137109     1832      57250 SH       SOLE             43150          0      14100
C.H. ROBINSON WORLDWIDE        COMM STK   12541W100    63389    1123800 SH       SOLE            285800          0     838000
CIGNA CORP.                    COMM STK   125509109   163528    1566364 SH       SOLE            319497          0    1246867
CIT GROUP, INC.                COMM STK   125577106     2611     149206 SH       SOLE             51706          0      97500
CLECO CORP                     COMM STK   12561W105    75917    1623900 SH       SOLE            420600          0    1203300
CMG INFORMATION SERVICES       COMM STK   125750109     6826     244060 SH       SOLE            179746          0      64314
CMS ENERGY CORP.               COMM STK   125896100     1955      72570 SH       SOLE             31570          0      41000
CSS INDS INC                   COMM STK   125906107    12722     634100 SH       SOLE             56100          0     578000
CNA FINANCIAL CORP.            COMM STK   126117100      360       9400 SH       SOLE              2200          0       7200
CNF TRANSN INC                 COMM STK   12612W104     8662     389300 SH       SOLE             35200          0     354100
C/NET INC.                     COMM STK   12613R104    38726    1590787 SH       SOLE            469227          0    1121560
CAROLINA POWER & LIGHT CO.     COMM STK   12614C106     4313     103452 SH       SOLE             45062          0      58390
CSX CORPORATION                COMM STK   126408103     3009     137928 SH       SOLE             56030          0      81898
CTS CORP                       COMM STK   126501105     1974      39000 SH       SOLE             30100          0       8900
CUNO INC                       COMM STK   126583103    13850     621600 SH       SOLE            206300          0     415300
CVS CORPORATION                COMM STK   126650100   270418    5838993 SH       SOLE           1343010          0    4495983
CABLEVISION SYSTEMS            COMM STK   12686C109      428       6460 SH       SOLE              1600          0       4860
CABLETRON SYSTEMS INC          COMM STK   126920107     3283     111746 SH       SOLE             44794          0      66952
CACHEFLOW INC                  COMM STK   126946102      515       3600 SH       SOLE              2200          0       1400
CABOT CORP                     COMM STK   127055101    40687    1284000 SH       SOLE            427000          0     857000
CABOT OIL & GAS                COMM STK   127097103     3060     150200 SH       SOLE            126500          0      23700
CABOT MICROELECTRONICS CORP    COMM STK   12709P103    19811     413000 SH       SOLE             72000          0     341000
CADBURY SCHWEPPES PLC          ADR        127209302     2041      84818 SH       SOLE              4746          0      80072
CADENCE DESIGN SYSTEMS         COMM STK   127387108     2230      86800 SH       SOLE             76200          0      10600
CAL DIVE INTERNATIONAL INC.    COMM STK   127914109     1662      29300 SH       SOLE             23100          0       6200
CALICO COMMERCE INC            COMM STK   129897104      763     123643 SH       SOLE             92643          0      31000
CALIBER LEARNING NETWORK       COMM STK   129914107     1820     560000 SH       SOLE                 0          0     560000
CALLAWAY GOLF CO               COMM STK   131193104      381      24800 SH       SOLE              7500          0      17300
CALPINE CORPORATION            COMM STK   131347106     6294      60300 SH       SOLE             49300          0      11000
CAMBREX CORP                   COMM STK   132011107     1354      36600 SH       SOLE             26600          0      10000
CAMBRIDGE TECH PARTNERS        COMM STK   132524109     1696     386300 SH       SOLE             60600          0     325700
CAMDEN PROPERTY TRUST          COMM STK   133131102     7902     254900 SH       SOLE             36800          0     218100
CAMPBELL SOUP COMPANY          COMM STK   134429109    99179    3833010 SH       SOLE           1003651          0    2829359
CANADIAN PACIFIC LIMITED       COMM STK   135923100    24851     955800 SH       SOLE            289900          0     665900
CANADIAN NATURAL RES LTD       COMM STK   136385101     4545      90000 SH       SOLE                 0          0      90000
NEXEN INC                      COMM STK   136420106     3274     130000 SH       SOLE                 0          0     130000
CAPITAL ONE FINANCIAL CORP.    COMM STK   14040H105   316909    4362652 SH       SOLE           1043443          0    3319209
CAPITAL SENIOR LIVING CORP.    COMM STK   140475104      771     301000 SH       SOLE                 0          0     301000
CAPSTONE TURBINE CORP          COMM STK   14067D102      270       3900 SH       SOLE               500          0       3400
CARBO CERAMICS, INC            COMM STK   140781105     7286     274300 SH       SOLE             96000          0     178300
CARDINAL HEALTH, INC.          COMM STK   14149Y108    29875     338762 SH       SOLE            149853          0     188909
CAREMARK RX INC                COMM STK   141705103      420      37300 SH       SOLE             32400          0       4900
CARLISLE COS INC               COMM STK   142339100      851      20500 SH       SOLE             14600          0       5900
CARNIVAL CORP.                 COMM STK   143658102    10824     439569 SH       SOLE            191211          0     248358
CARRAMERICA REALTY CORP        COMM STK   144418100     1110      36700 SH       SOLE              8300          0      28400
CARRIER ACCESS CORP            COMM STK   144460102      308      15600 SH       SOLE             11400          0       4200
CARTER-WALLACE INC             COMM STK   146285101      213       8700 SH       SOLE              6500          0       2200
CASELLA WASTE SYS INC.         COMM STK   147448104    10194    1000600 SH       SOLE                 0          0    1000600
CASEYS GENERAL STORES          COMM STK   147528103    62596    4826700 SH       SOLE            933100          0    3893600
CATALINA MARKETING CORP        COMM STK   148867104   228393    6070250 SH       SOLE            838600          0    5231650
CATALYTICA INC                 COMM STK   148885106     4352     349000 SH       SOLE             85350          0     263650
CATELLUS DEVELOPMENT CORP.     COMM STK   149111106     9412     537800 SH       SOLE             58900          0     478900
CATERPILLAR INC.               COMM STK   149123101     9447     279905 SH       SOLE            101616          0     178289
CEDAR FAIR                     COMM STK   150185106     5057     274280 SH       SOLE             72400          0     201880
CELL GENESYS INC               COMM STK   150921104      402      13500 SH       SOLE              8300          0       5200
Celestica Inc                  COMM STK   15101Q108   243184    3278619 SH       SOLE           3023659          0     254960
CELGENE CORP                   COMM STK   151020104      268       4500 SH       SOLE              2000          0       2500
CENDANT CORP.                  COMM STK   151313103     5686     522836 SH       SOLE            178391          0     344445
CENTERPOINT PROPERTIES TRUST   COMM STK   151895109     1142      24800 SH       SOLE              1000          0      23800
CENTEX CORP                    COMM STK   152312104     1143      35573 SH       SOLE             13345          0      22228
CENTRA SOFTWARE INC            COMM STK   15234X103      514      78271 SH       SOLE               400          0      77871
CENTURY TELEPHONE ENTERPRISES  COMM STK   156700106    13586     498567 SH       SOLE             89942          0     408625
CEPHALON INC                   COMM STK   156708109   103779    2138400 SH       SOLE            696200          0    1442200
CERIDIAN CORPORATION           COMM STK   15677T106   112926    4024096 SH       SOLE            674464          0    3349632
CERUS CORP                     COMM STK   157085101     2818      50770 SH       SOLE             50300          0        470
THE CHALONE WINE GROUP LTD     COMM STK   157639105     2392     250100 SH       SOLE                 0          0     250100
CHARLES RIVER LABORATORIES     COMM STK   159864107    13641     401200 SH       SOLE                 0          0     401200
CHARTER ONE FINANCIAL          COMM STK   160903100    13161     539940 SH       SOLE            176920          0     363020
CHARTER COMMUNICATIONS INC CL  COMM STK   16117M107    68328    4229200 SH       SOLE            839900          0    3389300
CHASE MANHATTAN CORPORATION    COMM STK   16161A108   177477    3842532 SH       SOLE            758751          0    3083781
CHATTEM                        COMM STK   162456107     4776     502700 SH       SOLE            130200          0     372500
CHECKFREE HOLDINGS             COMM STK   162813109      251       6000 SH       SOLE              3800          0       2200
CHEVRON CORPORATION            COMM STK   166751107   466913    5476986 SH       SOLE           1350380          0    4126606
CHIEFTAN INTL FDG              CVPFSTKF   168672202     1090      40000 SH       SOLE                 0          0      40000
CHIEFTAIN INTERNATIONAL        COMM STK   16867C101    30529    1475700 SH       SOLE            443000          0    1032700
CHILDREN'S COMP SVC            COMM STK   16875K202     2497     733014 SH       SOLE             33014          0     700000
CHINA MOBILE LIMITED           ADR        16941M109    20371     628000 SH       SOLE            107000          0     521000
CHINA UNICOM - ADR             ADR        16945R104    21446     983200 SH       SOLE            348200          0     635000
CHIRON CORP                    COMM STK   170040109      869      19296 SH       SOLE              2300          0      16996
CHITTENDEN CORP                COMM STK   170228100    34293    1335014 SH       SOLE            326914          0    1008100
CHOICEPOINT INC                COMM STK   170388102     4009      87394 SH       SOLE             75532          0      11862
CHOICE ONE COMMUNICATIONS INC  COMM STK   17038P104    10539     867000 SH       SOLE             56700          0     810300
CHORDIANT SOFTWARE INC         COMM STK   170404107    20076    2611465 SH       SOLE                 0          0    2611465
CHRIS CRAFT INDS INC           COMM STK   170520100    35648     432756 SH       SOLE            153966          0     278790
CHROMCRAFT REVINGTON INC       COMM STK   171117104     8377    1031000 SH       SOLE             31000          0    1000000
CHUBB CORPORATION              COMM STK   171232101   189624    2396516 SH       SOLE            598331          0    1798185
CIBER INC                      COMM STK   17163B102    14775    1790900 SH       SOLE            396400          0    1394500
CIENA CORP                     COMM STK   171779101   440146    3585710 SH       SOLE            404100          0    3181610
CINCINNATI FINL CORP           COMM STK   172062101     3803     107021 SH       SOLE             47986          0      59035
CINERGY CORP.                  COMM STK   172474108     3163      95662 SH       SOLE             37409          0      58253
CIRCLE INTL GROUP INC          COMM STK   172574105     3480     114800 SH       SOLE             11400          0     103400
CIRCUIT CITY STORES INC        COMM STK   172737108   117221    4935989 SH       SOLE            908377          0    4027612
CISCO SYSTEMS INC              COMM STK   17275R102  1773187   31301640 SH       SOLE           7100698          0   24200942
CITADEL COMMUNICATIONS CORP    COMM STK   172853202    19838    1169100 SH       SOLE            331600          0     837500
CINTAS CORPORATION             COMM STK   172908105     8311     190647 SH       SOLE            165548          0      25099
CITIGROUP INC.                 COMM STK   172967101  1142511   20455139 SH       SOLE           5886578          0   14568560
CITIZENS BKG CORP MICH         COMM STK   174420109    20511     889360 SH       SOLE            233760          0     655600
CITIZENS UTILITIES CO.         COMM STK   17453B101      275      20474 SH       SOLE              9900          0      10574
CITRIX SYSTEMS INC.            COMM STK   177376100     3757     186987 SH       SOLE            116087          0      70900
CITY NATIONAL CORPORATION      COMM STK   178566105     3424      88650 SH       SOLE             77550          0      11100
SQL FINANCIALS INTL            COMM STK   182707109      625      27350 SH       SOLE             21000          0       6350
CLASSIC COMMUNICATIONS, INC.   COMM STK   182728204     4237     831900 SH       SOLE            111200          0     720700
CLAYTON HOMES INC              COMM STK   184190106      141      14050 SH       SOLE              8600          0       5450
CLEAR CHANNEL COMMUNICATIONS,  COMM STK   184502102   280217    4788289 SH       SOLE            773625          0    4014664
CLEARNET COMMUNICATIONS, INC.  COMM STK   184902104    41120     717000 SH       SOLE             75000          0     642000
CLEVELAND-CLIFFS INC           COMM STK   185896107     5300     231700 SH       SOLE               100          0     231600
CLOROX COMPANY                 COMM STK   189054109    12034     304175 SH       SOLE            210717          0      93458
COASTAL CORP.                  COMM STK   190441105    11067     149306 SH       SOLE             71508          0      77798
COBALT NETWORKS INC            COMM STK   19074R101      816      14100 SH       SOLE              9200          0       4900
COCA-COLA COMPANY              COMM STK   191216100   294516    5096479 SH       SOLE           1817165          0    3279314
COCA-COLA ENTERPRISES INC.     COMM STK   191219104     4165     261345 SH       SOLE            106747          0     154598
Coca-Cola Femsa                ADR        191241108     8764     438200 SH       SOLE            438200          0          0
COFLEXIP SPONSORED ADR         ADR        192384105    48295     773500 SH       SOLE             43500          0     730000
COGNEX CORP                    COMM STK   192422103   221117    5611225 SH       SOLE            633125          0    4978100
COGNIZANT TECHNOLOGY SOLUTION  COMM STK   192446102      706      18100 SH       SOLE             12800          0       5300
COHERENT INC                   COMM STK   192479103     1133      16650 SH       SOLE             11700          0       4950
COHU INC                       COMM STK   192576106      842      55300 SH       SOLE             41800          0      13500
COLD METAL PRODUCTS INC.       COMM STK   192861102      975     400000 SH       SOLE                 0          0     400000
COLE KENNETH PRODUCTIONS       COMM STK   193294105     1490      42200 SH       SOLE             31600          0      10600
COLLATERAL THERAPEUTICS        COMM STK   193921103      913      31700 SH       SOLE             23000          0       8700
COLGATE-PALMOLIVE CO.          COMM STK   194162103    61057    1293591 SH       SOLE            473148          0     820443
COLLAGENEX PHARMA INC CO       COMM STK   19419B100       93      10700 SH       SOLE             10700          0          0
COLUMBIA ENERGY GROUP          COMM STK   197648108     3346      47131 SH       SOLE             18382          0      28749
COLUMBIA SPORTSWEAR            COMM STK   198516106    21819     477900 SH       SOLE            116100          0     361800
COMFORT SYSTEMS USA INC        COMM STK   199908104    14678    2829400 SH       SOLE            237400          0    2592000
COMARCO INC                    COMM STK   200080109    12578     358100 SH       SOLE              7700          0     350400
COMCAST CORPORATION            COMM STK   200300200   296252    6615747 SH       SOLE            965621          0    5650126
COMDISCO, INC.                 COMM STK   200336105      408      21410 SH       SOLE             15200          0       6210
COMERICA INCORPORATED          COMM STK   200340107     5600      95825 SH       SOLE             38424          0      57401
COMMERCE BANCORP INC NJ        COMM STK   200519106     2218      38117 SH       SOLE             28189          0       9928
COMMERCE BANCSHARES INC        COMM STK   200525103      303       8242 SH       SOLE              5636          0       2606
COMMERCE ONE INC               COMM STK   200693109     2819      35900 SH       SOLE             24440          0      11460
COMMSCOPE INC                  COMM STK   203372107     1024      41800 SH       SOLE             31100          0      10700
COMMUNITY FIRST BANKSHARES INC COMM STK   203902101    25853    1469424 SH       SOLE            379500          0    1089924
COMPAGNIE GEN GEOPHYS  -       ADR        204386106     4322     300000 SH       SOLE            155900          0     144100
Pao De Acucar                  ADR        20440T201    14932     401547 SH       SOLE            401547          0          0
VALE DO RIO DOC                ADR        204412100     9235     375700 SH       SOLE            349400          0      26300
Cia Anonima Nacional Tele Vene ADR        204421101     7944     325079 SH       SOLE            325079          0          0
COMPANIA DE TELECOM DE         ADR        204449300     1565      90109 SH       SOLE             72709          0      17400
COMPAQ COMPUTER CORP           COMM STK   204493100   136439    4947034 SH       SOLE           1121089          0    3825945
COMPASS BANCSHARES INC         COMM STK   20449H109      419      21450 SH       SOLE             16100          0       5350
COMPUCOM SYSTEMS INC           COMM STK   204780100     6773    2491400 SH       SOLE            760800          0    1730600
COMPUTER ASSOCIATES INTL       COMM STK   204912109    19209     762632 SH       SOLE            429352          0     333280
COMPUTER SCIENCES CORP         COMM STK   205363104     8009     107861 SH       SOLE             46042          0      61819
COMPUWARE CORPORATION          COMM STK   205638109     1857     222134 SH       SOLE             87864          0     134270
COMPX INTERNATIONAL INC        COMM STK   20563P101    23062    1098200 SH       SOLE            285700          0     812500
COMVERSE TECHNOLOGY INC        COMM STK   205862402    97658     833005 SH       SOLE            719907          0     113098
CONAGRA FOODS, INC.            COMM STK   205887102     9043     450764 SH       SOLE            200533          0     250231
COM21 INC                      COMM STK   205937105     1445     107300 SH       SOLE             89400          0      17900
CONCORD COMMUNICATIONS INC     COMM STK   206186108    55264    2087900 SH       SOLE            313900          0    1774000
CONCORD EFS INC                COMM STK   206197105   260511    6818237 SH       SOLE           1405187          0    5413050
CONCUR TECHNOLOGIES INC        COMM STK   206708109      250     104032 SH       SOLE             84255          0      19777
CONCURRENT COMPUTER CORP       COMM STK   206710204      455      23900 SH       SOLE             16700          0       7200
CONE MLS CORP INC              COMM STK   206814105     5064    1125300 SH       SOLE            277900          0     847400
SONEXANT SYSTEMS INC-W/I       COMM STK   207142100     6837     163382 SH       SOLE             78252          0      85130
CONNECTICS CORPORATION         COMM STK   208192104     1616      66900 SH       SOLE             36100          0      30800
CONOCO INC.                    COMM STK   208251405    24596     913078 SH       SOLE            171410          0     741668
CONSECO INC.                   COMM STK   208464107     2399     314634 SH       SOLE            115035          0     199599
CONSOLIDATED EDISON, INC.      COMM STK   209115104     6717     196846 SH       SOLE             65896          0     130950
CONSOLIDATED GRAPHICS  INC     COMM STK   209341106     5425     461700 SH       SOLE               100          0     461600
CONSOLIDATED PRODUCTS, INC.    COMM STK   209798107     9261    1157677 SH       SOLE            218577          0     939100
CONSOLIDATED STORES            COMM STK   210149100    38683    2865374 SH       SOLE            646739          0    2218635
CONSTELLATION ENERGY GROUP, IN COMM STK   210371100     6811     136897 SH       SOLE             72972          0      63925
CONVERGYS CORP                 COMM STK   212485106     3629      93338 SH       SOLE             37338          0      56000
COOPER CAMERON CORP            COMM STK   216640102    68522     929900 SH       SOLE             79100          0     850800
COOPER INDUSTRIES INC.         COMM STK   216669101    53370    1514034 SH       SOLE            385647          0    1128387
COOPER TIRE & RUBBER CO        COMM STK   216831107      436      43352 SH       SOLE             16635          0      26717
COORS ADOLPH CO CLASS B        COMM STK   217016104     1378      21806 SH       SOLE              9032          0      12774
COPPER MOUNTAIN NETWORKS INC   COMM STK   217510106     1664      44200 SH       SOLE             32500          0      11700
COR THERAUPETICS INC           COMM STK   217753102   139765    2241848 SH       SOLE            118548          0    2123300
CORIO INC                      COMM STK   218875102      473      61900 SH       SOLE             12500          0      49400
CORIXA CORP                    COMM STK   21887F100     1044      20800 SH       SOLE             20000          0        800
CORN PRODUCTS INTERNATIONAL    COMM STK   219023108      345      15150 SH       SOLE              4875          0      10275
CORNING INCORPORATED           COMM STK   219350105  1063540    3548828 SH       SOLE            673806          0    2875022
CORPORATE EXECUTIVE BOARD CO   COMM STK   21988R102    16189     402200 SH       SOLE               800          0     401400
CORRPRO COS INC                COMM STK   220317101     1452     362900 SH       SOLE             49000          0     313900
CORVIS CORPORATION             COMM STK   221009103     1035      16900 SH       SOLE              3900          0      13000
COST PLUS INC CALIF COM        COMM STK   221485105     1142      37875 SH       SOLE             27075          0      10800
COSTCO WHOLESALE CORP.         COMM STK   22160K105    37413    1069909 SH       SOLE            135805          0     934104
COSTAR GROUP INC               COMM STK   22160N109     9302     251200 SH       SOLE               200          0     251000
COULTER PHARMACEUTICAL         COMM STK   222116105     1909      66250 SH       SOLE             65350          0        900
COUNTRYWIDE CREDIT INDUSTRIES  COMM STK   222372104     4997     132369 SH       SOLE             27919          0     104450
COURIER CORP                   COMM STK   222660102     6728     234000 SH       SOLE                 0          0     234000
COUSINS PROPERTIES INC         COMM STK   222795106     9580     222460 SH       SOLE              4600          0     217860
COVAD COMMUNICATIONS GROUP INC COMM STK   222814204      836      62324 SH       SOLE             56749          0       5575
COX COMMUNICATIONS INC.        COMM STK   224044107    49944    1305729 SH       SOLE             60284          0    1245445
COX RADIO INC CLASS A          COMM STK   224051102     1677      96200 SH       SOLE             40400          0      55800
CRANE CO.                      COMM STK   224399105     1064      46525 SH       SOLE             23793          0      22732
CRAWFORD & CO CL B             COMM STK   224633107      348      28550 SH       SOLE             23950          0       4600
CREE RESEARCH INC              COMM STK   225447101     4268      36700 SH       SOLE             30350          0       6350
CRESCENT R E EQUITIES          COMM STK   225756105     1073      48100 SH       SOLE              7500          0      40600
CRITICAL PATH INC              COMM STK   22674V100     2441      25442 SH       SOLE              3042          0      22400
CK WITCO CORP                  COMM STK   227116100      162      20514 SH       SOLE             15490          0       5024
CROSS TIMBERS OIL CO.          COMM STK   227573102    69714    3633300 SH       SOLE            776700          0    2856600
CROSS TIMBERS OIL CO.          CVPFSTKF   227573201    12374     537990 SH       SOLE             50600          0     487390
CROSSROADS SYSTEMS INC         COMM STK   22765D100      511      60284 SH       SOLE             59264          0       1020
CROWN CASTLE INTL CORP         COMM STK   228227104   109355    3524044 SH       SOLE            712394          0    2811650
CROWN CORK & SEAL COMPANY, INC COMM STK   228255105     1111     103971 SH       SOLE             52242          0      51729
CUBIST PHARMACEUTICALS I       COMM STK   229678107    31973     614500 SH       SOLE             64900          0     549600
CULP INC.                      COMM STK   230215105     4588    1147100 SH       SOLE            198200          0     948900
CUMMINS ENGINE                 COMM STK   231021106      716      23928 SH       SOLE              9359          0      14569
CURIS INC                      COMM STK   231269101      767      38790 SH       SOLE             17740          0      21050
CYBERSOURCE CORP               COMM STK   23251J106      493      43700 SH       SOLE             42100          0       1600
CYMER INC.                     COMM STK   232572107     1530      49900 SH       SOLE             37300          0      12600
CYPRESS COMMNICATIONS INC      COMM STK   232743104     2024     757600 SH       SOLE            194200          0     563400
CYPRESS SEMICONDUCTOR          COMM STK   232806109      274       6600 SH       SOLE              2400          0       4200
CYTEC INDUSTRIES INC           COMM STK   232820100      363      10871 SH       SOLE              9100          0       1771
CYTYC CORP                     COMM STK   232946103    57532    1328300 SH       SOLE            344300          0     984000
