PRICE T ROWE ASSOCIATES INC /MD/
13F-HR, 2000-02-14
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:            12/31/1999

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


Institutional Investment Manager Filing this Report:

Name:        T. Rowe Price Associates, Inc.
Address:     100 East Pratt Street
             Baltimore, Maryland  21202

Form 13F File Number:  28-115

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:     Henry H. Hopkins
Title:    Managing Director
Phone:    410-345-6603

Signature, Place, and Date of Signing:

      /S/ Henry H. Hopkins        Baltimore, Maryland             02/14/2000
         [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:    88795428

Form 13F Information Table Entry Total:    1816

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    73619    1014996 SH       SOLE            217874          0     797121
AFLAC INCORPORATED             COMM STK   001055102    11260     238624 SH       SOLE            112660          0     125964
AES CORPORATION                COMM STK   00130H105    14835     198461 SH       SOLE            109210          0      89251
AK STEEL HOLDING CORP          COMM STK   001547108      246      13056 SH       SOLE             10712          0       2344
AMB PROPERTY CORP              COMM STK   00163T109      624      31300 SH       SOLE              1300          0      30000
AMFM INC                       COMM STK   001693100   130720    1670546 SH       SOLE            169246          0    1501300
AMR CORPORATION                COMM STK   001765106    10625     158587 SH       SOLE             52590          0     105997
AT&T CORP.                     COMM STK   001957109   265744    5236339 SH       SOLE           1470245          0    3766094
AT&T CORP.                     COMM STK   001957208   215332    3794400 SH       SOLE            207800          0    3586600
AT&T CANADA INC.               COMM STK   00207Q202    52915    1316700 SH       SOLE            156000          0    1160700
ATMI INC                       COMM STK   00207R101     3379     102500 SH       SOLE             28800          0      73700
AVT CORPORATION                COMM STK   002420107     5342     113500 SH       SOLE             30300          0      83200
AXA FINANCIAL, INC.            COMM STK   002451102      569      16800 SH       SOLE              5800          0      11000
AARON RENTS INC                COMM STK   002535201    18045    1016600 SH       SOLE            161200          0     855400
AARON RENTS INC                COMM STK   002535300     2420     132600 SH       SOLE             66600          0      66000
ABBOTT LABORATORIES            COMM STK   002824100   216224    5954531 SH       SOLE           1440031          0    4514500
ABERCROMBIE & FITCH COMPANY    COMM STK   002896207      241       9016 SH       SOLE              6100          0       2916
ABER RESOURCES LTD NEW         COMM STK   002916104      194      31100 SH       SOLE             31100          0          0
ABGENIX INC                    COMM STK   00339B107    37728     289100 SH       SOLE             10500          0     278600
ABITIBI-CONSOLIDATED INC.      COMM STK   003924107     1799     151500 SH       SOLE            151500          0          0
ACCREDO HEALTH INC             COMM STK   00437V104     2172      70624 SH       SOLE             70624          0          0
ACCRUE SOFTWARE INC            COMM STK   00437W102      988      18355 SH       SOLE             14755          0       3600
ACETO CORP                     COMM STK   004446100     6986     648000 SH       SOLE             10000          0     638000
A C NIELSON CORP               COMM STK   004833109     4952     201100 SH       SOLE            104800          0      96300
ACTIVISION INC NEW    CO       COMM STK   004930202     2509     163200 SH       SOLE             48800          0     114400
ACTUATE SOFTWARE CORP          COMM STK   00508B102     4819     112400 SH       SOLE             30300          0      82100
ACXIOM CORP                    COMM STK   005125109      735      30600 SH       SOLE              9700          0      20900
ADAPTEC INC                    COMM STK   00651F108     4675      93800 SH       SOLE             35700          0      58100
ADELPHIA COMMUNICATIONS        COMM STK   006848105      230       3501 SH       SOLE               834          0       2667
ADOBE SYSTEMS INC              COMM STK   00724F101     9820     146020 SH       SOLE             90074          0      55946
ADVANCE PARADIGM INC.          COMM STK   007491103     2467     114600 SH       SOLE             29000          0      85600
ADVANTAGE LEARNING SYSTEMS     COMM STK   00757K100     2826     250500 SH       SOLE                 0          0     250500
ADVO INC                       COMM STK   007585102    52442    2208100 SH       SOLE            172800          0    2035300
ADVANCED MICRO DEVICES         COMM STK   007903107     3090     106776 SH       SOLE             44781          0      61995
AEGON NV                       COMM STK   007924103    10198     106787 SH       SOLE                 1          0     106786
ADVANCED ENERGY INDUSTRI       COMM STK   007973100     3805      77300 SH       SOLE             19500          0      57800
AETHER SYSTEMS INC             COMM STK   00808V105     1422      19800 SH       SOLE                 0          0      19800
AETNA INC.                     COMM STK   008117103    25685     460194 SH       SOLE            105665          0     354529
AFFILIATED COMPUTER SVCS       COMM STK   008190100   224788    4886700 SH       SOLE            535300          0    4351400
AFFILIATED MANAGERS GROUP      COMM STK   008252108    24554     607200 SH       SOLE             71300          0     535900
AFFYMETRIX INC                 COMM STK   00826T108    85201     502