DDI CORP /CA                   COMM STK   233162106    45595    1027500 SH       SOLE            210400          0     817100
DPL, INC.                      COMM STK   233293109      571      19200 SH       SOLE             13600          0       5600
DQE, INC.                      COMM STK   23329J104      309       7700 SH       SOLE              4300          0       3400
D R HORTON INC                 COMM STK   23331A109      197      11445 SH       SOLE              7412          0       4033
DST SYSTEMS INC                COMM STK   233326107     4479      38120 SH       SOLE             32050          0       6070
DTE ENERGY CO.                 COMM STK   233331107     3323      86880 SH       SOLE             34392          0      52488
DAISYTEK INTERNATIONAL C       COMM STK   234053106     3179     501100 SH       SOLE               400          0     500700
DAL TILE INTL INC              COMM STK   23426R108     3304     264300 SH       SOLE               300          0     264000
DALLAS SEMICONDUCTOR CORP      COMM STK   235204104     4685     142500 SH       SOLE            126600          0      15900
DAN RIVER INC                  COMM STK   235774106     9380    2175100 SH       SOLE            636600          0    1538500
DANA CORP.                     COMM STK   235811106    33154    1542045 SH       SOLE            287396          0    1254649
DANAHER CORP                   COMM STK   235851102   209614    4074183 SH       SOLE           1104019          0    2970164
DARDEN RESTAURANTS, INC.       COMM STK   237194105     1920      92256 SH       SOLE             39253          0      53003
DATA CRITICAL CORP             COMM STK   237622105      303      40800 SH       SOLE             40600          0        200
DATASCOPE CORP                 COMM STK   238113104     1969      58600 SH       SOLE             43200          0      15400
DEAN FOODS CO                  COMM STK   242361103      266       8000 SH       SOLE              6300          0       1700
DEERE & COMPANY                COMM STK   244199105    10181     306207 SH       SOLE             69267          0     236940
DELL COMPUTER CORP             COMM STK   247025109   320192    9769858 SH       SOLE           2400671          0    7369187
DELPHI AUTO SYSTEMS CORP.      COMM STK   247126105     6243     412792 SH       SOLE            140883          0     271909
DELTA & PINE LAND COMPAN       COMM STK   247357106    25883    1007600 SH       SOLE            207000          0     800600
DELTA AIR LINES INC.           COMM STK   247361108    25865     582868 SH       SOLE             35329          0     547539
DELTAGEN INC                   COMM STK   24783R103     8721     281600 SH       SOLE                 0          0     281600
DELTIC TIMBER CORP             COMM STK   247850100     1362      80442 SH       SOLE             80442          0          0
DELTA FINANCIAL CORP.          COMM STK   247918105      757    1009900 SH       SOLE            133800          0     876100
DELUXE CORP                    COMM STK   248019101      855      42115 SH       SOLE             16253          0      25862
DENDRITE INTERNATIONAL         COMM STK   248239105      762      28450 SH       SOLE             21100          0       7350
DENTSPLY INTERNATIONAL INC     COMM STK   249030107     1260      36000 SH       SOLE             28300          0       7700
DEVON ENERGY CORP              COMM STK   25179M103   186975    3108487 SH       SOLE            667440          0    2441047
DEVRY INC                      COMM STK   251893103    20156     535700 SH       SOLE            202600          0     333100
DIAGEO PLC                     ADR        25243Q205     2361      66859 SH       SOLE             19849          0      47010
DIAL CORP NEW                  COMM STK   25247D101      164      14100 SH       SOLE             10500          0       3600
DIAMETRICS MED INC    CO       COMM STK   252532106      112      14000 SH       SOLE             14000          0          0
DIAMOND OFFSHORE DRILLNG       COMM STK   25271C102    94554    2306200 SH       SOLE            357300          0    1948900
DIAMOND TECHNOLOGY             COMM STK   252762109     3557      48050 SH       SOLE             36400          0      11650
DIEBOLD INC                    COMM STK   253651103     8216     309312 SH       SOLE            306612          0       2700
DIGITAL IMPACT INC             COMM STK   25385G106     6196     946400 SH       SOLE            399700          0     546700
DIGITAL ISLAND INC             COMM STK   25385N101     1144      60808 SH       SOLE             58058          0       2750
DIGITAL RIV INC                COMM STK   25388B104      121      18800 SH       SOLE             14900          0       3900
DIGITALTHINK INC               COMM STK   25388M100    11634     276800 SH       SOLE               600          0     276200
DIGITAL GENERATION SYSTE       COMM STK   253921100      771     181400 SH       SOLE            181400          0          0
DILLARD'S INC.                 COMM STK   254067101     6033     567814 SH       SOLE             32671          0     535143
DIME BANCORP, INC.             COMM STK   25429Q102      401      18620 SH       SOLE             13820          0       4800
DIONEX CORP                    COMM STK   254546104     3212     115600 SH       SOLE            100450          0      15150
DISCOUNT AUTO PTS INC          COMM STK   254642101     6147     799630 SH       SOLE               200          0     799430
DISNEY (WALT) COMPANY          COMM STK   254687106   318874    8090365 SH       SOLE           2313977          0    5776388
DITECH COMMUNICATIONS CORP     COMM STK   25500M103     9689     236500 SH       SOLE             91900          0     144600
DIXIE GROUP INC.               CONV BND   255519AA8      346     582000 PRN      SOLE                 0          0     582000
DOLLAR GEN CORP                COMM STK   256669102     9233     551202 SH       SOLE            402510          0     148692
DOLLAR TREE STORES INC.        COMM STK   256747106     4177     103049 SH       SOLE             83537          0      19512
DOMINION RESOURCES INC VA      COMM STK   25746U109     9604     165404 SH       SOLE             78451          0      86953
DONALDSON CO INC               COMM STK   257651109     3549     161322 SH       SOLE             88950          0      72372
DONALDSON LUFKIN & JENRETTE IN COMM STK   257661108    50559     565300 SH       SOLE            114500          0     450800
DONCASTERS PLC                 ADR        257692103     5413     267300 SH       SOLE             56500          0     210800
DONNELLEY (R.R.) & SONS COMPAN COMM STK   257867101   138763    5649394 SH       SOLE           1196609          0    4452785
DOUBLECLICK INC                COMM STK   258609304   343224   10715292 SH       SOLE           1369770          0    9345522
DOVER CORPORATION              COMM STK   260003108    18773     399955 SH       SOLE            322062          0      77893
DOW CHEMICAL COMPANY           COMM STK   260543103   121048    4854056 SH       SOLE           1126905          0    3727151
DOW JONES & CO. INC.           COMM STK   260561105    57039     942795 SH       SOLE            218367          0     724428
DOWNEY FINANCIAL CORP          COMM STK   261018105    56469    1429600 SH       SOLE            366500          0    1063100
DREYERS GRAND ICE CREAM        COMM STK   261878102      499      23200 SH       SOLE             16000          0       7200
DU PONT (EI) DE NEMOURS & CO.  COMM STK   263534109   250099    6035571 SH       SOLE           1448569          0    4587002
DUANE READE INC                COMM STK   263578106    49070    2023500 SH       SOLE            292300          0    1731200
DUFF & PHELPS UTILS            COMM STK   264324104      166      17000 SH       SOLE                 0          0      17000
DUKE ENERGY CORPORATION        COMM STK   264399106   206798    2411635 SH       SOLE            605054          0    1806581
DUKE RLTY INVTS INC NEW        COMM STK   264411505    21741     901175 SH       SOLE             70944          0     830231
DUN & BRADSTREET CORP WI       COMM STK   26483B106   119924    3482380 SH       SOLE            820436          0    2661944
DYCOM INDUSTRIES INC           COMM STK   267475101     4493     107950 SH       SOLE             89925          0      18025
DYNEGY INC.                    COMM STK   26816Q101     9359     164194 SH       SOLE             74498          0      89696
EEX CORP                       COMM STK   26842V207     1517     311080 SH       SOLE               400          0     310680
EAGLE USA AIR FREIGHT          COMM STK   268484102    61828    2027150 SH       SOLE            317150          0    1710000
E-LOAN INC                     COMM STK   26861P107      216      50900 SH       SOLE             15000          0      35900
EMC CORP-MASS                  COMM STK   268648102   721198    7275645 SH       SOLE           1385879          0    5889766
ENSCO INTERNATIONAL INC        COMM STK   26874Q100      727      19000 SH       SOLE             13500          0       5500
ENI SPA                        ADR        26874R108     2938      55500 SH       SOLE             12000          0      43500
ENRON OIL & GAS CO.            COMM STK   26875P101    12067     310400 SH       SOLE              3000          0     307400
EPIX MEDICAL INC               COMM STK   26881Q101     7542     551000 SH       SOLE              1000          0     550000
E PIPHANY INC                  COMM STK   26881V100     3965      51469 SH       SOLE             40252          0      11217
E TRADE GROUP INC              COMM STK   269246104    70579    4285630 SH       SOLE            659300          0    3626330
E TRADE GROUP INC              CONV BND   269246AA2    38296   41825000 PRN      SOLE                 0          0   41825000
EASTERN ENTERPRISES            COMM STK   27637F100     1045      16378 SH       SOLE              6102          0      10276
EASTGROUP PPTY INC             COMM STK   277276101    25285    1136400 SH       SOLE            268800          0     867600
EASTMAN CHEMICAL CO.           COMM STK   277432100     1747      47305 SH       SOLE             19700          0      27605
EASTMAN KODAK COMPANY          COMM STK   277461109   157000    3840981 SH       SOLE            891500          0    2949481
EATON CORP.                    COMM STK   278058102    78354    1271457 SH       SOLE            248730          0    1022727
EATON VANCE CORP               COMM STK   278265103    11618     227800 SH       SOLE            219400          0       8400
EBAY INC                       COMM STK   278642103     6824      99300 SH       SOLE              3500          0      95800
EBENX INC                      COMM STK   278668108     1437     127400 SH       SOLE             46400          0      81000
EBIX COM INC                   COMM STK   278715107     2629     751000 SH       SOLE             43000          0     708000
ECHELON CORP                   COMM STK   27874N105      359      12200 SH       SOLE              8400          0       3800
ECHOSTAR                       COMM STK   278762109      623      11800 SH       SOLE              2900          0       8900
ECLIPSYS CORP                  COMM STK   278856109     1725     107605 SH       SOLE            105405          0       2200
ECO SOIL SYSTEMS INC           COMM STK   278858105      295     270000 SH       SOLE                 0          0     270000
ECOLAB INC                     COMM STK   278865100     7347     203743 SH       SOLE            146736          0      57007
EDGEWATER TECHNOLOGY INC       COMM STK   280358102    10013    1941900 SH       SOLE            350200          0    1591700
EDISON INTERNATIONAL           COMM STK   281020107     7327     379375 SH       SOLE            134883          0     244492
EDISON SCHOOLS INC             COMM STK   281033100    27317     858700 SH       SOLE            125800          0     732900
EDO CORP                       COMM STK   281347104     1595     181000 SH       SOLE                 0          0     181000
EDUCATION MANAGEMENT CORP      COMM STK   28139T101     1584      58600 SH       SOLE             55000          0       3600
EDWARDS A G INC                COMM STK   281760108     8885     169845 SH       SOLE            146033          0      23812
EDWARDS LIFESCIENCES CP  WI    COMM STK   28176E108      387      17721 SH       SOLE              3440          0      14281
EFFICIENT NETWORKS INC         COMM STK   282056100    14006     373814 SH       SOLE            350660          0      23154
EL PASO ENERGY CORP            COMM STK   283905107    38923     524567 SH       SOLE             67509          0     457058
ELN CORP PLC ADR               ADR        284131208     2482      56500 SH       SOLE             46700          0       9800
ELECTRO-RENT CORP              COMM STK   285218103    42991    3363600 SH       SOLE            591500          0    2772100
ELECTRONIC ARTS INC            COMM STK   285512109   802907   16100300 SH       SOLE           1976000          0   14124300
ELECTRONIC DATA SYSTEMS CORP.  COMM STK   285661104    15044     362503 SH       SOLE            147621          0     214882
ELECTRONICS FOR IMAGING        COMM STK   286082102    38097    1503200 SH       SOLE               700          0    1502500
ELOQUENT INC                   COMM STK   290140102      759     266814 SH       SOLE            220514          0      46300
ELOYALTY CORP                  COMM STK   290151109    21453    1678500 SH       SOLE            276600          0    1401900
EMBARCADERO TECHNOLOGIES INC   COMM STK   290787100     1136      21900 SH       SOLE             15600          0       6300
Embratel Participacoes SA      ADR        29081N100    30402    1643400 SH       SOLE           1442400          0     201000
Embotelladora Andina SA        ADR        29081P204     3378     266251 SH       SOLE            266251          0          0
EMERGE INTERACTIVE INC         COMM STK   29088W103     6299     401550 SH       SOLE               400          0     401150
EMERSON ELECTRIC CO.           COMM STK   291011104    37451     558966 SH       SOLE            338307          0     220659
EMMIS COMMUNICATIONS CORP      COMM STK   291525103    34923    1412800 SH       SOLE            305100          0    1107700
EMPRESA NACIAONAL ELEC CHILE S ADR        29244T101     1336     121431 SH       SOLE             32188          0      89243
EMULEX CORP                    COMM STK   292475209     1997      16400 SH       SOLE             11600          0       4800
ENCOMPASS SERVICES CORP        COMM STK   29255U104     7210     887331 SH       SOLE               645          0     886686
ENDESA SA SPONSORED ADR        ADR        29258N107     1013      54050 SH       SOLE              1350          0      52700
ENERGY EAST CORPORATION        COMM STK   29266M109      408      18020 SH       SOLE             13020          0       5000
ENERGIZER HOLDINGS INC         COMM STK   29266R108     1805      73663 SH       SOLE              4598          0      69065
Enersis SA                     ADR        29274F104     5507     309213 SH       SOLE            309213          0          0
ENGELHARD CORP                 COMM STK   292845104     1281      78829 SH       SOLE             28307          0      50522
ENDOCARDIAL SOLUTIONS IN       COMM STK   292962107      629      95000 SH       SOLE             95000          0          0
ENRON CORP.                    COMM STK   293561106    53004     604900 SH       SOLE            228998          0     375902
ENTERCOM COMMUNICATIONS CORP   COMM STK   293639100    12777     426800 SH       SOLE             92500          0     334300
ENTERGY CORPORATION            COMM STK   29364G103     9252     248375 SH       SOLE             76714          0     171661
ENTRAVISION COMMUNICATIONS     COMM STK   29382R107    29791    1714600 SH       SOLE            375900          0    1338700
ENTRUST TECHNOLOGIES           COMM STK   293848107      806      29200 SH       SOLE             27500          0       1700
ENZON INC                      COMM STK   293904108     3260      49370 SH       SOLE             36800          0      12570
ENZO BIOCHEM INC               COMM STK   294100102     1145      23600 SH       SOLE             18200          0       5400
Equant NV                      COMM STK   294409107    24256     666382 SH       SOLE            635663          0      24706
EQUIFAX INC                    COMM STK   294429105    16857     625765 SH       SOLE            281680          0     344085
EQUITABLE RESOURCES INC.       COMM STK   294549100      234       3700 SH       SOLE              1900          0       1800
EQUITY OFFICE PROPERTIES TRUST COMM STK   294741103    26164     842310 SH       SOLE            117996          0     724314
EQUITY RESIDENTIAL PPTYS       COMM STK   29476L107     2373      49431 SH       SOLE             11500          0      37931
EQUITY RESIDENTIAL PPTYS       CVPFSTKF   29476L859     3686     162900 SH       SOLE              2500          0     160400
ERICSSON (TELEFONAKTIEBOLAGET  ADR        294821400   158537   10725540 SH       SOLE           1521400          0    9204140
ERIE INDEMNITY                 COMM STK   29530P102     1132      38300 SH       SOLE             34800          0       3500
ESPEED INC                     COMM STK   296643109    17294     608800 SH       SOLE             45600          0     563200
ETHAN ALLEN INTERIOR INC       COMM STK   297602104      678      23950 SH       SOLE             18250          0       5700
EXAR CORP                      COMM STK   300645108    30778     254300 SH       SOLE             82050          0     172250
EXCALIBUR TECHNOLOGIES C       COMM STK   300651205    50481     750300 SH       SOLE                 0          0     750300
EXCHANGE APPLICATIONS COM      COMM STK   300867108      113      25000 SH       SOLE             18300          0       6700
EXELIXIS INC                   COMM STK   30161Q104     6009     192300 SH       SOLE               500          0     191800
EXTENDED SYSTEMS INC           COMM STK   301973103      747      13900 SH       SOLE             10300          0       3600
EXODUS COMMUNICATIONS INC.     COMM STK   302088109   460701    9313004 SH       SOLE            672500          0    8640504
EXPEDITORS INC WASH INC        COMM STK   302130109    59414    1319400 SH       SOLE            375400          0     944000
EXPRESS SCRIPTS CL A COM       COMM STK   302182100     4239      58650 SH       SOLE             50700          0       7950
EXTENDED STAY AMERICA          COMM STK   30224P101    26550    2003800 SH       SOLE              1400          0    2002400
EXTREME NETWORKS INC           COMM STK   30226D106      767       6700 SH       SOLE              2500          0       4200
EXXON MOBIL CORPORATION        COMM STK   30231G102  1031522   11275289 SH       SOLE           3097161          0    8178128
FLIR SYSTEMS INC               COMM STK   302445101     3609     600000 SH       SOLE            225000          0     375000
FMC CORP.                      COMM STK   302491303    13136     195871 SH       SOLE             36417          0     159454
FPL GROUP INC.                 COMM STK   302571104    15674     238395 SH       SOLE            147759          0      90636
F Y I INC                      COMM STK   302712104    69419    1855800 SH       SOLE            446100          0    1409700
FACTSET RESEARCH SYSTEMS       COMM STK   303075105     5238     139300 SH       SOLE            113100          0      26200
FAIR ISSAC & COMPANY INC       COMM STK   303250104     1007      23600 SH       SOLE             17700          0       5900
FAMILY DOLLAR STORES INC       COMM STK   307000109   170673    8866130 SH       SOLE           1222900          0    7643230
FASTENAL CO                    COMM STK   311900104      287       5000 SH       SOLE              3500          0       1500
FEDERAL HOME LOAN MORTGAGE COR COMM STK   313400301   708561   12292681 SH       SOLE           3105466          0    9187215
FEDERAL NATIONAL MORTGAGE ASSN COMM STK   313586109   767137   10322361 SH       SOLE           2790737          0    7531624
FED REALTY INV TRUST           COMM STK   313747206    24258    1268400 SH       SOLE              2600          0    1265800
FEDERATED DEPARTMENT STORES IN COMM STK   31410H101     4557     174436 SH       SOLE             53415          0     121021
FEDERATED INVESTORS            COMM STK   314211103   130246    5262450 SH       SOLE           1228850          0    4033600
FDX CORPORATION                COMM STK   31428X106     9355     210980 SH       SOLE             95494          0     115486
INTERNET SOFTWARE              COMM STK   315616102      450      13200 SH       SOLE             10400          0       2800
FIFTH THIRD BANCORP            COMM STK   316773100    17459     324249 SH       SOLE            153413          0     170836
FINANCIAL FED CORP             COMM STK   317492106    31243    1291700 SH       SOLE             87600          0    1204100
FINISAR CORPORATION            COMM STK   31787A101      483      10000 SH       SOLE              3300          0       6700
FIREPOND INC                   COMM STK   318224102     7742     530500 SH       SOLE             20400          0     510100
FIRST BELL BANCORP INC         COMM STK   319301107     2511     163300 SH       SOLE             55100          0     108200
FIRST DATA CORPORATION         COMM STK   319963104   255588    5975632 SH       SOLE           1281844          0    4693788
FIRST FINANCIAL FUND INC       INVCOSTK   320228109     9289     958910 SH       SOLE            328100          0     630810
FIRST INTERNATIONAL BANCORP    COMM STK   32054Q100     2393     324500 SH       SOLE                 0          0     324500
FIRST MARINER BANK             COMM STK   320795107      271      55200 SH       SOLE              4000          0      51200
FIRST HEALTH GROUP CORP        COMM STK   320960107     1160      36000 SH       SOLE             23000          0      13000
FIRST REP BK SAN FRANCISCO     COMM STK   336158100    24437     811200 SH       SOLE            170200          0     641000
FIRST SECURITY CORPORATION     COMM STK   336294103     2599     159038 SH       SOLE             55499          0     103539
FIRST TENNESSEE NATIONAL CORP. COMM STK   337162101     4762     233000 SH       SOLE            169200          0      63800
FIRST UNION CORPORATION        COMM STK   337358105    27355     849865 SH       SOLE            388305          0     461560
FIRST VIRGINIA BANKS INC       COMM STK   337477103      714      16750 SH       SOLE             14850          0       1900
FIRST WASH RLTY TR INCCO       COMM STK   337489504    23216     914900 SH       SOLE            132500          0     782400
FIRSTAR CORPORATION            COMM STK   33763V109   280393   11921308 SH       SOLE           2724513          0    9196795
FISERV INC                     COMM STK   337738108     1882      31414 SH       SOLE             25725          0       5689
FIRSTMERIT CORP                COMM STK   337915102      751      32732 SH       SOLE             28832          0       3900
FIRSTENERGY CORP.              COMM STK   337932107   119272    4427741 SH       SOLE           1193673          0    3234068
FLEETBOSTON FINANCIAL CORPORAT COMM STK   339030108   256305    6571912 SH       SOLE           1648958          0    4922954
FLORIDA PROGRESS CORP.         COMM STK   341109106     3640      68752 SH       SOLE             33352          0      35400
FLORIDA ROCK INDS              COMM STK   341140101     2974      75400 SH       SOLE             61000          0      14400
FLOWERS INDUSTRIES, INC.       COMM STK   343496105      254      13000 SH       SOLE              8000          0       5000
FLUOR CORP                     COMM STK   343861100     1417      47233 SH       SOLE             19207          0      28026
FORCENERGY                     COMM STK   345206205     1664      64000 SH       SOLE             63500          0        500
FORD MOTOR COMPANY             COMM STK   345370860    32803    1295923 SH       SOLE            124724          0    1171199
FOREST LABS INC                COMM STK   345838106     1955      17050 SH       SOLE             12400          0       4650
FOREST OIL CORP.               COMM STK   346091606    32080    1981800 SH       SOLE            619300          0    1362500
FORRESTER RESEARCH INC         COMM STK   346563109     6319     101100 SH       SOLE               500          0     100600
FORT JAMES CORP.               COMM STK   347471104   290696    9511515 SH       SOLE           1644389          0    7867126
FORTUNE BRANDS, INC.           COMM STK   349631101   117386    4429648 SH       SOLE           1176832          0    3252816
FORWARD AIR CORP               COMM STK   349853101     2166      61500 SH       SOLE             46200          0      15300
FOSSIL INCORPORATED            COMM STK   349882100     1064      80875 SH       SOLE             60175          0      20700
HEALTH NET INC                 COMM STK   350404109      213      12800 SH       SOLE             10100          0       2700
FOUNDRY NETWORKS INC           COMM STK   35063R100    18609     278264 SH       SOLE            274014          0       4250
FOX ENTERTAINMENT GROUP        COMM STK   35138T107      231       8700 SH       SOLE              2200          0       6500
FRANCE TELECOM                 ADR        35177Q105     7499      71250 SH       SOLE              8150          0      63100
FRANKFORT FIRST BANCORP        COMM STK   352128201     1616     117500 SH       SOLE             35900          0      81600
FRANKLIN ELECTRIC CO INC       COMM STK   353514102    11600     166900 SH       SOLE             54600          0     112300
FRANKLIN RESOURCES INC         COMM STK   354613101    63925    1438772 SH       SOLE            449828          0     988944
FREDS INC CLASS A              COMM STK   356108100     8131     361900 SH       SOLE            181500          0     180400
FREEPORT-MCMORAN COPPER AND GO COMM STK   35671D857      843      95603 SH       SOLE             35026          0      60577
FRESH CHOICE INC               COMM STK   358032100     1505     560000 SH       SOLE                 0          0     560000
FROZEN FOOD EXPRESS INDS       COMM STK   359360104      686     276200 SH       SOLE               100          0     276100
FUEL-TECH N V                  COMM STK   359523107      127      61800 SH       SOLE                 0          0      61800
FURNITURE BRANDS INTL          COMM STK   360921100      499      30000 SH       SOLE             22700          0       7300
G&K SERVICES INC               COMM STK   361268105    12028     428150 SH       SOLE            115900          0     312250
GATX CORPORATION               COMM STK   361448103      230       5500 SH       SOLE              3400          0       2100
GPU, INC.                      COMM STK   36225X100    10342     318836 SH       SOLE             76119          0     242717
GABLES RESIDENTIAL TRUST       COMM STK   362418105     1003      36900 SH       SOLE               300          0      36600
GALILEO INTERNATIONAL INC      COMM STK   363547100    57794    3728650 SH       SOLE            636050          0    3092600
GALLAGHER ARTHUR J & CO        COMM STK   363576109    10968     185500 SH       SOLE            184100          0       1400
GANNETT CO., INC.              COMM STK   364730101    12691     239444 SH       SOLE            105077          0     134367
GAP, INC. (THE)                COMM STK   364760108    13191     655457 SH       SOLE            230743          0     424714
GARDEN FRESH RESTAURANT        COMM STK   365235100     5382     465500 SH       SOLE             53000          0     412500
GATEWAY 2000 INC               COMM STK   367626108    10738     229690 SH       SOLE            107698          0     121992
Gemini Genomics                ADR        36865M109     6355     442100 SH       SOLE            442100          0          0
GEMSTAR TV GUIDE INTL INC      COMM STK   36866W106     3371      38650 SH       SOLE             21750          0      16900
GENE LOGIC INCORPORATED        COMM STK   368689105     4284     186760 SH       SOLE               800          0     185960
GENENTECH INC COM SPL          COMM STK   368710406   228112    1228470 SH       SOLE            395600          0     832870
GENERAL AMERICAN INVS          INVCOSTK   368802104      590      14107 SH       SOLE                 0          0      14107
GENERAL DYNAMICS CORPORATION   COMM STK   369550108     8448     134502 SH       SOLE             59023          0      75479
GENERAL ELECTRIC COMPANY       COMM STK   369604103  1140070   21406018 SH       SOLE           8684651          0   12721367
GENERAL MILLS INC.             COMM STK   370334104   198461    5590455 SH       SOLE           1387937          0    4202518
GENERAL MOTORS CORP.           COMM STK   370442105    75354    1159287 SH       SOLE            347313          0     811974
GENERAL MOTORS CORP.           COMM STK   370442832     2756      74123 SH       SOLE             42705          0      31418
GENTEX CORP                    COMM STK   371901109     1910      76500 SH       SOLE             29700          0      46800
GENUINE PARTS CO               COMM STK   372460105    84010    4407076 SH       SOLE           1086189          0    3320887
GENZYME CORP GENERAL           COMM STK   372917104      669       9800 SH       SOLE              6400          0       3400
GEORGIA-PACIFIC CORP.          COMM STK   373298108     3616     153880 SH       SOLE             53588          0     100292
GEORGIA-PACIFIC CORP.          COMM STK   373298702    19986     743650 SH       SOLE            154000          0     589650
GETTY IMAGES INC               COMM STK   374276103     1596      52500 SH       SOLE             40700          0      11800
GIBRALTAR STEEL CORP           COMM STK   37476F103    14782     887500 SH       SOLE            183500          0     704000
GILEAD SCIENCES INC            COMM STK   375558103   258433    2362814 SH       SOLE            527489          0    1835325
GILLETTE COMPANY               COMM STK   375766102   246818    7779982 SH       SOLE           1983527          0    5796455
GLACIER BANCORP                COMM STK   37637Q105    11496    1036260 SH       SOLE            186886          0     849374
GLAXO WELLCOME PLC             ADR        37733W105     7390     122273 SH       SOLE             48973          0      73300
GLENBOROUGH REALTY TRUST INC   COMM STK   37803P105    29691    1649500 SH       SOLE            476500          0    1173000
GLOBAL INDUSTRIES              COMM STK   379336100     1505     120700 SH       SOLE            118400          0       2300
GLOBAL IMAGING SYSTEMS, INC.   COMM STK   37934A100     7580    1270000 SH       SOLE            120000          0    1150000
GLOBAL MARINE INC              COMM STK   379352404      543      17600 SH       SOLE             11100          0       6500
GLOBAL TELESYSTEMS INC.        COMM STK   37936U104       46      10000 SH       SOLE              2300          0       7700
GLOBESPAN INC                  COMM STK   379571102     2734      22400 SH       SOLE             15100          0       7300
GOLD BANC CP                   COMM STK   379907108      628     122900 SH       SOLE            121500          0       1400
GOLDEN STATE BANCORP INC.      COMM STK   381197102      234       9900 SH       SOLE              4500          0       5400
GOLDEN WEST FINANCIAL CORPORAT COMM STK   381317106     5478     102149 SH       SOLE             43595          0      58554
GOLDMAN SACHS GROUP, INC.      COMM STK   38141G104    39844     349700 SH       SOLE             42700          0     307000
GOODRICH (B.F.) COMPANY        COMM STK   382388106     3580      91347 SH       SOLE             27039          0      64308
GOODYEAR TIRE & RUBBER CO.     COMM STK   382550101     9301     516703 SH       SOLE             55165          0     461538
GOODYS FAMILY CLOTHING         COMM STK   382588101      999     251800 SH       SOLE            250200          0       1600
GOTO COM INC                   COMM STK   38348T107    11807     718300 SH       SOLE             32800          0     685500
GRACE W R & CO DEL             COMM STK   38388F108     4581     666373 SH       SOLE             20939          0     645434
GRAINGER (W.W.), INC.          COMM STK   384802104     3773     143391 SH       SOLE            106185          0      37206
GRANT PRIDECO INC              COMM STK   38821G101     4530     206480 SH       SOLE             46940          0     159540
GREAT LAKES CHEMICAL CORP.     COMM STK   390568103   133236    4545353 SH       SOLE           1270841          0    3274512
GREAT PLAINS SOFTWARE          COMM STK   39119E105    24361     865200 SH       SOLE            109300          0     755900
GREENPOINT FINANCIAL CORP.     COMM STK   395384100      478      16124 SH       SOLE             11124          0       5000
GROUP 1 AUTOMOTIVE INC         COMM STK   398905109      881      81000 SH       SOLE             64700          0      16300
Grupo Financiero Galicia       ADR        399909100      554      36983 SH       SOLE             36983          0          0
GRUPO TELEVISA SA DE C V       ADR        40049J206   277385    4487231 SH       SOLE           4246218          0     241013
Grupo Iusacell S.A             ADR        40050B100    37445    3153300 SH       SOLE           2856300          0     297000
GUCCI GRP N V COM NY REG       ADR        401566104      312       3250 SH       SOLE              3250          0          0
GUIDANT CORP                   COMM STK   401698105    85553    1210299 SH       SOLE            302402          0     907897
GYMBOREE CORPORATION           COMM STK   403777105       60      10900 SH       SOLE               500          0      10400
COLUMBIA/HCA HEALTHCARE CORP.  COMM STK   404119109    14499     390544 SH       SOLE            184306          0     206238
HNC SOFTWARE                   COMM STK   40425P107     1129      13800 SH       SOLE             10300          0       3500
HS RESOURCES, INC.             COMM STK   404297103    31436     934900 SH       SOLE             36400          0     898500
HAGLER BAILLY INC              COMM STK   405183104     7113    1350800 SH       SOLE                 0          0    1350800
HALLIBURTON COMPANY            COMM STK   406216101    43628     891500 SH       SOLE            202809          0     688691
HANCOCK FABRICS INC            COMM STK   409900107     8965    1792900 SH       SOLE            236300          0    1556600
JOHN HANCOCK FINANCIAL SERVICE COMM STK   41014S106      449      16700 SH       SOLE              4500          0      12200
HANSON PLC                     ADR        411352404      219       7875 SH       SOLE                 0          0       7875
HARCOURT GENERAL, INC.         COMM STK   41163G101    18698     316923 SH       SOLE            122131          0     194792
HARLEY DAVIDSON                COMM STK   412822108    16123     336768 SH       SOLE            202468          0     134300
HARLEYSVILLE GRO               COMM STK   412824104     6195     325000 SH       SOLE             87800          0     237200
HARMAN INTL INDS               COMM STK   413086109    71424    1826700 SH       SOLE            343500          0    1483200
HARMONIC LIGHTWAVES INC        COMM STK   413160102   111189    4626832 SH       SOLE            720473          0    3906359
HARMONY GOLD MNG LTD  SP       ADR        413216300      339      66200 SH       SOLE             66200          0          0
HARRAHS ENTERTAINMENT          COMM STK   413619107     2150      78178 SH       SOLE             31974          0      46204
HARSCO CORP                    COMM STK   415864107    21921     993600 SH       SOLE            248100          0     745500
HARTE HANKS COMMUN INC         COMM STK   416196103     2869     105300 SH       SOLE             86800          0      18500
HARTFORD FINANCIAL SERVICES GR COMM STK   416515104   168926    2155461 SH       SOLE            358867          0    1796594
HASBRO INCORPORATED            COMM STK   418056107    98801    8638360 SH       SOLE           1848094          0    6790266
HAUSER INC COM NEW             COMM STK   419141403       88     141275 SH       SOLE             37875          0     103400
HAVERTY FURN COS INC           COMM STK   419596101     7404     676900 SH       SOLE             52200          0     624700
HAWAIIAN ELECTRIC INDUSTRIES,  COMM STK   419870100      425      12200 SH       SOLE             11400          0        800
HEALTHSOUTH CORPORATION        COMM STK   421924101     1935     238148 SH       SOLE             95331          0     142817
HEALTHSOUTH CORPORATION        CONV BND   421924AF8    16455   19550000 PRN      SOLE           9550000          0   10000000
HEALTH MANAGEMENT ASSOC        COMM STK   421933102     2407     115652 SH       SOLE             23900          0      91752
HEARTLAND EXPRESS INC          COMM STK   422347104     2525     144027 SH       SOLE             47300          0      96727
HEIDRICK & STRUGGLES INTL COM  COMM STK   422819102    25420     494200 SH       SOLE             28600          0     465600
HEINZ (HJ) COMPANY             COMM STK   423074103   179109    4832624 SH       SOLE           1128129          0    3704495
HELLER FINANCIAL, INC.         COMM STK   423328103   105017    3676734 SH       SOLE            785073          0    2891661
HELMERICH & PAYNE INC          COMM STK   423452101    38047    1053200 SH       SOLE            111300          0     941900
HENRY (JACK) & ASSOCIATE       COMM STK   426281101     4850     111900 SH       SOLE             46500          0      65400
HERCULES INCORPORATED          COMM STK   427056106    98583    6979360 SH       SOLE           1400437          0    5578923
HERSHEY FOODS CORPORATION      COMM STK   427866108   232353    4292896 SH       SOLE           1030524          0    3262372
HERTZ CORPORATION              COMM STK   428040109    45095    1420300 SH       SOLE            307500          0    1112800
HEWLETT-PACKARD COMPANY        COMM STK   428236103   301244    2977139 SH       SOLE           1055653          0    1921486
HI/FN INC                      COMM STK   428358105    75880    1112300 SH       SOLE            205400          0     906900
HIBERNIA CORP CLASS A          COMM STK   428656102      349      28500 SH       SOLE             21700          0       6800
HILB ROGAL & HAMILTON          COMM STK   431294107     2956      70900 SH       SOLE             40100          0      30800
HILLENBRAND INDUSTRIES INC.    COMM STK   431573104      725      16200 SH       SOLE             13400          0       2800
HILTON HOTELS CORPORATION      COMM STK   432848109   113843    9845923 SH       SOLE           2529636          0    7316287
HILTON HOTELS CORPORATION      CONV BND   432848AL3    42625   50295000 PRN      SOLE          23995000          0   26300000
HITACHI LTD-ADR                ADR        433578507     4787      41900 SH       SOLE             10900          0      31000
HEFTEL BROADCASTING   CL       COMM STK   43357B104     3568     128000 SH       SOLE            117400          0      10600
HOLLYWOOD CASINO CORP.         COMM STK   436132203      636      68800 SH       SOLE                 0          0      68800
HOME DEPOT INC.                COMM STK   437076102   419252    7504995 SH       SOLE           2285740          0    5219255
ADTL HOME PRODUCTS INTL        COMM STK   437305105      491     320600 SH       SOLE                 0          0     320600
HOMESTAKE MINING COMPANY       COMM STK   437614100    11520    2220717 SH       SOLE            536171          0    1684546
HOMESTORE COM INC              COMM STK   437852106    78157    1675177 SH       SOLE            434427          0    1240750
HON INDUSTRIES                 COMM STK   438092108     6410     260300 SH       SOLE            256500          0       3800
HONDA MOTOR COMPANY LTD.       ADR        438128308     3608      49300 SH       SOLE              8100          0      41200
HONEYWELL INTERNATIONAL INC.   COMM STK   438516106    41290    1159031 SH       SOLE            386589          0     772442
HOOPER HOLMES INC              COMM STK   439104100    11344    1192900 SH       SOLE            350300          0     842600
HORMEL FOODS CORPORATION       COMM STK   440452100      249      14900 SH       SOLE              9400          0       5500
HOST MARRIOTT CORP             COMM STK   44107P104     1031      91674 SH       SOLE              2700          0      88974
HOUGHTON MIFFLIN COMPANY       COMM STK   441560109    22722     578900 SH       SOLE            141600          0     437300
HOUSEHOLD INTERNATIONAL, INC.  COMM STK   441815107    66404    1172694 SH       SOLE            125139          0    1047555
HUB GROUP INC         CL       COMM STK   443320106     4651     480100 SH       SOLE            160300          0     319800
HUBBELL INC CLASS B            COMM STK   443510102      489      20800 SH       SOLE              3800          0      17000
HUBBELL INC CLASS B            COMM STK   443510201   100800    4021952 SH       SOLE            861600          0    3160352
HUMANA INC                     COMM STK   444859102     1064      98988 SH       SOLE             38773          0      60215
HUMAN GENOME SCIENCES          COMM STK   444903108    83830     484390 SH       SOLE            170000          0     314390
HUNTINGTON BANCSHARES          COMM STK   446150104     5922     402348 SH       SOLE             69074          0     333274
ICN PHARMACEUTICALS INC        COMM STK   448924100     2700      81200 SH       SOLE             77900          0       3300
HYPERION SOLUTIONS CORP        COMM STK   44914M104      893      34545 SH       SOLE             24975          0       9570
IBP INC                        COMM STK   449223106      231      12600 SH       SOLE              7500          0       5100
ICICI                          ADR        44926P202    53653    4447569 SH       SOLE           3983796          0     463773
ICOS CORP                      COMM STK   449295104      217       4000 SH       SOLE              1600          0       2400
ICU MEDICAL INC                COMM STK   44930G107      965      37100 SH       SOLE             26500          0      10600
IDEC PHARMACEUTICALS           COMM STK   449370105   128527     733000 SH       SOLE            317000          0     416000
IMC GLOBAL INC.                COMM STK   449669100    13149     906800 SH       SOLE            201900          0     704900
IMS HEALTH INC                 COMM STK   449934108     6169     297320 SH       SOLE            151787          0     145533
ITC DELTACOM, INC.             COMM STK   45031T104    10533     928500 SH       SOLE            211500          0     717000
ISTA PHARMACEUTICALS INC       COMM STK   45031X105     5100     354000 SH       SOLE                 0          0     354000
ITLA CAPITAL CORPORATION       COMM STK   450565106     6463     439100 SH       SOLE            125300          0     313800
ITT EDUCATIONAL SERVICES       COMM STK   45068B109     3396     125200 SH       SOLE             78900          0      46300
IBASIS INC                     COMM STK   450732102     5258     328639 SH       SOLE            149290          0     179349
ITT INDUSTRIES INC             COMM STK   450911102    71074    2191095 SH       SOLE            393147          0    1797948
Icon PLC                       ADR        45103T107     3065     170330 SH       SOLE            170330          0          0
ICICI Banking Corp             ADR        45104G104     4266     578500 SH       SOLE            578500          0          0
IDACORP, INC.                  COMM STK   451107106      250       5400 SH       SOLE              2900          0       2500
IDEX CORP                      COMM STK   45167R104     6465     231400 SH       SOLE            199600          0      31800
IDEXX LABS INC                 COMM STK   45168D104      311      11600 SH       SOLE              9700          0       1900
IGATE CAPITAL CORPORATION      COMM STK   45169U105     4566     844600 SH       SOLE            152800          0     691800
IKON OFFICE SOLUTIONS          COMM STK   451713101      118      30000 SH       SOLE             27800          0       2200
IL FORNAIO CORP.               COMM STK   451926109      126      14000 SH       SOLE             12000          0       2000
ILLINOIS TOOL WORKS INC.       COMM STK   452308109    15480     277039 SH       SOLE            149906          0     127133
ILLUMINET HOLDING INC          COMM STK   452334105      943      34172 SH       SOLE             33022          0       1150
IMAX CORP.                     COMM STK   45245E109    13951     825200 SH       SOLE             72300          0     752900
IMCLONE SYSTEMS INC            COMM STK   45245W109      644       5500 SH       SOLE              3400          0       2100
IMANAGE INC                    COMM STK   45245Y105      635      79397 SH       SOLE             76697          0       2700
IMMUNEX CORP NEW               COMM STK   452528102    51417    1182000 SH       SOLE            647900          0     534100
IMMUNOGEN INC                  COMM STK   45253H101    15668     460400 SH       SOLE            134000          0     326400
IMPERIAL CHEMICAL INDUSTRIES P ADR        452704505    15499     668400 SH       SOLE            386600          0     281800
IMPERIAL OIL LTD.              COMM STK   453038408     7430     285000 SH       SOLE            135000          0     150000
IMPERIAL TOBACCO GROUP         ADR        453142101      298      16000 SH       SOLE               250          0      15750
INCO LIMITED                   COMM STK   453258402    29347    1819996 SH       SOLE            251929          0    1568067
INCO LIMITED                   COMM STK   453258709     5051     741500 SH       SOLE            391500          0     350000
INCO LIMITED                   CONV BND   453258AK1    38438   42650000 PRN      SOLE          19650000          0   23000000
INCYTE PHARMACEUTICALS         COMM STK   45337C102   106293    2586600 SH       SOLE            712700          0    1873900
INFINITY BROADCASTING CORP     COMM STK   45662S102   214294    6493771 SH       SOLE            777894          0    5715877
INFORMATICA CORP               COMM STK   45666Q102   155160    1662800 SH       SOLE            295300          0    1367500
INFONET SERVICES CORP          COMM STK   45666T106      167      15800 SH       SOLE              3700          0      12100
INFORMIX CORP                  COMM STK   456779107       65      15700 SH       SOLE              3600          0      12100
INFOSPACE INC                  COMM STK   45678T102     1438      47600 SH       SOLE             37500          0      10100
INFOUSA INC                    COMM STK   456818301     7198    1444100 SH       SOLE             31200          0    1412900
ING GROEP, N.V.                ADR        456837103      757      11487 SH       SOLE             11487          0          0
INGERSOLL-RAND CO.             COMM STK   456866102     3538     104435 SH       SOLE             42756          0      61679
INHALE THERAPEUTIC SYSTEMS     COMM STK   457191104   145389    2557700 SH       SOLE            580500          0    1977200
INKTOMI CORP                   COMM STK   457277101     2086      18302 SH       SOLE             12500          0       5802
INSIGHT ENTERPRISES INC        COMM STK   45765U103     1345      49311 SH       SOLE             41436          0       7875
INSITUFORM TECHNOLOGIES        COMM STK   457667103   105122    3123400 SH       SOLE            656200          0    2467200
INSMED INC                     COMM STK   457669208      991      75000 SH       SOLE                 0          0      75000
INSIGHT COMMUNICATIONS INC     COMM STK   45768V108      547      34600 SH       SOLE             23800          0      10800
INNKEEPERS USA TRUST           COMM STK   4576J0104    12460    1215600 SH       SOLE            235400          0     980200
INSPIRE INSURANCE SOLUTIONS    COMM STK   457732105      638     600000 SH       SOLE                 0          0     600000
INTEG INC                      COMM STK   458100104       39      14000 SH       SOLE             14000          0          0
INTEGRATED DEVICE              COMM STK   458118106      443       4900 SH       SOLE              1300          0       3600
INTEGRATED SILICON             COMM STK   45812P107     1217      86000 SH       SOLE             65000          0      21000
INTEL CORP.                    COMM STK   458140100   520690   12087301 SH       SOLE           4880999          0    7206302
INTER-TEL INC                  COMM STK   458372109      704      61700 SH       SOLE             47000          0      14700
INTERACT COMMERCE CORP         COMM STK   45839Y107    13887    1273300 SH       SOLE            242900          0    1030400
INTERMEDIA COMMUNICATIONS, INC COMM STK   458801107      831      28200 SH       SOLE             19800          0       8400
INTERNAP NETWORK SERVICES      COMM STK   45885A102     1850      57294 SH       SOLE             38896          0      18398
INTERNATIONAL BUSINESS MACHINE COMM STK   459200101   146128    1298915 SH       SOLE            523809          0     775106
INTL FLAVORS & FRAGRANCE       COMM STK   459506101    88201    4832916 SH       SOLE           1199059          0    3633857
INTERNATIONAL GAME TECHNOLOGY  COMM STK   459902102      595      17700 SH       SOLE              5700          0      12000
INTL MULTIFOODS CORP           COMM STK   460043102    32126    1849000 SH       SOLE            518200          0    1330800
INTERNATIONAL PAPER CO.        COMM STK   460146103   192259    6701835 SH       SOLE           1475837          0    5225998
INTL RECTIFIER CORP            COMM STK   460254105     1572      31100 SH       SOLE             21400          0       9700
INTERNATIONAL SHIPHOLDING CORP COMM STK   460321201     7680     903562 SH       SOLE             70400          0     833162
INTERNATIONAL SPEEDWAY CORP.   COMM STK   460335201     1379      35400 SH       SOLE             25200          0      10200
INTERNET CAPITAL GROUP INC     COMM STK   46059C106    25137    1438980 SH       SOLE            312960          0    1126020
Internet Initiative Japan      ADR        46059T109     8683     211143 SH       SOLE            211143          0          0
ISS GROUP INC                  COMM STK   46060X107   129368    1717750 SH       SOLE            261400          0    1456350
INTERPUBLIC GROUP COS          COMM STK   460690100    61302    1799702 SH       SOLE            579305          0    1220397
INTRAWEST CORPORATION          COMM STK   460915200     4988     300000 SH       SOLE                 0          0     300000
INTRANET SOLUTIONS INC         COMM STK   460939309    20943     418600 SH       SOLE            127400          0     291200
INTERVOICE INC                 COMM STK   461142101      556      52779 SH       SOLE             38600          0      14179
INTEVAC INC                    COMM STK   461148108     2644     503640 SH       SOLE            503640          0          0
INTERWOVEN INC                 COMM STK   46114T102      294       2600 SH       SOLE               600          0       2000
INTIMATE BRANDS INC CL A       COMM STK   461156101     2078     111180 SH       SOLE             31600          0      79580
INTUIT                         COMM STK   461202103   497946    8731100 SH       SOLE           1312100          0    7419000
INVESTMENT TECHNOLOGY GROUP    COMM STK   46145F105     5535     138585 SH       SOLE            116285          0      22300
INVITROGEN CORP                COMM STK   46185R100   124844    1756050 SH       SOLE            706000          0    1050050
INVESTORS FINL SERVICES        COMM STK   461915100    27269     432200 SH       SOLE             64500          0     367700
IPALCO ENTERPRISES, INC.       COMM STK   462613100      242      10600 SH       SOLE              6600          0       4000
IRIDEX CORPORATION             COMM STK   462684101     2917     268200 SH       SOLE                 0          0     268200
IRON MOUNTAIN INC.             COMM STK   462846106    84531    2284620 SH       SOLE            367600          0    1917020
IT GROUP INC.                  COMM STK   465266104    10479    2206000 SH       SOLE            670600          0    1535400
IT GROUP INC.                  CVPFSTKF   465266302     2998     177000 SH       SOLE             12000          0     165000
I2 TECHNOLOGIES INC            COMM STK   465754109     2336      12488 SH       SOLE              4440          0       8048
IVAX CORP                      COMM STK   465823102      759      16500 SH       SOLE              9850          0       6650
IVEX PACKAGING CORP.           COMM STK   465855104    20042    2042500 SH       SOLE            422600          0    1619900
JDS UNIPHASE CORP              COMM STK   46612J101   611617    6365071 SH       SOLE           1075129          0    5289942
JP REALTY INC                  COMM STK   46624A106    16551     916300 SH       SOLE            219000          0     697300
JABIL CIRCUIT INCORPORAT       COMM STK   466313103    61880    1090400 SH       SOLE            247700          0     842700
JAKKS PAC INC         CO       COMM STK   47012E106      797      84700 SH       SOLE             63800          0      20900
JAZZTEL PLC                    ADR        47214R152     1563      69469 SH       SOLE             69469          0          0
JEFFERSON-PILOT CORPORATION    COMM STK   475070108     5696      83914 SH       SOLE             46358          0      37556
JEFFERSON SMURFIT GRP SP       ADR        47508W107     1392      77600 SH       SOLE             77600          0          0
FABRI-CENTERS OF AMERICA       COMM STK   47758P109      199      27500 SH       SOLE               300          0      27200
JO ANN STORES INC CL B         COMM STK   47758P208     9882    1296000 SH       SOLE            148000          0    1148000
JOHNS MANVILLE CORP            COMM STK   478129109    20312    1795500 SH       SOLE            848900          0     946600
JOHNSON & JOHNSON              COMM STK   478160104   343152    3492392 SH       SOLE           1387248          0    2105144
JOHNSON CONTROLS INC.          COMM STK   478366107     2742      51562 SH       SOLE             19798          0      31764
JONES APPAREL GROUP INC        COMM STK   480074103    30565    1153400 SH       SOLE            258450          0     894950
JONES LANG LASALLE INC         COMM STK   48020Q107     4296     404300 SH       SOLE             53500          0     350800
JUNIPER NETWORKS INC           COMM STK   48203R104    55949     223620 SH       SOLE            116800          0     106820
KLA INSTRUMENTS                COMM STK   482480100   427274   10226968 SH       SOLE            732966          0    9494002
KMART CORPORATION              COMM STK   482584109     1722     286941 SH       SOLE            110185          0     176756
K-TRON INTERNATIONAL INC       COMM STK   482730108     4325     256323 SH       SOLE                 0          0     256323
K V PHARMACEUTICAL CO          COMM STK   482740206     1444      41100 SH       SOLE             29850          0      11250
KANA COMMUNICATIONS INC        COMM STK   483600102     2809     126428 SH       SOLE            122998          0       3430
KANSAS CITY POWER & LIGHT CO.  COMM STK   485134100     3403     127500 SH       SOLE             64800          0      62700
KANSAS CITY SO IND INC         COMM STK   485170302      148      17074 SH       SOLE              6674          0      10400
KAUFMAN & BROAD HOME COR       COMM STK   486168107     1207      44823 SH       SOLE             23066          0      21757
KAYDON CORP                    COMM STK   486587108     1499      65185 SH       SOLE             64200          0        985
KEANE INC                      COMM STK   486665102    50773    2918000 SH       SOLE            741500          0    2176500
KEEBLER FOODS CO               COMM STK   487256109      239       5700 SH       SOLE              2500          0       3200
KELLOGG COMPANY                COMM STK   487836108    40838    1688373 SH       SOLE            481174          0    1207199
KEMET CORPORATION              COMM STK   488360108     2100      76000 SH       SOLE             55100          0      20900
KENNAMETAL INC                 COMM STK   489170100     5565     216100 SH       SOLE             51400          0     164700
KERR-MCGEE CORP.               COMM STK   492386107    12996     196171 SH       SOLE             21516          0     174655
KEY ENERGY GROUP INC           COMM STK   492914106    65787    6704400 SH       SOLE            660200          0    6044200
KEYCORP                        COMM STK   493267108    18123     715964 SH       SOLE            150892          0     565072
KEYNOTE SYSTEMS INC            COMM STK   493308100    25165     944050 SH       SOLE            154400          0     789650
KEYSPAN ENERGY                 COMM STK   49337W100     3348      83448 SH       SOLE             34108          0      49340
KEYSTONE AUTO INDS INCCO       COMM STK   49338N109     3227     666300 SH       SOLE            106500          0     559800
KFORCE COM INC                 COMM STK   493732101     4692    1328816 SH       SOLE            187648          0    1141168
KILROY RLTY CORP               COMM STK   49427F108     5999     224800 SH       SOLE             48100          0     176700
KIMBERLY-CLARK CORP.           COMM STK   494368103   237729    4195184 SH       SOLE           1055846          0    3139338
KIMCO REALTY CORPORATION       COMM STK   49446R109     2235      52900 SH       SOLE             15000          0      37900
KINDER MORGAN INC              COMM STK   49455P101     4393     107300 SH       SOLE              2550          0     104750
KING PHARMACEUTICALS, INC.     COMM STK   495582108   133550    3994029 SH       SOLE           1222583          0    2771446
KNIGHT-RIDDER INC.             COMM STK   499040103   132740    2612358 SH       SOLE            640043          0    1972315
KIGHT TRIMARK INC              COMM STK   499063105      299       8300 SH       SOLE              3400          0       4900
KOHLS CORP                     COMM STK   500255104    15794     273782 SH       SOLE            111410          0     162372
PHILIPS ELECTRONICS NV W/I     ADR        500472303    36874     867626 SH       SOLE            192991          0     674635
KOPIN CORP                     COMM STK   500600101     1287      71600 SH       SOLE             51100          0      20500
Korea Fund Inc                 INVCOSTK   500634100     2527     210597 SH       SOLE            210597          0          0
Korea Telecom                  ADR        50063P103   102502    2695100 SH       SOLE           2537800          0     157300
KROGER CO.                     COMM STK   501044101   200777    8234951 SH       SOLE           1977669          0    6257282
KRONOS INC                     COMM STK   501052104      344      11450 SH       SOLE             11150          0        300
LG&E ENERGY CORP.              COMM STK   501917108      317      12969 SH       SOLE              8700          0       4269
LSI LOGIC CORP                 COMM STK   502161102   344170   11348980 SH       SOLE             89726          0   11259254
LSI INDUSTRIES INC             COMM STK   50216C108    22189    1002900 SH       SOLE            110100          0     892800
LTX CORP                       COMM STK   502392103     1155      60900 SH       SOLE             44800          0      16100
L-3 COMMUNICATION CORP         COMM STK   502424104     6560     116100 SH       SOLE             59800          0      56300
LAM RESEARCH CORP              COMM STK   512807108     1245      59550 SH       SOLE             51800          0       7750
LAMAR ADVERTISING              COMM STK   512815101   125742    3325400 SH       SOLE            614500          0    2710900
LANCASTER COLONY CORP          COMM STK   513847103     2282      92798 SH       SOLE             90898          0       1900
LANDAUER INC                   COMM STK   51476K103    13157     698000 SH       SOLE            128100          0     569900
LANDS END INC                  COMM STK   515086106     1140      54300 SH       SOLE             51200          0       3100
LANDSTAR SYS INC      CO       COMM STK   515098101    13201     295400 SH       SOLE             87200          0     208200
LASALLE HOTEL PPTYS            COMM STK   517942108      811      53600 SH       SOLE               100          0      53500
LASON HOLDINGS INC             COMM STK   51808R107       60      25000 SH       SOLE             25000          0          0
LATITUDE COMMUNICATIONS INC    COMM STK   518292107      956     122341 SH       SOLE             75588          0      46753
LATTICE SEMICONDUCTOR          COMM STK   518415104   155380    2892470 SH       SOLE            463700          0    2428770
ESTEE LAUDER COMPANIES         COMM STK   518439104      223       6100 SH       SOLE              1500          0       4600
LAYNE CHRISTENSEN CO           COMM STK   521050104     5647    1400900 SH       SOLE            343000          0    1057900
LEAPNET INC                    COMM STK   521864108     3984    1573792 SH       SOLE                 0          0    1573792
LEARNING TREE INTERNATIO       COMM STK   522015106     2387      50150 SH       SOLE             37800          0      12350
LEE ENTERPRISES                COMM STK   523768109     1594      55200 SH       SOLE             54400          0        800
LEGGETT & PLATT INC            COMM STK   524660107     2468     156104 SH       SOLE             83404          0      72700
LEGG MASON, INC.               COMM STK   524901105    42604     732964 SH       SOLE            118532          0     614432
LEHMAN BROTHERS HOLDINGS INC.  COMM STK   524908100    10695      72387 SH       SOLE             28121          0      44266
LENNAR CORPORATION             COMM STK   526057104     4521     152276 SH       SOLE            148592          0       3684
LENNAR CORPORATION             CONV BND   526057AA2     8228   16900000 PRN      SOLE           8100000          0    8800000
LEUCADIA NATIONAL              COMM STK   527288104    14172     529800 SH       SOLE            237800          0     292000
LEVEL 3 COMMUNICATIONS, INC.   COMM STK   52729N100     1474      19100 SH       SOLE              4900          0      14200
LEXMARK INTERNATIONAL GR       COMM STK   529771107     3172      84597 SH       SOLE             33797          0      50800
LIBERATE TECHNOLOGIES          COMM STK   530129105    72157    2496250 SH       SOLE            109500          0    2386750
LIFELINE SYSTEMS INC           COMM STK   532192101     7727     494500 SH       SOLE            112100          0     382400
LIFEPOINT HOSPITALS INC W/I    COMM STK   53219L109     2396      67427 SH       SOLE             49796          0      17631
LIHIR GOLD LTD SPONSORED       ADR        532349107      438      70000 SH       SOLE             70000          0          0
LILLY (ELI) AND COMPANY        COMM STK   532457108    96026    1183675 SH       SOLE            478107          0     705568
LIMITED (THE), INC.            COMM STK   532716107     5711     258839 SH       SOLE             99797          0     159042
LINCARE HLDGS INC              COMM STK   532791100   114763    4004800 SH       SOLE            970000          0    3034800
LINCOLN ELECTRIC HLDGS         COMM STK   533900106      355      26700 SH       SOLE             25600          0       1100
LINCOLN NATIONAL CORPORATION   COMM STK   534187109   115218    2394133 SH       SOLE            628131          0    1766002
LINEAR TECHNOLOGY CORP         COMM STK   535678106    79369    1225179 SH       SOLE            443813          0     781366
LINENS N THINGS INC            COMM STK   535679104      580      22750 SH       SOLE             15900          0       6850
LIQUI-BOX CORP                 COMM STK   536314107     8277     257400 SH       SOLE             99700          0     157700
LITTELFUSE INC                 COMM STK   537008104    55552    1867300 SH       SOLE            513500          0    1353800
LITTON INDUSTRIES, INC.        COMM STK   538021106      259       5800 SH       SOLE              3800          0       2000
LIZ CLAIBORNE                  COMM STK   539320101     1547      40184 SH       SOLE             12962          0      27222
LO-JACK CORPORATION            COMM STK   539451104     5994     809300 SH       SOLE            130100          0     679200
LOCKHEED MARTIN CORPORATION    COMM STK   539830109   271615    8240743 SH       SOLE           1870357          0    6370386
LODGENET ENTERTAINMENT         COMM STK   540211109     1315      45500 SH       SOLE             35200          0      10300
LOEWS CORPORATION              COMM STK   540424108   112821    1267538 SH       SOLE            557735          0     709803
LOISLAW COM                    COMM STK   541431102     4883    1008000 SH       SOLE            114600          0     893400
LONDON PAC GROUP LTD           ADR        542073101    19152     963600 SH       SOLE            243500          0     720100
LONE STAR TECHNOLOGIES         COMM STK   542312103    17325     375410 SH       SOLE            152300          0     223110
LONGS DRUG STORES CORP         COMM STK   543162101      504      26377 SH       SOLE              9878          0      16499
LONGVIEW FIBRE CO              COMM STK   543213102      443      36900 SH       SOLE             35900          0       1000
LOUIS DREYFUS NAT GAS CO       COMM STK   546011107     1553      39200 SH       SOLE             27500          0      11700
LOUISIANA-PACIFIC CORPORATION  COMM STK   546347105      586      63785 SH       SOLE             25246          0      38539
LOWE'S COMPANIES INC.          COMM STK   548661107   100819    2075373 SH       SOLE            443376          0    1631997
LUCENT TECHNOLOGIES INC.       COMM STK   549463107   165947    5429748 SH       SOLE           1742238          0    3687510
LYCOS INC COM                  COMM STK   550818108     2192      31900 SH       SOLE             24800          0       7100
LYDALL INC                     COMM STK   550819106     5722     500300 SH       SOLE               300          0     500000
LYNX THERAPEUTICS              COMM STK   551812308      498      15900 SH       SOLE             11800          0       4100
LYONDELL CHEMICAL CO.          COMM STK   552078107      206      17400 SH       SOLE              4500          0      12900
M&T BANK CORPORATION           COMM STK   55261F104      352        690 SH       SOLE                90          0        600
MBIA INC.                      COMM STK   55262C100     5733      80605 SH       SOLE             42591          0      38014
MBNA CORPORATION               COMM STK   55262L100    22437     582771 SH       SOLE            223352          0     359419
MCN ENERGY GROUP, INC.         COMM STK   55267J100      407      15896 SH       SOLE             12100          0       3796
MGIC INVT CORP WIS             COMM STK   552848103    76923    1258450 SH       SOLE            297262          0     961188
MGM MIRAGE INC.                COMM STK   552953101    76926    2014441 SH       SOLE            258550          0    1755891
MMC NETWORKS INC               COMM STK   55308N102     2178      17250 SH       SOLE             12000          0       5250
MPW INDUSTRIAL SERVICES GRP    COMM STK   553444100     2502     731100 SH       SOLE            110000          0     621100
MSC INDUSTRIAL DIRECT          COMM STK   553530106    67657    4436500 SH       SOLE            807800          0    3628700
M S CARRIER INC                COMM STK   553533100     1974     127100 SH       SOLE             15200          0     111900
MACDERMID INC                  COMM STK   554273102     3106     147900 SH       SOLE             37800          0     110100
MACK CALI REALTY CORP          COMM STK   554489104     1263      44800 SH       SOLE              2600          0      42200
MACROVISION CORPORATION        COMM STK   555904101     2941      36300 SH       SOLE             27200          0       9100
MACROMEDIA INC                 COMM STK   556100105   114214    1285350 SH       SOLE             96800          0    1188550
Matav Rt                       ADR        559776109     2223      94386 SH       SOLE             94386          0          0
MALLINCKRODT INC.              COMM STK   561232109     2008      44020 SH       SOLE             18352          0      25668
CIRCUS CIRCUS ENTERPRISES, INC COMM STK   562567107    18307     714400 SH       SOLE            341900          0     372500
HCR MANOR CARE                 COMM STK   564055101      919      58572 SH       SOLE             23415          0      35157
MANPOWER INC $.01 PAR          COMM STK   56418H100    88326    2765600 SH       SOLE            690100          0    2075500
MANUFACTURED HOMES             COMM STK   564682102      748      29900 SH       SOLE              3800          0      26100
MANUFACTURERS SERVICES LTD     COMM STK   565005105     4121     347000 SH       SOLE             86600          0     260400
MANUGISTICS                    COMM STK   565011103     3826      39000 SH       SOLE             29900          0       9100
MARCHFIRST INC                 COMM STK   566244109     3002     191720 SH       SOLE             71315          0     120405
MARINE DRILLING COMPANY        COMM STK   568240204     2902     101600 SH       SOLE             77600          0      24000
MARKEL CORP                    COMM STK   570535104    17266     113780 SH       SOLE             27300          0      86480
MARSH & MCLENNAN COMPANIES, IN COMM STK   571748102   229307    1727362 SH       SOLE            489298          0    1238064
MARSHALL & ILSLEY CORP.        COMM STK   571834100     4942      98600 SH       SOLE             62500          0      36100
MARRIOTT INTERNATIONAL, INC.   COMM STK   571903202     5869     161066 SH       SOLE             59381          0     101685
MARTIN MARIETTA MATERIALS      COMM STK   573284106    51257    1339000 SH       SOLE            289200          0    1049800
MASCO CORPORATION              COMM STK   574599106    14471     776985 SH       SOLE            235909          0     541076
MATERIAL SCIENCES CORP         COMM STK   576674105    21469    1887400 SH       SOLE            428100          0    1459300
MATRIXONE INC                  COMM STK   57685P304    40057    1000640 SH       SOLE            124040          0     876600
MATTEL INC.                    COMM STK   577081102     7047     629899 SH       SOLE            244882          0     385017
MATTHEWS INTL CORP             COMM STK   577128101    47306    1608700 SH       SOLE            552900          0    1055800
MAXIM INTEGRATED               COMM STK   57772K101  1271975   15690837 SH       SOLE           2297737          0   13393100
MAXIM PHARMACEUTICALS INC      COMM STK   57772M107      265       4352 SH       SOLE              3252          0       1100
MAY DEPARTMENT STORES CO.      COMM STK   577778103    95962    4681067 SH       SOLE           1151910          0    3529157
MAVERICK TUBE CORP             COMM STK   577914104     1457      54100 SH       SOLE             40900          0      13200
MAXIMUS INC                    COMM STK   577933104    23291    1052700 SH       SOLE            271200          0     781500
MAYTAG CORP.                   COMM STK   578592107     1527      49146 SH       SOLE             19470          0      29676
MCCORMICK & CO. INC.           COMM STK   579780206   139698    4695725 SH       SOLE           1121950          0    3573775
MCDATA CORPORATION             COMM STK   580031102    26327     214200 SH       SOLE             46500          0     167700
MCDERMOTT INTERNATIONAL INC.   COMM STK   580037109      430      39116 SH       SOLE             15505          0      23611
MCDONALD'S CORP.               COMM STK   580135101   107656    3566245 SH       SOLE           1288420          0    2277825
MCGRATH RENTCORP               COMM STK   580589109    39301    2021900 SH       SOLE            354800          0    1667100
MCGRAW-HILL COMPANIES, INC.    COMM STK   580645109    38364     603565 SH       SOLE            110063          0     493502
MCK COMMUNICATIONS             COMM STK   581243102      700      30726 SH       SOLE             25535          0       5191
MCKESSON HBOC INC              COMM STK   58155Q103     5347     174951 SH       SOLE             70822          0     104129
MCLEODUSA, INC.                COMM STK   582266102    89402    6232826 SH       SOLE            751622          0    5481204
MEAD CORPORATION               COMM STK   582834107     9334     399333 SH       SOLE             29016          0     370317
MECHANICAL TECHNOLOGY I        COMM STK   583538103      253      23210 SH       SOLE             17100          0       6110
MEDAREX INC                    COMM STK   583916101      311       2650 SH       SOLE              1200          0       1450
MEDIACOM COMMUNICATIONS CORP   COMM STK   58446K105     6944     429800 SH       SOLE               800          0     429000
MEDICAL ASSURANCE INC          COMM STK   58449U100    14196    1158840 SH       SOLE            194996          0     963844
MEDIMMUNE INC                  COMM STK   584699102   334911    4333664 SH       SOLE           1256764          0    3076900
MEDTRONIC INC                  COMM STK   585055106   140870    2718846 SH       SOLE           1614328          0    1104518
MELLON BANK CORPORATION        COMM STK   58551A108   701746   14832246 SH       SOLE           3450655          0   11381591
MENS WEARHOUSE INC             COMM STK   587118100     4577     161475 SH       SOLE            132675          0      28800
MENTOR CORP-MINN               COMM STK   587188103    37326    2365200 SH       SOLE            465000          0    1900200
MERCANTILE BANKSHARES CORPORAT COMM STK   587405101   107441    2961350 SH       SOLE            734700          0    2226650
MERCK & CO. INC.               COMM STK   589331107   510263    6705038 SH       SOLE           2911740          0    3793298
MERCURY COMPUTER SYSTEMS INC   COMM STK   589378108     1663      59600 SH       SOLE             46500          0      13100
MERCURY GENERAL CORP NEW       COMM STK   589400100     2908     102700 SH       SOLE            100600          0       2100
MERCURY INTERACTIVE CPCO       COMM STK   589405109    75415     481023 SH       SOLE            159723          0     321300
MEREDITH CORP                  COMM STK   589433101    33298    1128747 SH       SOLE            536461          0     592286
MERISTAR HOSPITALITY           COMM STK   58984Y103      332      16400 SH       SOLE              3200          0      13200
MERRILL LYNCH & CO., INC.      COMM STK   590188108    43690     661964 SH       SOLE            253260          0     408704
MESABA HOLDINGS INC            COMM STK   59066B102     1071      99350 SH       SOLE             75900          0      23450
META GROUP INC                 COMM STK   591002100    16647    1341800 SH       SOLE            173050          0    1168750
METASOLV SOFTWARE INC          COMM STK   591393103     2611      63824 SH       SOLE             62324          0       1500
METHODE ELECTRONICS CL A       COMM STK   591520200    80191    1813500 SH       SOLE            470600          0    1342900
METLIFE, INC.                  COMM STK   59156R108      233       8900 SH       SOLE              1900          0       7000
METRIS COS INC                 COMM STK   591598107     2619      66300 SH       SOLE             53950          0      12350
METRO GOLDWYN MAYER            COMM STK   591610100      271      11300 SH       SOLE              2500          0       8800
METRO INFORMATION SVCS INC     COMM STK   59162P104     4331     624300 SH       SOLE             92500          0     531800
METROMEDIA FIBER NETWORK, INC. COMM STK   591689104     2389      98400 SH       SOLE             80400          0      18000
METROMEDIA INTL GROUP          COMM STK   591695101     3749    1002527 SH       SOLE              1027          0    1001500
METTLER-TOLEDO INTL            COMM STK   592688105    19518     443600 SH       SOLE             61600          0     382000
MICREL SEMICONDUCTOR           COMM STK   594793101    64490     963880 SH       SOLE            134300          0     829580
MICROSOFT CORP                 COMM STK   594918104  1542614   24881130 SH       SOLE           5235052          0   19646078
MICRO THERAPEUTICS INC         COMM STK   59500W100      101      14700 SH       SOLE             14700          0          0
MICROCHIP TECHNOLGY INC        COMM STK   595017104     3985     120656 SH       SOLE             99131          0      21525
MICROCELL TELECOMMUNICATIONS,  COMM STK   59501T304    30436    1045000 SH       SOLE              1117          0    1043883
MICROMUSE INC                  COMM STK   595094103     8820      43900 SH       SOLE             36600          0       7300
MICRON TECHNOLOGY              COMM STK   595112103    15504     337041 SH       SOLE            132077          0     204964
MIDWEST EXPRESS HOLDINGS INC   COMM STK   597911106    24273    1206125 SH       SOLE            362300          0     843825
MILLENIUM PHARMACEUTICALS INC  COMM STK   599902103    14032      96090 SH       SOLE             81050          0      15040
MILLENNIUM CHEMICALS INC.      COMM STK   599903101     1061      71600 SH       SOLE             68700          0       2900
MILLER (HERMAN) INC            COMM STK   600544100    10421     324700 SH       SOLE             82400          0     242300
MILLIPORE CORP                 COMM STK   601073109     3132      64665 SH       SOLE             41338          0      23327
MINE SAFETY APPLIANCES         COMM STK   602720104      597      30300 SH       SOLE             30300          0          0
MINIMED INC                    COMM STK   60365K108     3044      34100 SH       SOLE             28400          0       5700
MINNESOTA MINING & MANUFACTURI COMM STK   604059105   243849    2675982 SH       SOLE            824500          0    1851482
MINNTECH CORP                  COMM STK   604258103     4689     661000 SH       SOLE                 0          0     661000
MIPS TECHNOLOGIES INC          COMM STK   604567107     9760     211600 SH       SOLE              8700          0     202900
MITCHELL ENERGY & DEVELOPMENT  COMM STK   606592202    65056    1395300 SH       SOLE            523300          0     872000
Mobile Telesystems             ADR        607409109     7155     282007 SH       SOLE            282007          0          0
MODINE MFG CO                  COMM STK   607828100     3522     125100 SH       SOLE            113400          0      11700
MODIS PROFESSIONAL SERVICES IN COMM STK   607830106     3920     755600 SH       SOLE              1600          0     754000
MOHAWK INDS INC CO             COMM STK   608190104     1052      48250 SH       SOLE             36100          0      12150
MOLECULAR DEVICES CORPOR       COMM STK   60851C107    85774     875800 SH       SOLE            259300          0     616500
MOLEX INC CLASS A NON-         COMM STK   608554101    21353     392481 SH       SOLE            178965          0     213516
MOLEX INC CLASS A NON-         COMM STK   608554200    64396    1552884 SH       SOLE            475925          0    1076959
MONARCH DENTAL CORP            COMM STK   609044102       54      21000 SH       SOLE             21000          0          0
MONTANA POWER CO.              COMM STK   612085100      240       7200 SH       SOLE              2800          0       4400
JP MORGAN & CO. INC.           COMM STK   616880100   242423    1483842 SH       SOLE            385189          0    1098653
MORGAN STANLEY DEAN WITTER & C COMM STK   617446448   348863    3622611 SH       SOLE            799249          0    2823362
MOTOROLA INC.                  COMM STK   620076109   162538    5560863 SH       SOLE           1579234          0    3981629
MURPHY OIL CORP                COMM STK   626717102    55221     852010 SH       SOLE            292700          0     559310
MUTUAL RISK MANAGEMENT LTD.    COMM STK   628351108    27850    1269526 SH       SOLE            251194          0    1018332
MYERS INDUSTRIES INC           COMM STK   628464109     5195     409496 SH       SOLE            207536          0     201960
MYLAN LABS INC                 COMM STK   628530107      515      19100 SH       SOLE             12700          0       6400
MYRIAD GENETICS INC            COMM STK   62855J104     1950      22400 SH       SOLE             16000          0       6400
NCO GROUP INC                  COMM STK   628858102      738      62500 SH       SOLE             47700          0      14800
NCR CORP                       COMM STK   62886E108    12238     323656 SH       SOLE             56148          0     267508
NDS GROUP PLC SPONS ADR        ADR        628891103    23495     303000 SH       SOLE            198000          0     105000
NN BALL & ROLLER INC           COMM STK   629337106     4749     531400 SH       SOLE            149400          0     382000
NPS PHARMACEUTICALS INC        COMM STK   62936P103   145321    2574900 SH       SOLE            361500          0    2213400
NTL INCORPORATED               COMM STK   629407107    32765     707480 SH       SOLE             70781          0     636699
NYMAGIC INC                    COMM STK   629484106     1807     125700 SH       SOLE               100          0     125600
RJR NABISCO HOLDINGS CORPORATI COMM STK   62952P102     6936     243355 SH       SOLE            122505          0     120850
NABORS INDUSTRIES INC          COMM STK   629568106      715      13640 SH       SOLE              7810          0       5830
NANOGEN INC                    COMM STK   630075109      367      18902 SH       SOLE             18352          0        550
NATIONAL CITY CORPORATION      COMM STK   635405103    81170    3668715 SH       SOLE           1154705          0    2514010
NATIONAL COMMERCE BANCORPORATI COMM STK   635449101     5159     259150 SH       SOLE             97350          0     161800
NATIONAL DATA CORP             COMM STK   635621105      454      13850 SH       SOLE              9250          0       4600
NATIONAL HEALTH REALTY INC     COMM STK   635905102     4998     588000 SH       SOLE             30000          0     558000
NATIONAL FUEL GAS CO.          COMM STK   636180101      376       6700 SH       SOLE              4700          0       2000
NATIONAL INSTRUMENTS CORP      COMM STK   636518102    32272     726224 SH       SOLE             84074          0     642150
NATIONAL OILWELL INC           COMM STK   637071101    27791     889303 SH       SOLE            161703          0     727600
NATIONAL SEMICONDUCTOR CORP.   COMM STK   637640103     6052     150367 SH       SOLE             84856          0      65511
NATIONAL SERVICE INDS IN       COMM STK   637657107      539      27563 SH       SOLE             12349          0      15214
NATIONWIDE FINANCIAL SERVICES  COMM STK   638612101      744      19900 SH       SOLE             14400          0       5500
NATROL INC                     COMM STK   638789107      938     400000 SH       SOLE                 0          0     400000
NATURAL MICROSYSTEMS COR       COMM STK   638882100     3044      56800 SH       SOLE             42200          0      14600
NAUTICA ENTERPRISES INC        COMM STK   639089101    27249    2101100 SH       SOLE            264800          0    1836300
NAVISTAR INTL CORP NEW         COMM STK   63934E108     1103      36853 SH       SOLE             14639          0      22214
NEIMAN MARCUS GROUP INC        COMM STK   640204202    36439    1123355 SH       SOLE            388075          0     735280
NEIMAN MARCUS GROUP INC        COMM STK   640204301      482      23501 SH       SOLE             23501          0          0
NEOFORMA COM INC               COMM STK   640475109       44      11900 SH       SOLE               700          0      11200
NEON COMMUNICATIONS INC        COMM STK   640506101     1788      51400 SH       SOLE             38300          0      13100
NETWORKS ASSOCIATES INC.       COMM STK   640938106     2570     113749 SH       SOLE             90849          0      22900
NETWORKS ASSOCIATES INC.       CONV BND   640938AB2    39352  100000000 PRN      SOLE                 0          0  100000000
NET GENESIS CORP               COMM STK   64107E107    11049    1281100 SH       SOLE            253800          0    1027300
NETCENTIVES INC                COMM STK   64108P101     2004     259102 SH       SOLE            217544          0      41558
NETEGRITY INC                  COMM STK   64110P107     3158      44850 SH       SOLE             33150          0      11700
NETOPIA INC                    COMM STK   64114K104      180      16400 SH       SOLE             11800          0       4600
NETSOLVE INC                   COMM STK   64115J106      116      16407 SH       SOLE             15507          0        900
NETIQ CORP                     COMM STK   64115P102   284417    4327793 SH       SOLE            626070          0    3701723
NETWORK APPLIANCE INC          COMM STK   64120L104    34538     271083 SH       SOLE            145283          0     125800
NEUROCRINE BIOSCIENCES         COMM STK   64125C109    72199    1603300 SH       SOLE             82600          0    1520700
NEW ENGLAND BUSINESS SVC       COMM STK   643872104    27322    1507400 SH       SOLE            347100          0    1160300
NEW PLAN EXCEL REALTY TRUST IN COMM STK   648053106      151      11000 SH       SOLE              7100          0       3900
NEW YORK TIMES COMPANY         COMM STK   650111107    29456     749284 SH       SOLE            346636          0     402648
NEWELL RUBBERMAID, INC.        COMM STK   651229106    12953     567796 SH       SOLE            236691          0     331105
NEWFIELD EXPLORATION COM       COMM STK   651290108      345       7400 SH       SOLE              5500          0       1900
NEWMONT MINING CO              COMM STK   651639106   129288    7605159 SH       SOLE           1937745          0    5667414
NEWPARK RESOURCES INC.         COMM STK   651718504     7358     795500 SH       SOLE            367700          0     427800
NEWPORT CORP                   COMM STK   651824104    70808     444550 SH       SOLE             42300          0     402250
NEWS CORPORATION LTD.          ADR        652487703     1430      25500 SH       SOLE              6600          0      18900
NEWS CORPORATION LTD.          ADR        652487802      307       8000 SH       SOLE              8000          0          0
NEXTCARD INC                   COMM STK   65332K107     9118    1002700 SH       SOLE               500          0    1002200
NEXTEL COMMUNICATIONS, INC.    COMM STK   65332V103   258684    5219389 SH       SOLE           1194441          0    4024948
NEXTEL PARTNERS, INC.          COMM STK   65333F107      224       7700 SH       SOLE                 0          0       7700
XO COMMUNICATIONS              COMM STK   65333H707   414528   11513406 SH       SOLE            290872          0   11222534
NEXT LEVEL COMMUNICATION INC   COMM STK   65333U104      271       4100 SH       SOLE              1000          0       3100
NIAGARA MOHAWK HOLDINGS INC.   COMM STK   653520106   169633   10770347 SH       SOLE           3425814          0    7344533
Nice Systems                   ADR        653656108    18689     259570 SH       SOLE            259570          0          0
NICOR INC.                     COMM STK   654086107     2303      63647 SH       SOLE             47092          0      16555
NIKE INC.                      COMM STK   654106103    10921     272605 SH       SOLE            162097          0     110508
NIKU CORP                      COMM STK   654113109      515      21151 SH       SOLE                 0          0      21151
NISOURCE INC.                  COMM STK   65473P105      307      12600 SH       SOLE              8300          0       4300
NOBLE AFFILIATES, INC.         COMM STK   654894104    44927    1210150 SH       SOLE            219600          0     990550
NOKIA                          ADR        654902204   754017   18939200 SH       SOLE           2627200          0   16312000
NOBLE DRILLING CORP            COMM STK   655042109      724      14400 SH       SOLE              9400          0       5000
NORDSTROM, INC.                COMM STK   655664100    18971    1219041 SH       SOLE            374407          0     844634
NORFOLK SOUTHERN CORPORATION   COMM STK   655844108   115840    7920713 SH       SOLE           1863487          0    6057226
NORSK HYDRO NKR20              ADR        656531605    10680     252400 SH       SOLE             52400          0     200000
NORTEL NETWORKS CORP           COMM STK   656568102  1068478   17628296 SH       SOLE           3119803          0   14508493
NO EUROPEAN OIL RTY TR         COMM STK   659310106      180      10000 SH       SOLE                 0          0      10000
NORTH FORK BANCORP             COMM STK   659424105    53811    2488350 SH       SOLE            581000          0    1907350
NORTHEAST UTILITIES            COMM STK   664397106      258      11900 SH       SOLE              7200          0       4700
NORTHERN TRUST CORPORATION     COMM STK   665859104    35035     394065 SH       SOLE            237531          0     156534
NORTHPOINT COMMUNICATIONS GROU COMM STK   666610100      320      35900 SH       SOLE             31500          0       4400
NORTHROP GRUMMAN CORP.         COMM STK   666807102     6717      73914 SH       SOLE             18034          0      55880
NORTHWEST AIRLINES CORPORATION COMM STK   667280101      207       8400 SH       SOLE              3900          0       4500
NORTHWESTERN CORP              COMM STK   668074107     5864     300700 SH       SOLE               300          0     300400
NOVA CORP                      COMM STK   669784100   109819    6412800 SH       SOLE           1173300          0    5239500
NOVAMED EYECARE INC            COMM STK   66986W108       86      31335 SH       SOLE             31335          0          0
NUANCE COMMUNICATIONS INC      COMM STK   669967101    21490     176600 SH       SOLE               400          0     176200
NOVELL INC                     COMM STK   670006105     2524     253580 SH       SOLE             90434          0     163146
NOVELLUS SYSTEMS INC           COMM STK   670008101     4888     104903 SH       SOLE             55403          0      49500
NOVEN PHARMACEUTICALS IN       COMM STK   670009109    32415     758800 SH       SOLE             69500          0     689300
NUCOR CORPORATION              COMM STK   670346105     6352     210846 SH       SOLE             76245          0     134601
NVIDIA CORP                    COMM STK   67066G104     2095      25600 SH       SOLE             21400          0       4200
O CHARLEY S INC                COMM STK   670823103    17747    1437700 SH       SOLE            327300          0    1110400
OM GROUP INC                   COMM STK   670872100     1326      30400 SH       SOLE             22800          0       7600
OBIE MEDIA CORP                COMM STK   674391107     2971     399420 SH       SOLE             55000          0     344420
OCCIDENTAL PETROLEUM CORP.     COMM STK   674599105    18245     836455 SH       SOLE             96660          0     739795
OCEAN ENERGY INC TEX           COMM STK   67481E106   108849    7050952 SH       SOLE           1444752          0    5606200
OCEANEERING INTL INC           COMM STK   675232102      524      31500 SH       SOLE             21400          0      10100
OCTEL CORP                     COMM STK   675727101    17899    1909275 SH       SOLE            963025          0     946250
OCULAR SCIENCES INC            COMM STK   675744106     1642     136100 SH       SOLE             60400          0      75700
OFFICE DEPOT INC.              COMM STK   676220106     1816     232473 SH       SOLE             70973          0     161500
OFFSHORE LOGISITICS, INC.      CONV BND   676255AD4     1956    2000000 PRN      SOLE                 0          0    2000000
OGDEN CORP                     CONV BND   676346AD1      725     850000 PRN      SOLE            350000          0     500000
OHIO CAS CORP                  COMM STK   677240103      217      34500 SH       SOLE             33100          0       1400
OIL DRI CORP OF AMERICA        COMM STK   677864100     4804     549000 SH       SOLE             40000          0     509000
OLD KENT FINANCIAL CORPORATION COMM STK   679833103     2256      76963 SH       SOLE             27110          0      49853
OLD REP INTL CORP              COMM STK   680223104      519      21550 SH       SOLE             16700          0       4850
OLIN CORP.                     COMM STK   680665205     3001     185400 SH       SOLE             32500          0     152900
OMNICARE INC.                  COMM STK   681904108   171191   10616500 SH       SOLE           2073700          0    8542800
OMNICARE INC.                  CONV BND   681904AD0     7142    9450000 PRN      SOLE            550000          0    8900000
OMNICOM GROUP                  COMM STK   681919106   135144    1724406 SH       SOLE            483689          0    1240717
ONEOK INC.                     COMM STK   682680103      668      16803 SH       SOLE              6028          0      10775
ONI SYSTEMS CORP               COMM STK   68273F103     3737      43300 SH       SOLE             20100          0      23200
Vimpel Communications          ADR        68370R109     2166     112179 SH       SOLE            112179          0          0
OPTA FOOD INGREDIENTS IN       COMM STK   68381N105       91      43000 SH       SOLE             43000          0          0
OPTICAL CABLE CORP             COMM STK   683827109      464      18900 SH       SOLE             12600          0       6300
OPTIMAL ROBOTICS CORPORA       COMM STK   68388R208      941      23400 SH       SOLE             18600          0       4800
ORACLE CORP.                   COMM STK   68389X105  1388754   17388744 SH       SOLE           3336532          0   14052212
ORCHID BIOSCIENCES INC         COMM STK   68571P100     4251     125262 SH       SOLE            124262          0       1000
O REILLY AUTOMOTIVE INC        COMM STK   686091109    74719    5098100 SH       SOLE            882600          0    4215500
ORTHODONTIC CENTERS OF         COMM STK   68750P103    98322    2951500 SH       SOLE            121900          0    2829600
OSICOM TECHNOLOGIES INC        COMM STK   688271501      274      11150 SH       SOLE              8200          0       2950
OTTER TAIL POWER CO            COMM STK   689648103    12132     521100 SH       SOLE               400          0     520700
OUTBACK STEAKHOUSE INC         COMM STK   689899102   158729    5851750 SH       SOLE            801350          0    5050400
OVERSEAS SHIPHOLDING GROUP, IN COMM STK   690368105    17079     623900 SH       SOLE            295500          0     328400
OWENS & MINOR                  COMM STK   690732102    15819    1004400 SH       SOLE            373200          0     631200
OWENS-ILLINOIS INC.            COMM STK   690768403     1581     170893 SH       SOLE             38352          0     132541
OWENS-ILLINOIS INC.            CVPFSTKF   690768502     4415     250500 SH       SOLE            120500          0     130000
PCD INC                        COMM STK   69318P106     4544     406200 SH       SOLE             41000          0     365200
PECO ENERGY COMPANY            COMM STK   693304107    18003     297256 SH       SOLE            133168          0     164088
PG&E CORPORATION               COMM STK   69331C108     7329     303005 SH       SOLE             94041          0     208964
PE BIOSYSTEMS GROUP            COMM STK   69332S102   137942    1184050 SH       SOLE            125166          0    1058884
PE BIOSYSTEMS GROUP            COMM STK   69332S201     5813      58350 SH       SOLE             42000          0      16350
P F CHANGS CHINA BISTRO INC    COMM STK   69333Y108    17891     518100 SH       SOLE             13300          0     504800
PMC SIERRA INC                 COMM STK   69344F106   189426     847787 SH       SOLE            219650          0     628137
PMI GROUP INC                  COMM STK   69344M101    10125     149450 SH       SOLE             47050          0     102400
PNC FINANCIAL SERVICES GROUP,  COMM STK   693475105    16564     254830 SH       SOLE            132676          0     122154
PPG INDUSTRIES INC.            COMM STK   693506107    56230    1416818 SH       SOLE            398920          0    1017898
PP&L RESOURCES INC             COMM STK   69351T106     3676      88038 SH       SOLE             34529          0      53509
PACCAR INC.                    COMM STK   693718108     1690      45569 SH       SOLE             17563          0      28006
PACIFIC CENTURY CYBERWORKS LTD ADR        694059106      653      59381 SH       SOLE             14324          0      45057
PACIFIC GULF PROPERTIES INC.   COMM STK   694396102    21274     795300 SH       SOLE            157200          0     638100
PACIFIC SUNWEAR CALIF INC      COMM STK   694873100    24032    1283850 SH       SOLE             24925          0    1258925
PACKAGED ICE INC               COMM STK   695148106     3011    1095000 SH       SOLE            430000          0     665000
PACKAGING CORP OF AMERICA      COMM STK   695156109    12258    1108100 SH       SOLE            187600          0     920500
PACKARD BIOSCIENCE             COMM STK   695172205    16059     815700 SH       SOLE             82200          0     733500
PACKETEER INC                  COMM STK   695210104    33734     887729 SH       SOLE            350329          0     537400
PACTIV CORPORATION             COMM STK   695257105     1129     100939 SH       SOLE             38058          0      62881
PAINE WEBBER GROUP INC.        COMM STK   695629105     5929      87028 SH       SOLE             33728          0      53300
PALL CORP                      COMM STK   696429307   194809    9771006 SH       SOLE           1668466          0    8102540
PALM INC                       COMM STK   696642107    18293     345364 SH       SOLE            132068          0     213296
PAPA JOHN'S INTL INC           COMM STK   698813102    14886     594700 SH       SOLE            155600          0     439100
PARAMETRIC TECHNOLOGY          COMM STK   699173100    32310    2945635 SH       SOLE             81243          0    2864392
PARK PLACE ENTERTAINMENT       COMM STK   700690100      463      30600 SH       SOLE             14600          0      16000
PARKER-HANNIFIN CORP.          COMM STK   701094104     4733     140245 SH       SOLE             66525          0      73720
PARKWAY PPTYS INC              COMM STK   70159Q104    29817     977600 SH       SOLE            199800          0     777800
PARTNER COMMUNICATIONS ADR     ADR        70211M109    34479    4474830 SH       SOLE           2342830          0    2132000
PATTERSON DENTAL CO            COMM STK   703412106     1697      73700 SH       SOLE             54400          0      19300
PATTERSON ENERGY INC  CO       COMM STK   703414102     2376      69300 SH       SOLE             51100          0      18200
PAULA FINANCIAL                COMM STK   703588103      101      30800 SH       SOLE             30000          0        800
PAYCHEX INC                    COMM STK   704326107    93293    1769644 SH       SOLE            347112          0    1422532
PECO II INC                    COMM STK   705221109    10158     218600 SH       SOLE             78100          0     140500
PEERLESS SYSTEMS CP            COMM STK   705536100      929     588900 SH       SOLE            151100          0     437800
PEGASUS COMMUNICATIONS         COMM STK   705904100   118421    2446400 SH       SOLE            349300          0    2097100
PENN ENGINEERING & MFG         COMM STK   707389102     1722      77600 SH       SOLE                 0          0      77600
PENN VIRGINIA CORPORATION      COMM STK   707882106    26549    1021100 SH       SOLE            137000          0     884100
PENNEY (J.C.) CO., INC.        COMM STK   708160106    33395    2827123 SH       SOLE            748995          0    2078128
PENNZOIL QUAKER STATE CO       COMM STK   709323109      133      12700 SH       SOLE              6000          0       6700
PENTAIR INC                    COMM STK   709631105    70114    2621100 SH       SOLE            599700          0    2021400
PEOPLES ENERGY CORP.           COMM STK   711030106      752      22525 SH       SOLE              8202          0      14323
PEOPLE SOFT INC                COMM STK   712713106     4548     162606 SH       SOLE             63379          0      99227
PEP BOYS (THE)                 CONV BND   713278AJ8     9819   16930000 PRN      SOLE           8130000          0    8800000
PEPSI BOTTLING GROUP INC.      COMM STK   713409100      307      10200 SH       SOLE              4400          0       5800
PEPSICO INC.                   COMM STK   713448108   334877    6980172 SH       SOLE           2063468          0    4916704
PERCEPTRON INC                 COMM STK   71361F100     2057     651600 SH       SOLE                 0          0     651600
PEREGRINE SYSTEMS INC.         COMM STK   71366Q101    55399    2930200 SH       SOLE            613475          0    2316725
PERFORMANCE FOOD GROUP         COMM STK   713755106      506      13400 SH       SOLE             10000          0       3400
PERICOM SEMICONDUCTOR CO       COMM STK   713831105     4297     114100 SH       SOLE             87500          0      26600
PERKINELMER INC                COMM STK   714046109    11790     112955 SH       SOLE             39563          0      73392
PERRIGO COMPANY                COMM STK   714290103      192      28000 SH       SOLE             25500          0       2500
PETCO ANIMAL SUPPLIES          COMM STK   716016100      443      20300 SH       SOLE             20300          0          0
PETROLEO BRASILEIRO SA         ADR        71654V408    70039    2334000 SH       SOLE           1969700          0     364300
PFIZER, INC.                   COMM STK   717081103  1426864   30714799 SH       SOLE          10592585          0   20122214
PHARMACOPEIA INC               COMM STK   71713B104     7006     274400 SH       SOLE             53700          0     220700
PHARMACIA CORPORATION          COMM STK   71713U102   567627    9135716 SH       SOLE           2519546          0    6616170
PHELPS DODGE CORPORATION       COMM STK   717265102    94535    2264309 SH       SOLE            435301          0    1829008
PHILIP MORRIS COMPANIES, INC.  COMM STK   718154107   339940   11183854 SH       SOLE           3069591          0    8114263
PHILLIPS PETROLEUM COMPANY     COMM STK   718507106    12885     205336 SH       SOLE             62696          0     142640
PHONE COM INC                  COMM STK   71920Q100     2486      21800 SH       SOLE             18300          0       3500
PHOTOWORKS INC                 COMM STK   71940B109     3255    1170300 SH       SOLE                 0          0    1170300
PICTURETEL CORP COM NEW        COMM STK   720035302       78      11100 SH       SOLE               600          0      10500
PINNACLE HLDGS INC             COMM STK   72346N101    29498    1105300 SH       SOLE            235800          0     869500
PINNACLE WEST CAPITAL CORP.    COMM STK   723484101     7562     148631 SH       SOLE             48931          0      99700
PIONEER STANDARD ELECTRO       COMM STK   723877106     1915     141500 SH       SOLE            120400          0      21100
PITNEY BOWES INC.              COMM STK   724479100    14138     358496 SH       SOLE            256811          0     101685
PITT-DES MOINES INC            COMM STK   724508106     9295     306000 SH       SOLE              6000          0     300000
PIXAR INC                      COMM STK   725811103      431      13400 SH       SOLE              9100          0       4300
PJ AMERICA                     COMM STK   72585Q104     4881     612500 SH       SOLE            126900          0     485600
PLACER DOME INC                COMM STK   725906101    13042    1381919 SH       SOLE            307230          0    1074689
PLANAR SYSTEMS INC             COMM STK   726900103     4855     258500 SH       SOLE             26900          0     231600
PLANTRONICS INC NEW            COMM STK   727493108     4841     127400 SH       SOLE            104900          0      22500
TRO LEARNING INC               COMM STK   72764Y100     1973      95800 SH       SOLE             95000          0        800
PLEXUS CORP                    COMM STK   729132100     5035      72160 SH       SOLE             54600          0      17560
PLUM CREEK TIMBER CO INC       COMM STK   729251108     1229      55100 SH       SOLE             16100          0      39000
POGO PRODUCING                 COMM STK   730448107     5149     202900 SH       SOLE               500          0     202400
Pohang Iron & Steel Co         ADR        730450103    16852     904845 SH       SOLE            794458          0     110387
POLAROID                       COMM STK   731095105     5358     398741 SH       SOLE            186622          0     212119
POLYCOM INC                    COMM STK   73172K104     5026      74800 SH       SOLE             55500          0      19300
POLYMEDICA CORP                COMM STK   731738100     1235      28800 SH       SOLE             21100          0       7700
POLYMER GROUP INC              COMM STK   731745105     4074     552400 SH       SOLE            115200          0     437200
POLYONE CORPORATION W/I        COMM STK   73179P106      110      15000 SH       SOLE             13100          0       1900
POPULAR INC.                   COMM STK   733174106      203       7500 SH       SOLE              1700          0       5800
PORTAL SOFTWARE                COMM STK   736126103     1329      33300 SH       SOLE             27000          0       6300
POST PROPERTIES INC REIT       COMM STK   737464107     2165      49700 SH       SOLE             20600          0      29100
POTLATCH CORP.                 COMM STK   737628107    17310     547360 SH       SOLE            186213          0     361147
POTOMAC ELECTRIC POWER CO.     COMM STK   737679100     1827      72548 SH       SOLE             13100          0      59448
POTOMAC ELECTRIC POWER CO.     CONV BND   737679BT6     9264    9650000 PRN      SOLE           4650000          0    5000000
POWER-ONE INC.                 COMM STK   739308104     2294      37900 SH       SOLE             26500          0      11400
POWERWAVE TECHNOLOGIES INC     COMM STK   739363109     2802      73800 SH       SOLE             54400          0      19400
POWERTEL INC                   COMM STK   73936C109      287       3800 SH       SOLE              2400          0       1400
PRAXAIR, INC.                  COMM STK   74005P104     3605      96459 SH       SOLE             36212          0      60247
PREPAID LEGAL SERVICES I       COMM STK   740065107    16205     501500 SH       SOLE               700          0     500800
PRECISION CASTPARTS CORP       COMM STK   740189105      246       6400 SH       SOLE              4600          0       1800
PRESIDENTIAL LIFE              COMM STK   740884101    18569    1240500 SH       SOLE             91000          0    1149500
PRICE COMMUNICATIONS INC       COMM STK   741437305     1406      71896 SH       SOLE             51500          0      20396
T. ROWE PRICE ASSOCIATES       COMM STK   741477103     3034      64588 SH       SOLE             22288          0      42300
PRIME RETAIL INC.              CVPFSTKF   741570303      575     161500 SH       SOLE                 0          0     161500
PRIMEDIA INC.                  COMM STK   74157K101      224      13700 SH       SOLE              6000          0       7700
PRIMESOURCE CORP               COMM STK   741593107     1013     202600 SH       SOLE             35900          0     166700
PRIMUS KNOWLEDGE SOLUTIONS     COMM STK   74163Q100      388      26263 SH       SOLE             13759          0      12504
PRIMUS TELECOM                 COMM STK   741929103      312      32900 SH       SOLE             23400          0       9500
PRIDE INTERNATIONAL INC.       COMM STK   741932107      257       9700 SH       SOLE              7900          0       1800
PRIORITY HEALTHCARE CORP       COMM STK   74264T102     1710      22448 SH       SOLE             15651          0       6797
PROBUSINESS SERVICES INC.      COMM STK   742674104    18006     602700 SH       SOLE              1300          0     601400
PROCTER & GAMBLE CO.           COMM STK   742718109   224452    3350032 SH       SOLE            987587          0    2362445
PROFESSIONAL STAFF             ADR        74315R105      307      56500 SH       SOLE             42300          0      14200
PROFIT RECOVERY GROUP INTL     COMM STK   743168106      370      37300 SH       SOLE             27050          0      10250
PROGRESS SOFTWARE CORP         COMM STK   743312100    32817    2392100 SH       SOLE            821600          0    1570500
PROGRESSIVE CORPORATION        COMM STK   743315103     3775      46108 SH       SOLE             19243          0      26865
PROLOGIS TR                    COMM STK   743410102    25883    1089790 SH       SOLE            160758          0     929032
PROLOGIS TR                    CVPFSTKF   743410300     7365     239500 SH       SOLE              4000          0     235500
PROSOFTTRAINING COM            COMM STK   743477101    16683    1175900 SH       SOLE                 0          0    1175900
PROTECTIVE LIFE CORPORATION    COMM STK   743674103    52284    1750100 SH       SOLE            405100          0    1345000
PROTEIN DESIGN LABS INC        COMM STK   74369L103     8880      73900 SH       SOLE             67800          0       6100
PROVINCE HEALTHCARE CO         COMM STK   743977100     2890      72300 SH       SOLE             54300          0      18000
PROVIDIAN CORP                 COMM STK   74406A102   221627    1627332 SH       SOLE            457176          0    1170156
PROXIM INC                     COMM STK   744284100     3178      71460 SH       SOLE             54800          0      16660
PSINET INC                     COMM STK   74437C101    14926    1555764 SH       SOLE            167514          0    1388250
PUBLIC SERVICE ENTERPRISE GROU COMM STK   744573106     5961     133399 SH       SOLE             53660          0      79739
PUBLIC STORAGE INC.            COMM STK   74460D109     1119      46758 SH       SOLE              7458          0      39300
PUERTO RICAN CEMENT CO         COMM STK   745075101    14743     469900 SH       SOLE             44600          0     425300
PUGET SOUND ENERGY, INC.       COMM STK   745332106      264      10400 SH       SOLE              8000          0       2400
PULTE CORP                     COMM STK   745867101      865      26201 SH       SOLE              9292          0      16909
PURCHASEPRO.COM INC            COMM STK   746144104   140281    1595800 SH       SOLE            156900          0    1438900
QLT PHOTOTHERAPEUTICS          COMM STK   746927102   160645    2265600 SH       SOLE            636000          0    1629600
QLOGIC CORP                    COMM STK   747277101    44223     502360 SH       SOLE            147728          0     354632
QUAKER OATS COMPANY            COMM STK   747402105    67054     847447 SH       SOLE             80668          0     766779
QUALCOMM FINL TR I             COMM STK   747525103   475119    6668332 SH       SOLE            910952          0    5757380
QUANTA SERVICES INC            COMM STK   74762E102     1449      52700 SH       SOLE             38350          0      14350
QUEST DIAGNOSTIC               COMM STK   74834L100    43278     377153 SH       SOLE            238050          0     139103
QUEST SOFTWARE INC             COMM STK   74834T103     5644      90900 SH       SOLE             24100          0      66800
QUESTAR CORP.                  COMM STK   748356102     1983      71300 SH       SOLE             34800          0      36500
QUICKLOGIC CORP                COMM STK   74837P108    11744     713130 SH       SOLE            278480          0     434650
QUIKSILVER INC                 COMM STK   74838C106    42398    2202500 SH       SOLE            528350          0    1674150
QUIDEL CORP COM STOCK          COMM STK   74838J101     3853     900000 SH       SOLE                 0          0     900000
QUINTILES TRANSNATIONAL        COMM STK   748767100     1116      69912 SH       SOLE             26612          0      43300
QUINTUS CORPORATION            COMM STK   748798105     1266     148105 SH       SOLE            117896          0      30209
QUORUM HEALTH                  COMM STK   749084109      144      10950 SH       SOLE              8750          0       2200
QWEST COMMUNICATIONS INT'L, IN COMM STK   749121109    52239    1086896 SH       SOLE            440391          0     646505
R & B INC                      COMM STK   749124103     1238     458000 SH       SOLE             58000          0     400000
R&B FALCON CORPORATION         COMM STK   74912E101      288      10340 SH       SOLE              2400          0       7940
RGS ENERGY GROUP INC           COMM STK   74956K104      434      15400 SH       SOLE             14100          0       1300
RPM INC OHIO                   COMM STK   749685103      664      73300 SH       SOLE             68400          0       4900
RSA SECURITY INC               COMM STK   749719100     3469      80500 SH       SOLE             63200          0      17300
RF MICRO DEVICES INC.          COMM STK   749941100     1243      39000 SH       SOLE             31900          0       7100
RADIAN GROUP INC               COMM STK   750236101   127661    1891275 SH       SOLE            275953          0    1615322
RADIANT SYSTEMS INC            COMM STK   75025N102      841      39150 SH       SOLE             28600          0      10550
RADIO ONE INC                  COMM STK   75040P108      406      48700 SH       SOLE             40200          0       8500
RADIO ONE INC                  COMM STK   75040P405     4458     629800 SH       SOLE            217100          0     412700
TANDY CORPORATION              COMM STK   750438103    17082     264327 SH       SOLE             56207          0     208120
RAINBOW RENTALS                COMM STK   750857104     3306     430000 SH       SOLE             57000          0     373000
RAMBUS INC                     COMM STK   750917106      393       4980 SH       SOLE              1300          0       3680
RALSTON PURINA COMPANY         COMM STK   751277302    13739     579999 SH       SOLE            192815          0     387184
RARE HOSPITALITY INTL          COMM STK   753820109    19219     927600 SH       SOLE            294150          0     633450
RARE MEDIUM GROUP INC          COMM STK   75382N109      207      27670 SH       SOLE             19800          0       7870
RATIONAL SOFTWARE CORP         COMM STK   75409P202     1061      15280 SH       SOLE              8380          0       6900
RAVEN INDUSTRIES INC           COMM STK   754212108     6488     398500 SH       SOLE             43500          0     355000
RAYMOND JAMES FINANCIAL        COMM STK   754730109     6825     207212 SH       SOLE            200812          0       6400
RAYONIER INC W.I.              COMM STK   754907103      809      22500 SH       SOLE              8200          0      14300
RAYOVAC                        COMM STK   755081106    15818     923700 SH       SOLE             67300          0     856400
RAYTHEON COMPANY               COMM STK   755111408     9831     345722 SH       SOLE            213574          0     132148
READERS DIGEST ASSN INC        COMM STK   755267101    65646    1859000 SH       SOLE            446200          0    1412800
READERS DIGEST ASSN INC        COMM STK   755267200     1736      55100 SH       SOLE             55100          0          0
REALNETWORKS INC               COMM STK   75605L104      326       8200 SH       SOLE              2000          0       6200
RECKSON ASSOCIATES REALTY CORP COMM STK   75621K106    50570    1983120 SH       SOLE             53500          0    1929620
RECKSON ASSOCIATES REALTY CORP CVPFSTKF   75621K205    16231     688850 SH       SOLE             17250          0     671600
RECKSON ASSOCIATES REALTY CORP COMM STK   75621K304     9175     354593 SH       SOLE             97236          0     257357
RED HAT INC                    COMM STK   756577102      606      35600 SH       SOLE             24600          0      11000
REDBACK NETWORKS               COMM STK   757209101     3946      24020 SH       SOLE              3400          0      20620
REEBOK INTL LTD                COMM STK   758110100    20672    1098832 SH       SOLE            406745          0     692087
REGENT COMMUNICATIONS INC      COMM STK   758865109     5250     954500 SH       SOLE            184300          0     770200
REGIONS FINANCIAL CORPORATION  COMM STK   758940100     3310     144906 SH       SOLE             63078          0      81828
REGISTER COM                   COMM STK   75914G101     2413     256500 SH       SOLE                 0          0     256500
RELIANT ENERGY, INC.           COMM STK   75952J108   108952    2343052 SH       SOLE            579809          0    1763243
REMEC INC                      COMM STK   759543101     1099      37350 SH       SOLE             25650          0      11700
REMEDY CORPORATION             COMM STK   759548100     1358      72400 SH       SOLE             54800          0      17600
RENAL CARE GROUP INC           COMM STK   759930100    33919    1836550 SH       SOLE            294750          0    1541800
RENT WAY INC CO                COMM STK   76009U104     1121      36900 SH       SOLE             25000          0      11900
REPSOL-YPF, S.A.               ADR        76026T205    10892     594800 SH       SOLE             97200          0     497600
REPUBLIC GROUP INC             COMM STK   760473108    10953     596100 SH       SOLE            211100          0     385000
REPUBLIC SERVICES, INC.        COMM STK   760759100    97079    7396500 SH       SOLE           1464900          0    5931600
RESTORATION HARDWARE INC       COMM STK   760981100      191      46554 SH       SOLE             46554          0          0
RESMED INC                     COMM STK   761152107    20859     667500 SH       SOLE            138300          0     529200
REUTERS GROUP PLC              ADR        76132M102      914      20871 SH       SOLE             19659          0       1212
REYNOLDS & REYNOLDS A          COMM STK   761695105     1352      68000 SH       SOLE             21900          0      46100
R.J. REYNOLDS TOBACCO HOLDINGS COMM STK   76182K105      338      10488 SH       SOLE              6533          0       3955
RHYTHMS NETCONNECTIONS         COMM STK   762430205    11317    1557600 SH       SOLE            662400          0     895200
RICHARSON ELECTRIC LTD.        COMM STK   763165107     9378     560900 SH       SOLE             35000          0     525900
RICHARSON ELECTRIC LTD.        CONV BND   763165AB3     3498    3516000 PRN      SOLE                 0          0    3516000
RIGGS NATIONAL CORPORATION     COMM STK   766570105      139      11400 SH       SOLE              8500          0       2900
RIGHT MANAGEMENT CONSULT       COMM STK   766573109     6515     565000 SH       SOLE             50000          0     515000
RIO TINTO PLC - REG            COMM STK   767204100     8752     888500 SH       SOLE             72200          0     816300
RITE AID CORP.                 COMM STK   767754104      853     213200 SH       SOLE            147500          0      65700
ROBERT HALF INTL INC           COMM STK   770323103   154158    4444200 SH       SOLE           1140200          0    3304000
ROCKWELL INTERNATIONAL CORP.   COMM STK   773903109   151557    5010161 SH       SOLE           1144616          0    3865545
ROGER COMMUNICATION INC        COMM STK   775109200    41593    1755900 SH       SOLE            386900          0    1369000
ROHM & HAAS COMPANY            COMM STK   775371107     9256     318487 SH       SOLE            130052          0     188435
ROPER INDUSTRIES INC           COMM STK   776696106     3149      94900 SH       SOLE             87300          0       7600
ROSLYN BANCORP                 COMM STK   778162107      233      10410 SH       SOLE              7310          0       3100
ROSS STORES INC                COMM STK   778296103     2364     164800 SH       SOLE            144300          0      20500
ROUSE COMPANY                  COMM STK   779273101   123259    4942700 SH       SOLE           1300700          0    3642000
ROUSE COMPANY                  CVPFSTKF   779273309    38446    1075400 SH       SOLE            535400          0     540000
ROWAN COMPANIES                COMM STK   779382100     1631      56239 SH       SOLE             20943          0      35296
Royal Bank of Canada           COMM STK   780087102    31273    1052700 SH       SOLE            983000          0      69700
ROYAL DUTCH PETROLEUM          ADR        780257804   505164    8428186 SH       SOLE           2203294          0    6224892
RUBY TUESDAY INC               COMM STK   781182100    32742    2910400 SH       SOLE            878100          0    2032300
RURAL CELLULAR CORPORATION     COMM STK   781904107    17330     254500 SH       SOLE             44400          0     210100
RUSSELL CORP                   COMM STK   782352108      300      18925 SH       SOLE              6927          0      11998
RYDER SYSTEM INC.              COMM STK   783549108    31686    1718571 SH       SOLE            701593          0    1016978
RYERSON TULL INC NEW           COMM STK   78375P107      274      29000 SH       SOLE             11200          0      17800
S & K FAMOUS BRANDS INC        COMM STK   783774102     3134     425000 SH       SOLE             25000          0     400000
SBC COMMUNICATIONS, INC.       COMM STK   78387G103   563759   11275189 SH       SOLE           2658750          0    8616439
SBS TECHNOLOGIES INC           COMM STK   78387P103      752      32400 SH       SOLE             26000          0       6400
SBA COMMUNICATIONS             COMM STK   78388J106    22655     539800 SH       SOLE             35400          0     504400
SCI SYSTEMS INC                COMM STK   783890106    79478    1938490 SH       SOLE            479500          0    1458990
SCP POOL                       COMM STK   784028102    55933    1898050 SH       SOLE            695000          0    1203050
SDL INC                        COMM STK   784076101   474532    1533840 SH       SOLE            112650          0    1421190
SEI CORP                       COMM STK   784117103     6164      87200 SH       SOLE             79700          0       7500
SK Telecom                     ADR        78440P108     2057      78000 SH       SOLE                 0          0      78000
SLI INC                        COMM STK   78442T108      339      46400 SH       SOLE             13900          0      32500
SPSS INCORPORATED              COMM STK   78462K102    24951     929500 SH       SOLE            289300          0     640200
SPX CORP                       COMM STK   784635104     5337      37600 SH       SOLE             11500          0      26100
S-3 INCORPORATED               COMM STK   784849101     1567     151712 SH       SOLE            119312          0      32400
SABRE GROUP HLDGS INC.         COMM STK   785905100     3231     111650 SH       SOLE             34894          0      76756
SAFECO CORPORATION             COMM STK   786429100   106811    3910690 SH       SOLE            811445          0    3099245
SAFEWAY INC.                   COMM STK   786514208   293837    5886873 SH       SOLE           1541378          0    4345495
SAGA COMMUNICATIONS            COMM STK   786598102    23555    1427550 SH       SOLE            144550          0    1283000
ST JUDE MEDICAL INC            COMM STK   790849103   114059    2236445 SH       SOLE            582778          0    1653667
ST. PAUL COMPANIES, INC.       COMM STK   792860108   204499    4147000 SH       SOLE            928039          0    3218961
SAKS INCORPORATED              COMM STK   79377W108      136      13750 SH       SOLE              8200          0       5550
SANDISK CORP                   COMM STK   80004C101    21223     318100 SH       SOLE               900          0     317200
SANMINA CORPORATION            COMM STK   800907107   269334    2873854 SH       SOLE            462054          0    2411800
SAPIENT CORP COM               COMM STK   803062108     2922      71883 SH       SOLE             27783          0      44100
SARA LEE CORPORATION           COMM STK   803111103    24079    1185449 SH       SOLE            614268          0     571181
SAWTEK INC                     COMM STK   805468105     2767      71800 SH       SOLE             61000          0      10800
SCANA CORP W/I                 COMM STK   80589M102      252       8174 SH       SOLE              5696          0       2478
SCHEIN, HENRY INC              COMM STK   806407102    44866    2246800 SH       SOLE            186300          0    2060500
SCHERING-PLOUGH CORP.          COMM STK   806605101   223167    4617293 SH       SOLE           1785139          0    2832154
SCHLUMBERGER LTD               COMM STK   806857108   117880    1432107 SH       SOLE            216083          0    1216024
SCHOLASTIC CORPORATION         COMM STK   807066105     1809      22750 SH       SOLE             18050          0       4700
SCHOOL SPECIALTY INC           COMM STK   807863105     8592     402563 SH       SOLE              1887          0     400676
SCHULMAN A INC                 COMM STK   808194104     5114     463629 SH       SOLE            212004          0     251625
CHARLES SCHWAB CORP NEW        COMM STK   808513105    84742    2387096 SH       SOLE           1262966          0    1124130
SCIENTIFIC ATLANTA INC         COMM STK   808655104     6996     109960 SH       SOLE             50038          0      59922
SCOTTISH POWER PLC             ADR        81013T705     4432     147438 SH       SOLE            144814          0       2624
SCOTTS COMPANY CLASS A         COMM STK   810186106      375      11200 SH       SOLE               400          0      10800
SCRIPPS (E.W.) COMPANY         COMM STK   811054204      221       4100 SH       SOLE              1000          0       3100
SEACHANGE INTERNATIONAL INC    COMM STK   811699107      406      12100 SH       SOLE              7900          0       4200
SEAGATE TECHNOLOGY             COMM STK   811804103     9699     140568 SH       SOLE             57940          0      82628
SEAGRAM COMPANY LTD. (THE)     COMM STK   811850106    24929     434025 SH       SOLE            100943          0     333082
SEACOR SMIT INC                COMM STK   811904101    64750    1388750 SH       SOLE            354000          0    1034750
SEALED AIR CORPORATION         COMM STK   81211K100     4780     105643 SH       SOLE             69994          0      35649
SEARS ROEBUCK & CO.            COMM STK   812387108     9226     284590 SH       SOLE             87305          0     197285
SECURITY CAPITAL US REALTY     ADR        814136206     1054      56000 SH       SOLE             24000          0      32000
SECURITY CAPITAL GROUP INC     COMM STK   81413P204     2646     139700 SH       SOLE            125600          0      14100
SELESCT COMFORT CORPORATION    COMM STK   81616X103      333      50000 SH       SOLE             50000          0          0
SELECTICA INC                  COMM STK   816288104    34517     864950 SH       SOLE             30200          0     834750
SELECTIVE INSURANCE GRP        COMM STK   816300107     4279     239400 SH       SOLE             69000          0     170400
Sema Group                     ADR        81661R100     1670      52023 SH       SOLE             52023          0          0
SEMTECH CORP                   COMM STK   816850101     4176     102400 SH       SOLE             84200          0      18200
SEMPRA ENERGY                  COMM STK   816851109     2611     125474 SH       SOLE             48054          0      77420
SENECA FOODS CORP              COMM STK   817070105     1585     119600 SH       SOLE             38600          0      81000
SENECA FOODS CORP              COMM STK   817070501     3378     262400 SH       SOLE             73500          0     188900
SEPRACOR INC                   COMM STK   817315104   113629     926400 SH       SOLE            246600          0     679800
SERENA COFTWARE INC            COMM STK   817492101     2288      49700 SH       SOLE             36200          0      13500
SEROLOGICALS CORPORATION       COMM STK   817523103    18911    2719750 SH       SOLE            296200          0    2423550
SERVICEMASTER CO               COMM STK   81760N109     1501     151950 SH       SOLE             53200          0      98750
724 SOLUTIONS INC              COMM STK   81788Q100      846      17800 SH       SOLE              4300          0      13500
SHAW INDUSTRIES INC            COMM STK   820286102      302      16300 SH       SOLE             10200          0       6100
SHELL TRAN&TRADE NY SHR        ADR        822703609     3739      76400 SH       SOLE             14300          0      62100
SHERWIN-WILLIAMS CO.           COMM STK   824348106     3815     178491 SH       SOLE            113061          0      65430
SHILOH INDUSTRIES INC          COMM STK   824543102     2193     292400 SH       SOLE                 0          0     292400
SHIRE PHARMACEUTICALS GROUP    ADR        82481R106   129425    2505510 SH       SOLE            548552          0    1956958
SIEBEL SYS INC                 COMM STK   826170102   474096    4142544 SH       SOLE            788644          0    3353900
SIGMA ALDRICH CORP             COMM STK   826552101     3406     103009 SH       SOLE             70704          0      32305
SIGNALSOFT CORP                COMM STK   82668M102    14621     348900 SH       SOLE             21400          0     327500
SILICON STORAGE TECH           COMM STK   827057100    11146      99400 SH       SOLE             77200          0      22200
SILICON VALLEY BANCSHRS        COMM STK   827064106    59089    1014400 SH       SOLE            284900          0     729500
SILICON VALLEY GROUP           COMM STK   827066101      437      16600 SH       SOLE             11900          0       4700
SILVERSTREAM SOFTWARE INC      COMM STK   827907106      639      21200 SH       SOLE               300          0      20900
SIMON PROPERTY GROUP, INC.     COMM STK   828806109   116842    4985243 SH       SOLE            937579          0    4047664
SIMPSON MFG CO INC             COMM STK   829073105    10309     230700 SH       SOLE             72600          0     158100
SINCLAIR BROADCAST GROUP       COMM STK   829226109    35147    3231864 SH       SOLE            550700          0    2681164
SINCLAIR BROADCAST GROUP       CVPFSTKF   829226505     1229      39000 SH       SOLE             19000          0      20000
SITEL                          COMM STK   82980K107    10260    3492700 SH       SOLE            555800          0    2936900
SIPEX CORP COM                 COMM STK   829909100   102954    2453100 SH       SOLE            513400          0    1939700
SIX FLAGS INC                  COMM STK   83001P109     3294     212500 SH       SOLE              3800          0     208700
SKYLINE CORP                   COMM STK   830830105    12790     600100 SH       SOLE            133100          0     467000
SKYWEST INC                    COMM STK   830879102     1275      24900 SH       SOLE             18600          0       6300
SMARTFORCE PLC                 ADR        83170A206   126931    2410454 SH       SOLE           1682659          0     716106
SMITH (A.O.) CORP              COMM STK   831865209    24508    1950900 SH       SOLE            611050          0    1339850
SMITH INTERNATIONAL            COMM STK   832110100   188222    2307700 SH       SOLE            427000          0    1880700
SMITH CHARLES RESIDNTL         COMM STK   832197107     1257      27700 SH       SOLE               300          0      27400
SMITH FIELD FOODS              COMM STK   832248108      525      20000 SH       SOLE             14500          0       5500
SMITHKLINE BEECHAM PLC         ADR        832378301    11142     162356 SH       SOLE             33156          0     129200
SMURFIT STONE CONTAINER CORP   COMM STK   832727101    10547     878890 SH       SOLE            159400          0     719490
SNAP-ON INCORPORATED           COMM STK   833034101      806      34202 SH       SOLE             12913          0      21289
SOFTWARE COM INC               COMM STK   83402P104     2081      11470 SH       SOLE              7500          0       3970
SOLA INTERNATIONAL INC         COMM STK   834092108     9930    1542600 SH       SOLE            333900          0    1208700
SOLECTRON CORP                 COMM STK   834182107   704252   14872200 SH       SOLE           2200934          0   12671266
SOLUTIA INC                    COMM STK   834376105      455      39960 SH       SOLE              9900          0      30060
SONIC INC                      COMM STK   835451105    53130    1665200 SH       SOLE            198600          0    1466600
SONIC AUTOMOTIVE INC           COMM STK   83545G102     8313    1000000 SH       SOLE                 0          0    1000000
SONICWALL INC                  COMM STK   835470105    27222     954100 SH       SOLE             73300          0     880800
SONOCO PRODUCTS COMPANY        COMM STK   835495102     3528     195345 SH       SOLE             58810          0     136535
SONUS NETWORKS INC             COMM STK   835916107    18486     146025 SH       SOLE             80895          0      65130
SOUTHDOWN, INC.                COMM STK   841297104    10075     141400 SH       SOLE             19800          0     121600
SOUTHERN COMPANY               COMM STK   842587107   153772    4740556 SH       SOLE           1170634          0    3569922
SOUTHTRUST CORPORATION         COMM STK   844730101     3167     100631 SH       SOLE             39560          0      61071
SOUTHWEST AIRLINES CO.         COMM STK   844741108     8451     348509 SH       SOLE            160954          0     187555
SOUTHWEST BANCORP OF TEX       COMM STK   84476R109    49553    1514500 SH       SOLE            506000          0    1008500
SOUTHWEST WATER CO             COMM STK   845331107     1164      87400 SH       SOLE             69400          0      18000
SOVEREIGN BANCORP INC          COMM STK   845905108      179      19360 SH       SOLE              8840          0      10520
SPARTECH CORP                  COMM STK   847220209      912      58600 SH       SOLE             43700          0      14900
SPECTRA PHYSICS LASERS INC     COMM STK   847568102      739      13800 SH       SOLE              9900          0       3900
SPECTRIAN CORP                 COMM STK   847608106     1010      65300 SH       SOLE             47500          0      17800
SPECTRASITE HLDGS INC COM      COMM STK   84760T100    33327    1798400 SH       SOLE            226700          0    1571700
SPEECHWORKS INTERNATIONAL      COMM STK   84764M101     3678      59300 SH       SOLE              8000          0      51300
SPEEDWAYMOTORSPORTS            COMM STK   847788106    10448     502000 SH       SOLE               500          0     501500
SPHERION CORP                  COMM STK   848420105      176      14780 SH       SOLE              9380          0       5400
SPIEKER PROPERTIES, INC.       COMM STK   848497103    13435     233400 SH       SOLE              3800          0     229600
SPRINGS INDS INC               COMM STK   851783100      351      12457 SH       SOLE              6690          0       5767
SPRINT CORPORATION             COMM STK   852061100   154751    5279352 SH       SOLE           1162156          0    4117196
SPRINT CORPORATION             COMM STK   852061506   162183    4336491 SH       SOLE           1015779          0    3320712
STAMPS COM INC                 COMM STK   852857101      198      51700 SH       SOLE             50500          0       1200
STANCORP FINANCIAL GROUP       COMM STK   852891100     1291      30200 SH       SOLE             22400          0       7800
STANLEY FURNITURE INC          COMM STK   854305208    14439     603200 SH       SOLE            163600          0     439600
STANLEY WORKS                  COMM STK   854616109   105714    4583810 SH       SOLE           1104869          0    3478941
STAPLES INC                    COMM STK   855030102     5340     375535 SH       SOLE            144077          0     231458
STARBUCKS CORP                 COMM STK   855244109    11142     277889 SH       SOLE            150289          0     127600
StarMedia Network Inc          COMM STK   855546107      804     107200 SH       SOLE            107200          0          0
STARWOOD HOTEL & RESTAURANTS   COMM STK   85590A203   230023    7360743 SH       SOLE           1443277          0    5917466
STATE STREET CORPORATION       COMM STK   857477103   210826    1568215 SH       SOLE            451852          0    1116363
STEIN MART INC                 COMM STK   858375108    14045    1295200 SH       SOLE            479900          0     815300
STERLING BANCSHARES TX         COMM STK   858907108     1186      77600 SH       SOLE             56200          0      21400
STERILE RECOVERIES INC         COMM STK   859151102     3830     309500 SH       SOLE             47000          0     262500
STERIS CORPORATION             COMM STK   859152100     9395     782900 SH       SOLE            207500          0     575400
STEWART & STEVENSON SERV       COMM STK   860342104      198      11400 SH       SOLE              4400          0       7000
STILLWATER MINING CO.          COMM STK   86074Q102      482      17800 SH       SOLE             13100          0       4700
STILWELL FINANCIAL INC         COMM STK   860831106   138140    3175627 SH       SOLE            841227          0    2334400
STONE ENERGY CORP.             COMM STK   861642106     1370      24900 SH       SOLE             23800          0       1100
STORA ENSO OYJ ADR             ADR        86210M106     2234     270843 SH       SOLE            180645          0      90198
STORAGE TECH                   COMM STK   862111200      327      24100 SH       SOLE              9900          0      14200
STRATEGIC DIAGNOSTICS          COMM STK   862700101      532     143720 SH       SOLE            143720          0          0
STRATTEC SECURITY CORP         COMM STK   863111100    19413     583300 SH       SOLE             84900          0     498400
STRAYER EDUCATION              COMM STK   863236105    31637    1463000 SH       SOLE            205700          0    1257300
STRIDE RITE CORP               COMM STK   863314100     6671    1317800 SH       SOLE            334100          0     983700
STRYKER CORP                   COMM STK   863667101     3119      72632 SH       SOLE             56764          0      15868
SUMMIT BANCORP COM             COMM STK   866005101    24346     705669 SH       SOLE            153083          0     552586
SUN COMMUNITIES INC            COMM STK   866674104    18940     598900 SH       SOLE            110300          0     488600
SUN MICROSYSTEMS INC           COMM STK   866810104   880402    7409677 SH       SOLE           1376428          0    6033249
SUNBEAM CORP                   CONV BND   867071AA0     8510   59000000 PRN      SOLE                 0          0   59000000
SUNGARD DATA SYSTEMS           COMM STK   867363103   186025    4345100 SH       SOLE            611800          0    3733300
SUNOCO INC                     COMM STK   86764P109     1511      56093 SH       SOLE             23175          0      32918
SUNTRUST BANKS INC.            COMM STK   867914103    12209     245102 SH       SOLE            128552          0     116550
SUNSOURCE INC                  COMM STK   867948101     2348     596400 SH       SOLE             59300          0     537100
SUPERIOR INDUSTRIES INTL       COMM STK   868168105      264       8800 SH       SOLE               300          0       8500
SUPERIOR SURGICAL MFG          COMM STK   868358102      387      51200 SH       SOLE                 0          0      51200
SUPERTEX INC                   COMM STK   868532102      377       7500 SH       SOLE              3700          0       3800
SUPERVALU INC.                 COMM STK   868536103     1229      81582 SH       SOLE             33212          0      48370
SUPPORT COM INC                COMM STK   868587106     8456     276100 SH       SOLE                 0          0     276100
SWIFT TRANSPORTATION INC       COMM STK   870756103      651      49950 SH       SOLE             36925          0      13025
SYBASE INC                     COMM STK   871130100     1905      82700 SH       SOLE             56400          0      26300
SYBRON INTL CORP               COMM STK   87114F106   116476    4853175 SH       SOLE            940975          0    3912200
SYCAMORE NETWORKS INC          COMM STK   871206108   170449    1582350 SH       SOLE            180500          0    1401850
SYLVAN INC                     COMM STK   871371100     5423     558000 SH       SOLE             38000          0     520000
SYLVAN LEARNING SYS            COMM STK   871399101    14848    1004519 SH       SOLE               617          0    1003902
SYMANTEC CORP                  COMM STK   871503108     4219      95960 SH       SOLE             82200          0      13760
SYMBOL TECHNOLOGY INC          COMM STK   871508107    11164     310647 SH       SOLE            277510          0      33137
SYMYX TECH INC                 COMM STK   87155S108    35240     811288 SH       SOLE            228698          0     582590
SYNALLOY CORP                  COMM STK   871565107     2697     459000 SH       SOLE              8000          0     451000
SYNAVANT INC                   COMM STK   87157A105       78      11587 SH       SOLE              4391          0       7196
SYNOPSYS INC                   COMM STK   871607107     1597      42200 SH       SOLE             38900          0       3300
SYNOVUS FINANCIAL CORP         COMM STK   87161C105     3603     170060 SH       SOLE             65481          0     104579
SYNTELLECT INC                 COMM STK   87161L105     5240     583200 SH       SOLE                 0          0     583200
SYSCO CORPORATION              COMM STK   871829107   111961    2085627 SH       SOLE            709991          0    1375636
SYMPHONIX DEVICES COM          COMM STK   871951109      835     190966 SH       SOLE            190966          0          0
TBC CORP                       COMM STK   872180104     8433    1708000 SH       SOLE            227000          0    1481000
TCF FINANCIAL CORP             COMM STK   872275102     6509     173000 SH       SOLE             57100          0     115900
TECO ENERGY, INC.              COMM STK   872375100    14842     516230 SH       SOLE             88970          0     427260
T-HQ INC NEW                   COMM STK   872443403     2005      86350 SH       SOLE             65600          0      20750
TJX COMPANIES INC              COMM STK   872540109   123056    5469139 SH       SOLE           1091212          0    4377927
T/R SYSTEMS INC                COMM STK   87263U102      133      15000 SH       SOLE             15000          0          0
TRW INC.                       COMM STK   872649108     4281     105370 SH       SOLE             30199          0      75171
TMP WORLDWIDE                  COMM STK   872941109   104991    1308300 SH       SOLE            243600          0    1064700
TEXAS UTILITIES COMPANY        COMM STK   873168108    11476     289606 SH       SOLE             94306          0     195300
TAB PRODUCTS                   COMM STK   873197107     1211     372500 SH       SOLE             39500          0     333000
TACO CABANA INC CL A           COMM STK   873425102     1076     251400 SH       SOLE              1400          0     250000
Taiwan Fund                    COMM STK   874036106     1360      94200 SH       SOLE             94200          0          0
TALBOTS INC                    COMM STK   874161102     1497      22600 SH       SOLE             16400          0       6200
TANOX INC                      COMM STK   87588Q109      348      10100 SH       SOLE              5500          0       4600
DAYTON HUDSON CORP.            COMM STK   87612E106   189323    6938579 SH       SOLE           1741163          0    5197416
TECH DATA CORP                 COMM STK   878237106    97837    2285240 SH       SOLE            497200          0    1788040
TECHNE CORP                    COMM STK   878377100     7019      63250 SH       SOLE             50600          0      12650
TECHNITROL INC                 COMM STK   878555101    33502     331700 SH       SOLE            148100          0     183600
TEKTRONIX INC                  COMM STK   879131100     2224      28950 SH       SOLE             11311          0      17639
Tele Norte Leste Participacoes ADR        879246106     4181     182803 SH       SOLE            182803          0          0
Telecom Argentina STET-Fran Te ADR        879273209     3327     153890 SH       SOLE            153890          0          0
TELECOM NEW ZEALAND ADR        ADR        879278208      428      21400 SH       SOLE              5100          0      16300
TELECOMUNICACOES BRASL         ADR        879287308   205341    2273963 SH       SOLE           2115130          0     158833
TELECOMMUNICATION SYSTEMS      COMM STK   87929J103      515      27000 SH       SOLE              6200          0      20800
TELEFLEX INC                   COMM STK   879369106    76110    2214100 SH       SOLE            441000          0    1773100
TELEFONICA, S.A.               ADR        879382208   163741    2195125 SH       SOLE           2048125          0     147000
TELEFONOS DE MEXICO SA         ADR        879403780   305069    5307502 SH       SOLE           4967408          0     340094
TELEPHONE & DATA SYSTEMS INC.  COMM STK   879433100      548       4950 SH       SOLE              2600          0       2350
Telemig Celular Participacoes  ADR        87944E105     1021      19300 SH       SOLE             19300          0          0
TELE1 EUROPE HOLDING AB-ADR    ADR        87944T201     1345     150000 SH       SOLE              5303          0     144697
TELESP CELULAR PART SA         ADR        87952L108    16485     500518 SH       SOLE            180600          0     319918
TELLABS INC                    COMM STK   879664100    38235     800214 SH       SOLE            226472          0     573742
TEMPLE-INLAND INC.             COMM STK   879868107     1249      32967 SH       SOLE             12297          0      20670
TELETECH HOLDINGS              COMM STK   879939106      296      12000 SH       SOLE              7400          0       4600
TENET HEALTHCARE CORPORATION   COMM STK   88033G100     6869     188851 SH       SOLE             73762          0     115089
TERADYNE INC                   COMM STK   880770102     6537     186768 SH       SOLE            116568          0      70200
TERAYON COMMUNICATION SYS      COMM STK   880775101      299       8800 SH       SOLE              5300          0       3500
TEREX CORP                     COMM STK   880779103      507      38800 SH       SOLE             27900          0      10900
TEVA PHARMACEUTICAL ADR        ADR        881624209   115958    1583790 SH       SOLE            423930          0    1159860
TETRA TECHNOLOGIES DEL         COMM STK   88162F105    10484     690300 SH       SOLE            288100          0     402200
TETRA TECH INC.                COMM STK   88162G103    68536    2391645 SH       SOLE            352772          0    2038873
TEXACO INC.                    COMM STK   881694103   332258    6328715 SH       SOLE           1671736          0    4656979
TEXAS INDUSTRIES INC           COMM STK   882491103      325      10200 SH       SOLE               200          0      10000
TEXAS INSTRUMENTS, INC.        COMM STK   882508104   693356   14533054 SH       SOLE           2156197          0   12376857
TEXAS REGIONAL BANCSHARE       COMM STK   882673106     7039     247800 SH       SOLE             10200          0     237600
TEXTRON INC.                   COMM STK   883203101     9184     199104 SH       SOLE             81170          0     117934
THERAGENICS CORP               COMM STK   883375107      524      80600 SH       SOLE             61900          0      18700
THERMO ELECTRON CORP           COMM STK   883556102     3271     125798 SH       SOLE             49008          0      76790
THOMAS & BETTS CORPORATION     COMM STK   884315102      629      36083 SH       SOLE             13992          0      22091
THOMAS INDUSTIRES INC          COMM STK   884425109    10269     507100 SH       SOLE            140200          0     366900
3COM CORP.                     COMM STK   885535104      681      35500 SH       SOLE             16700          0      18800
3DFX INTERACTIVE INC           COMM STK   88553X103      617     126947 SH       SOLE             84165          0      42782
THREE FIVE SYSTEMS INC         COMM STK   88554L108      949      32450 SH       SOLE             23900          0       8550
TIBCO SOFTWARE  INC            COMM STK   88632Q103     4191      49650 SH       SOLE             34300          0      15350
TIDEWATER INC                  COMM STK   886423102   174606    3837500 SH       SOLE            710000          0    3127500
TIER TECHNOLOGIES INC.         COMM STK   88650Q100     9170    1251300 SH       SOLE                 0          0    1251300
TIFFANY & CO NEW               COMM STK   886547108    15443     400464 SH       SOLE            329924          0      70540
TIMBERLAND CO CLASS A          COMM STK   887100105     1406      34300 SH       SOLE             26900          0       7400
TIME WARNER COMPANIES, INC.    COMM STK   887315109    99481    1271317 SH       SOLE            530380          0     740937
TIME WARNER TELECOM INC        COMM STK   887319101    13458     278560 SH       SOLE             75500          0     203060
TIMKEN CO                      COMM STK   887389104      565      41264 SH       SOLE             19897          0      21367
TITAN CORP                     COMM STK   888266103      300      18200 SH       SOLE             12300          0       5900
TIVO INC                       COMM STK   888706108     2464     127600 SH       SOLE            125400          0       2200
TOLL BROTHERS INC              COMM STK   889478103    17236     501400 SH       SOLE               300          0     501100
TOLLGRADE COMMUNICATIONS       COMM STK   889542106      410       2950 SH       SOLE              2300          0        650
TOMKINS PLC ADR                ADR        890030208      373      38237 SH       SOLE             26317          0      11920
TOOTSIE ROLL INDS INC          COMM STK   890516107     7498     191026 SH       SOLE            185961          0       5065
TOPPS INC                      COMM STK   890786106     1004     109100 SH       SOLE             81200          0      27900
TORCHMARK CORPORATION          COMM STK   891027104     4565     164126 SH       SOLE             38001          0     126125
TOSCO CORPORATION              COMM STK   891490302     2705      86723 SH       SOLE             32323          0      54400
DAVITA INC                     COMM STK   89151A107    14598    1946433 SH       SOLE              1300          0    1945133
TOTAL RENAL CARE HOLDING       CONV BND   89151AAC1      944    1351000 PRN      SOLE             52000          0    1299000
TOTAL FINA ELF S.A.            ADR        89151E109    30611     416828 SH       SOLE             40766          0     376062
TOTAL SYSTEM SERVICES          COMM STK   891906109      180      10700 SH       SOLE              2500          0       8200
TOYS R US INC.                 COMM STK   892335100   170657   10501983 SH       SOLE           2510939          0    7991044
TRACTOR SUPPLY CO              COMM STK   892356106    10181     920300 SH       SOLE            120300          0     800000
TRAMMELL CROW CO.              COMM STK   89288R106    28592    1906100 SH       SOLE            317400          0    1588700
TRANSATLANTIC HLDGS INC        COMM STK   893521104      464       5020 SH       SOLE              3600          0       1420
TRANSKARYOTIC THERAPIES INC    COMM STK   893735100     2986      69300 SH       SOLE             14800          0      54500
TRANSPORT CORP OF AMERIC       COMM STK   89385P102     4605     744271 SH       SOLE            202971          0     541300
TRANSTECHNOLOGY CORP           COMM STK   893889105     2939     479800 SH       SOLE            144000          0     335800
TRANSMONTAIGNE OIL CO          COMM STK   893934109      248      50300 SH       SOLE             50300          0          0
TRANSWITCH CORPORATION         COMM STK   894065101     5234      82150 SH       SOLE             61700          0      20450
TREGA BIOSCIENCES INC          COMM STK   894699107     2266     680766 SH       SOLE            232700          0     448066
TREX COMPANY INC               COMM STK   89531P105     2771      91400 SH       SOLE             22800          0      68600
TRIAD HOSPITALS INC W/I        COMM STK   89579K109      215       7327 SH       SOLE              4596          0       2731
TRIANGLE PHARMACEUTICALS INC   COMM STK   89589H104    26884    3186200 SH       SOLE            589300          0    2596900
TRIAD GTY INC                  COMM STK   895925105    15213     511900 SH       SOLE            184100          0     327800
TRICON GLOBAL RESTAURANT       COMM STK   895953107    16279     531558 SH       SOLE             57914          0     473644
TRIBUNE COMPANY                COMM STK   896047107    15100     346123 SH       SOLE             80374          0     265749
TRICO MARINE SVCS INC          COMM STK   896106101     2415     151500 SH       SOLE               300          0     151200
TRIMERIS INC.                  COMM STK   896263100    20378     291500 SH       SOLE             12000          0     279500
TRIQUINT SEMICONDUCTOR         COMM STK   89674K103     1656      45500 SH       SOLE             32500          0      13000
TRIUMPH GROUP INCORPORAT       COMM STK   896818101      664      18500 SH       SOLE             14400          0       4100
TRUE NORTH                     COMM STK   897844106     3378      94500 SH       SOLE             82700          0      11800
TUESDAY MORNING CORP           COMM STK   899035505    19371    2489500 SH       SOLE            367700          0    2121800
TULARIK INC                    COMM STK   899165104      905      27400 SH       SOLE             25600          0       1800
TUPPERWARE CORPORATION         COMM STK   899896104    18429    1023850 SH       SOLE            303972          0     719878
TURNSTONE SYSTEMS INC          COMM STK   900423104    42397     916700 SH       SOLE            136200          0     780500
TUSCARORA INC                  COMM STK   900902107    11854     850500 SH       SOLE            109800          0     740700
TWEETER HOME ENTERTAINMENT     COMM STK   901167106    32729     905200 SH       SOLE            154300          0     750900
TYCO INTERNATIONAL LTD.        COMM STK   902124106   381906    6976616 SH       SOLE           2058933          0    4917683
TYSON FOODS, INC.              COMM STK   902494103      214      21400 SH       SOLE             13400          0       8000
UAL CORP                       COMM STK   902549500     1382      32900 SH       SOLE               700          0      32200
UCBH HOLDINGS INC              COMM STK   90262T308     6289     177000 SH       SOLE             23000          0     154000
USX CORPORATION                COMM STK   902905827   240949    7613731 SH       SOLE           1137521          0    6476210
UST INC.                       COMM STK   902911106   139117    6081618 SH       SOLE           1411296          0    4670322
U.S. BANCORP                   COMM STK   902973106    17467     767780 SH       SOLE            364236          0     403544
US LIQUIDS INC                 COMM STK   902974104     1315     350600 SH       SOLE                 0          0     350600
USA NETWORKS, INC.             COMM STK   902984103     2198     100340 SH       SOLE             78700          0      21640
US CAN                         COMM STK   90328W105    26582    1341700 SH       SOLE            222900          0    1118800
USG CORP                       COMM STK   903293405      491      19600 SH       SOLE              2900          0      16700
U S AGGREGATES INC             COMM STK   90334D109    17957    1084200 SH       SOLE            331700          0     752500
U S INTERACTIVE INC COM        COMM STK   90334M109      108      42800 SH       SOLE             31400          0      11400
USX US STEEL GROUP             COMM STK   90337T101     7903     520394 SH       SOLE             87451          0     432943
UTI ENERGY CORP       CO       COMM STK   903387108     2660      59600 SH       SOLE             44500          0      15100
US UNWIRED INC                 COMM STK   90338R104     4758     500000 SH       SOLE                 0          0     500000
US ONCOLOGY INC                COMM STK   90338W103      336      72810 SH       SOLE             71052          0       1758
UBIQUITEL INC                  COMM STK   903474302     6556     751900 SH       SOLE                 0          0     751900
ULTIMATE ELECTRONICS           COMM STK   903849107    12319     300000 SH       SOLE                 0          0     300000
SLM HOLDING CORP.              COMM STK   90390U102     4487      93111 SH       SOLE             36640          0      56471
ULTRAMAR DIAMOND SHAMROCK CORP COMM STK   904000106      495      19500 SH       SOLE              7400          0      12100
UNIBANCO                       ADR        90458E107    47447    1437824 SH       SOLE           1285674          0     152150
UNIFI INC.                     COMM STK   904677101    13597    1334700 SH       SOLE            467000          0     867700
UNIFIRST CORP                  COMM STK   904708104     1236     123600 SH       SOLE             60100          0      63500
UNILEVER NV                    ADR        904784709    20415     423110 SH       SOLE            170446          0     252664
UNICOM INC.                    COMM STK   904911104   241595    4299806 SH       SOLE            821246          0    3478560
UNION CARBIDE CORPORATION      COMM STK   905581104     3095      81974 SH       SOLE             33152          0      48822
UNION PACIFIC CORPORATION      COMM STK   907818108   191225    4918970 SH       SOLE           1048926          0    3870044
UNION PLANTERS CORP.           COMM STK   908068109     2749      83132 SH       SOLE             33908          0      49224
UNIONSOURCE ENERGY CORP HOLDIN COMM STK   909205106    28416    1735300 SH       SOLE            817100          0     918200
UNISYS CORPORATION             COMM STK   909214108    35571    3161875 SH       SOLE            568913          0    2592962
UNITED PARCEL SERVICE, INC.    COMM STK   911312106     4589      81400 SH       SOLE              1300          0      80100
UNITED RENTALS INC             COMM STK   911363109    96715    4008900 SH       SOLE            753600          0    3255300
UNITED STATES CELLULAR CORP.   COMM STK   911684108    12334     176200 SH       SOLE             50300          0     125900
US AIRWAYS GROUP, INC.         COMM STK   911905107     1223      40166 SH       SOLE             15647          0      24519
ADTL UNITED STATIONERS INC.    COMM STK   913004107    50678    1883500 SH       SOLE            213000          0    1670500
UNITED TECHNOLOGIES CORP.      COMM STK   913017109   193831    2574190 SH       SOLE            549642          0    2024548
UNITEDGLOBALCOM INC CL A       COMM STK   913247508    13531     451500 SH       SOLE             71400          0     380100
UNITEDHEALTH GROUP INC         COMM STK   91324P102   330970    3158894 SH       SOLE            805664          0    2353230
UNITRIN INC                    COMM STK   913275103     6069     191700 SH       SOLE             94500          0      97200
UNIVERSAL CORP VA              COMM STK   913456109      232       7900 SH       SOLE              6100          0       1800
SENSIENT TECHNOLOGIES          COMM STK   913538104      463      22700 SH       SOLE              6000          0      16700
UNIVERSAL HEALTH SVS           COMM STK   913903100     3164      36950 SH       SOLE             27500          0       9450
UNO RESTAURANT CORP            COMM STK   914900105     7497    1100500 SH       SOLE            163500          0     937000
UNIVISION COMMUNICATIONS INC   COMM STK   914906102     4365     116800 SH       SOLE            100200          0      16600
UNOCAL CORPORATION             COMM STK   915289102   226811    6400313 SH       SOLE           1295201          0    5105112
UNUMPROVIDENT CORP.            COMM STK   91529Y106   188509    6917778 SH       SOLE           1603265          0    5314513
US FREIGHTWAYS CORP            COMM STK   916906100      777      34100 SH       SOLE             27100          0       7000
URBAN OUTFITTERS INC           COMM STK   917047102    17004    1648900 SH       SOLE            170200          0    1478700
USINTERNETWORKING INC          COMM STK   917311805    17967    2693000 SH       SOLE            128725          0    2564275
UTILICORP UNITED INC.          COMM STK   918005109     1401      54150 SH       SOLE             50550          0       3600
VA LINUX SYSTEMS INC           COMM STK   91819B105     2723      58909 SH       SOLE             20797          0      38112
VF CORPORATION                 COMM STK   918204108     1918      77697 SH       SOLE             36415          0      41282
VYYO INC                       COMM STK   918458100    15492     516400 SH       SOLE             90600          0     425800
VAIL RESORTS INC               COMM STK   91879Q109    12928     638400 SH       SOLE              3800          0     634600
VALASSIS COMMUNICATIONS        COMM STK   918866104     3714     166900 SH       SOLE            110700          0      56200
VALENTIS INC                   COMM STK   91913E104      350      42632 SH       SOLE             18992          0      23640
VALERO ENERGY CORP             COMM STK   91913Y100      369      10500 SH       SOLE              8100          0       2400
VALICERT INC                   COMM STK   91915Q105    16730     954300 SH       SOLE            127200          0     827100
VALLEY NATIONAL GASES INC      COMM STK   919792101     3209     744200 SH       SOLE             47000          0     697200
VALLEY NATL BANCORP            COMM STK   919794107    26414     967094 SH       SOLE            217571          0     749523
VALSPAR CORP                   COMM STK   920355104     7936     345200 SH       SOLE            203800          0     141400
VALUE LINE INC                 COMM STK   920437100      409      11700 SH       SOLE              8300          0       3400
VANS INC                       COMM STK   921930103      712      46200 SH       SOLE             32800          0      13400
VARIAN INC                     COMM STK   922206107     2559      59500 SH       SOLE             44700          0      14800
VARIAN SEMICONDUCTOR EQUIP     COMM STK   922207105     1982      52900 SH       SOLE             39300          0      13600
VARIAN MEDICAL SYSTEMS         COMM STK   92220P105      343       7600 SH       SOLE              5700          0       1900
VECTREN CORPORATION            COMM STK   92240G101     9030     444567 SH       SOLE             41733          0     402834
VELCRO INDUSTRIES N V          COMM STK   922571104     4220     388000 SH       SOLE             22000          0     366000
VERITAS SOFTWARE CO            COMM STK   923436109   397603    2734256 SH       SOLE            503306          0    2230950
VERITY INC                     COMM STK   92343C106    44081    1302500 SH       SOLE             95500          0    1207000
VERISIGN INC                   COMM STK   92343E102   598284    2953575 SH       SOLE            337104          0    2616471
VERITAS DGC INC                COMM STK   92343P107     1328      45900 SH       SOLE             45100          0        800
VERIZON COMMUNICATIONS         COMM STK   92343V104   414529    8320568 SH       SOLE           2194652          0    6125916
VERSATA INC                    COMM STK   925298101     1117      42344 SH       SOLE             18486          0      23858
VERTEX PHARMACEUTICALS         COMM STK   92532F100      237       2800 SH       SOLE               600          0       2200
VERTICALNET INC                COMM STK   92532L107      214       6100 SH       SOLE              3300          0       2800
VIACOM INC.                    COMM STK   925524100      527       9000 SH       SOLE                 0          0       9000
VIACOM INC.                    COMM STK   925524308   357398    5782101 SH       SOLE           1705629          0    4076472
VIATEL INC.                    COMM STK   925529208      394      38278 SH       SOLE             36800          0       1478
VIAD CORP                      COMM STK   92552R109   127285    4791900 SH       SOLE            844700          0    3947200
VIASAT INC.                    COMM STK   92552V100      719      32100 SH       SOLE             23800          0       8300
VIANT CORP                     COMM STK   92553N107     4598     786900 SH       SOLE             27000          0     759900
VICAL INC                      COMM STK   925602104      940      36300 SH       SOLE             26700          0       9600
VICINITY CORP                  COMM STK   925653107     1447     130805 SH       SOLE            114622          0      16183
VICOR CORP                     COMM STK   925815102      793      14700 SH       SOLE              1700          0      13000
VIGNETTE CORP                  COMM STK   926734104     5511     184670 SH       SOLE            152719          0      31951
VIRATA CORP                    COMM STK   927646109    10109     152800 SH       SOLE             54900          0      97900
VIROPHARMA INC                 COMM STK   928241108    22167     855651 SH       SOLE            116251          0     739400
VISHAY INTERTECHNOLOGY         COMM STK   928298108      280       9117 SH       SOLE              2912          0       6205
VISIBLE GENETICS INC           COMM STK   92829S104    19662     488500 SH       SOLE             52700          0     435800
VISTEON CORPORATION            COMM STK   92839U107     1589     105081 SH       SOLE             37983          0      67098
VITESSE SEMICONDUCTOR          COMM STK   928497106    12900     145100 SH       SOLE            130800          0      14300
VITRIA TECHNOLOGY INC          COMM STK   92849Q104    50477    1081900 SH       SOLE            320000          0     761900
VODAFONE AIRTOUCH PLC          ADR        92857W100   672723   18181690 SH       SOLE           2936350          0   15245340
VOICESTREAM WIRELESS CORPORATI COMM STK   928615103   240474    2071374 SH       SOLE            251115          0    1820259
VORNADO REALTY TRUST           COMM STK   929042109    10707     288400 SH       SOLE             26700          0     261700
VULCAN MATERIALS COMPANY       COMM STK   929160109     2498      62156 SH       SOLE             25156          0      37000
W D 40 COMPANY                 COMM STK   929236107      723      34000 SH       SOLE             34000          0          0
WACHOVIA CORPORATION           COMM STK   929771103     9019     159095 SH       SOLE             83474          0      75621
WADDELL & REED FINANCIAL       COMM STK   930059100   115352    3721065 SH       SOLE           1089542          0    2628923
WADDELL & REED FINANCIAL       COMM STK   930059209   146275    5043961 SH       SOLE            474984          0    4568977
WAL-MART STORES INC.           COMM STK   931142103   450786    9088630 SH       SOLE           3375280          0    5713350
WALGREEN COMPANY               COMM STK   931422109    29182     769206 SH       SOLE            384517          0     384689
WGL HOLDINGS INC               COMM STK   938837101      333      12400 SH       SOLE             10000          0       2400
WASHINGTON MUTUAL INC.         COMM STK   939322103    36058     905695 SH       SOLE            350490          0     555205
WASHINGTON POST COMPANY        COMM STK   939640108    48839      92520 SH       SOLE             40820          0      51700
WASHINGTON REAL ESTATE         COMM STK   939653101      506      25200 SH       SOLE             24500          0        700
WASTE CONNECTIONS INC          COMM STK   941053100    24012     956900 SH       SOLE              6900          0     950000
WASTE MANAGEMENT INC.          COMM STK   94106L109   150878    8652484 SH       SOLE           2221356          0    6431128
WASTE MANAGEMENT INC.          CONV BND   94106LAA7    32796   34900000 PRN      SOLE          16625000          0   18275000
WATCHGUARD TECHNOLOGIES INC    COMM STK   941105108     1277      21300 SH       SOLE             20300          0       1000
WATERLINK INC                  COMM STK   94155N105     4144    1841750 SH       SOLE            163600          0    1678150
WATERS CORPORATION             COMM STK   941848103   547843    5973550 SH       SOLE           1694200          0    4279350
WATSCO INC                     COMM STK   942622200    36102    3508500 SH       SOLE            569550          0    2938950
WATSON PHARMACEUTICALS INC.    COMM STK   942683103    39331     606258 SH       SOLE            175258          0     431000
WAUSAU-MOSINEE PAPER CORP      COMM STK   943315101     9380    1210300 SH       SOLE            411300          0     799000
WEATHERFORD INTERNATIONAL      COMM STK   947074100    11366     264315 SH       SOLE            105375          0     158940
WEBMETHODS INC                 COMM STK   94768C108    30530     265476 SH       SOLE               458          0     265018
WEBHIRE INC                    COMM STK   94768W104      110      31416 SH       SOLE             31416          0          0
PAGEMART WIRELESS INC          COMM STK   94769A101      957     124298 SH       SOLE            122898          0       1400
WEBMD CORPORATION              COMM STK   94769M105    17153    1127127 SH       SOLE            210080          0     917047
WEBTRENDS CORP                 COMM STK   94844D104    99865    2665280 SH       SOLE            304900          0    2360380
WEINGARTEN REALTY              COMM STK   948741103     2082      51100 SH       SOLE             25700          0      25400
WELLPOINT HEALTH               COMM STK   94973H108   285765    2848247 SH       SOLE            650797          0    2197450
WELLS FARGO & COMPANY          COMM STK   949746101   462096    9695221 SH       SOLE           2462351          0    7232870
WENDY'S INTERNATIONAL          COMM STK   950590109     1480      73789 SH       SOLE             29645          0      44144
WESLEY JESSEN VISIONCARE       COMM STK   951018100    61842    1607600 SH       SOLE            204300          0    1403300
WEST TELESERVICES CORP         COMM STK   956188106    21196     966200 SH       SOLE             91200          0     875000
WESTAMERICA BANCORPORATION     COMM STK   957090103    33937    1015900 SH       SOLE            246100          0     769800
WESTERN MULTIPLEX CORP         COMM STK   95874P107      581      36100 SH       SOLE             27900          0       8200
WESTERN RESOURCES INC.         COMM STK   959425109      275      12700 SH       SOLE              8900          0       3800
WESTERN WIRELESS               COMM STK   95988E204   256856    6980600 SH       SOLE           1286600          0    5694000
WESTPOINT STEVENS              COMM STK   961238102     7340     599200 SH       SOLE            155700          0     443500
WESTVACO CORP.                 COMM STK   961548104     1622      60795 SH       SOLE             23063          0      37732
WESTWOOD ONE INC               COMM STK   961815107     6502     303300 SH       SOLE            239200          0      64100
WEYERHAEUSER COMPANY           COMM STK   962166104    25854     640342 SH       SOLE            244054          0     396288
WHIRLPOOL CORPORATION          COMM STK   963320106     1717      44157 SH       SOLE             17110          0      27047
WHITEHALL JEWELLERS            COMM STK   965063100      543      68400 SH       SOLE             51700          0      16700
WHITMAN CORP.                  COMM STK   96647R107      176      15200 SH       SOLE              7800          0       7400
WHOLE FOODS MKT INC            COMM STK   966837106    67202    1251000 SH       SOLE            273400          0     977600
WILD OATS MARKETS INC          COMM STK   96808B107    14505    1231200 SH       SOLE            145700          0    1085500
WILLAMETTE INDUSTRIES          COMM STK   969133107     1886      67342 SH       SOLE             27587          0      39755
WILLIAMS COMPANIES INC.        COMM STK   969457100    13046     308770 SH       SOLE            137183          0     171587
WILLIAMS SONOMA INC            COMM STK   969904101     5963     171600 SH       SOLE            147500          0      24100
WILMINGTON TRUST CORPORATION   COMM STK   971807102     7245     135100 SH       SOLE             88800          0      46300
WIND RIVER SYSTEMS INC         COMM STK   973149107     2612      54524 SH       SOLE             51076          0       3448
WINK COMM INC                  COMM STK   974168106     6098     501600 SH       SOLE               400          0     501200
WINN DIXIE STORES INC          COMM STK   974280109     1193      82969 SH       SOLE             32239          0      50730
WINSTAR COMMUNICATIONS, INC.   COMM STK   975515107      611      39550 SH       SOLE             36250          0       3300
WIRELESS FACILITIES INC        COMM STK   97653A103    18043     312935 SH       SOLE            256582          0      56353
WISCONSIN ENERGY CORP.         COMM STK   976657106     1994     100000 SH       SOLE             95400          0       4600
WITNESS SYSTEMS INC            COMM STK   977424100      764      42423 SH       SOLE             41223          0       1200
WOODHEAD INDUSTRIES INC        COMM STK   979438108    19460     932200 SH       SOLE            272400          0     659800
WOODWARD GOVERNOR CO           COMM STK   980745103    29798     668200 SH       SOLE            203700          0     464500
WORLDCOM INC.                  COMM STK   98157D106   340573   10805488 SH       SOLE           2430388          0    8375100
WORTHINGTON INDUSTRIES         COMM STK   981811102      513      54681 SH       SOLE             19609          0      35072
WRIGLEY WM JR                  COMM STK   982526105     8120     108453 SH       SOLE             65268          0      43185
WYNDAM INTERNATIONAL CL A      COMM STK   983101106      272     150001 SH       SOLE                 0          0     150001
XCEL ENERGY, INC.              COMM STK   98389B100     5887     214086 SH       SOLE             90476          0     123610
XILINX INC                     COMM STK   983919101   929599   10848708 SH       SOLE           1722008          0    9126700
XIRCOM                         COMM STK   983922105      963      38200 SH       SOLE             28800          0       9400
XEROX CORPORATION              COMM STK   984121103    73108    4853646 SH       SOLE           1340527          0    3513119
XPEDIOR INC                    COMM STK   98413B100     3621    1073000 SH       SOLE             79000          0     994000
YAHOO INC                      COMM STK   984332106    36509     400513 SH       SOLE            137461          0     263052
YORK INTL CORP NEW             COMM STK   986670107      244       9800 SH       SOLE              5900          0       3900
YOUNG & RUBICAM INC            COMM STK   987425105     5579     112713 SH       SOLE             81613          0      31100
YOUNG BROADCASTING CORPORATION COMM STK   987434107    22919     731200 SH       SOLE            111100          0     620100
ZALE CORP                      COMM STK   988858106     2095      64600 SH       SOLE             56600          0       8000
ZEBRA TECHNOLOGIES CORP        COMM STK   989207105    45079     938530 SH       SOLE             67630          0     870900
ZIONS BANCORPORATION           COMM STK   989701107      542      10600 SH       SOLE              7000          0       3600
ZOLL MED CORP                  COMM STK   989922109      589      13300 SH       SOLE             10000          0       3300
ZOMAX OPTICAL MEDIA   CO       COMM STK   989929104      605      86800 SH       SOLE             65500          0      21300
DAIMLERCHRYSLER AG             COMM STK   D1668R123     1230      16024 SH       SOLE                 0          0      16024
ACE LIMITED ORDINARY SHS       COMM STK   G0070K103   359050    8601767 SH       SOLE           2134400          0    6467367
AMDOCS LTD                     COMM STK   G02602103     8401     117088 SH       SOLE             80225          0      36863
ANNUITY AND LIFE RE (HLDGS)    COMM STK   G03910109      655      27200 SH       SOLE             20400          0       6800
APW LTD                        COMM STK   G04397108      255       5225 SH       SOLE              3700          0       1525
CREDITCORP                     COMM STK   G2519Y108      589      81256 SH       SOLE             81256          0          0
GLOBAL CROSSING LTD            COMM STK   G3921A100    15715     506431 SH       SOLE            196471          0     309960
LORAL SPACE AND                COMM STK   G56462107       93      15200 SH       SOLE              3200          0      12000
O2MICRO INTERNATIONAL LTD      COMM STK   G6797E106     1720     100000 SH       SOLE             75500          0      24500
PARTNER RE LTD                 COMM STK   G6852T105    70312    1482209 SH       SOLE            362900          0    1119309
RENAISSANCERE HOLDINGS         COMM STK   G7496G103     1279      20000 SH       SOLE             20000          0          0
SANTA FE INTERNATIONAL CORP    COMM STK   G7805C108      293       6500 SH       SOLE              1400          0       5100
TRANSOCEAN SEDCO FOREX INC     COMM STK   G90078109     8757     149366 SH       SOLE             55412          0      93954
WHITE MOUNTAINS INS GRP LTD    COMM STK   G9618E107    31108     114000 SH       SOLE             53900          0      60100
XL CAPITAL LTD                 COMM STK   G98255105    79307    1079003 SH       SOLE             83525          0     995478
XOMA LTD                       COMM STK   G9825R107     4394     303700 SH       SOLE              1100          0     302600
MILLICOM INTL CELLULAR         COMM STK   L6388F102    50700    1426900 SH       SOLE            141100          0    1285800
AUDIOCODES LTD                 COMM STK   M15342104    23460     275800 SH       SOLE             20000          0     255800
BACKWEB TECHNOLOGIES LTD       COMM STK   M15633106      760      74800 SH       SOLE             57200          0      17600
BREEZECOM LIMITED              COMM STK   M20385106    18544     563553 SH       SOLE             63553          0     500000
GIGANET LTD                    COMM STK   M22013102    21095     783100 SH       SOLE            163500          0     619600
CHECK POINT SOFTWARE  OR       COMM STK   M22465104    16328     103672 SH       SOLE             90472          0      13200
COMMTOUCH SOFTWARE             COMM STK   M25596103     2928     154632 SH       SOLE            154632          0          0
FLOWARE WIRELESS SYSTEMS LTD   COMM STK   M45919103     8355     331300 SH       SOLE             23700          0     307600
GILAT SATELLITE NETWORKS       COMM STK   M51474100    27026     351575 SH       SOLE            272015          0      79560
ORBOTECH                       COMM STK   M75253100    10487     191767 SH       SOLE            191767          0          0
ASM LITHOGRAPHY HLDG           ADR        N07059111   420085   12383960 SH       SOLE           6471985          0    5876550
QIAGEN NV             OR       COMM STK   N72482107    10152     215000 SH       SOLE             15000          0     200000
ROYAL CARIBBEAN CRUISES        COMM STK   V7780T103      878      34110 SH       SOLE             26400          0       7710
FLEXTRONICS INTL LTD ORD       COMM STK   Y2573F102   780759    9317795 SH       SOLE           1508995          0    7808800
</TABLE>


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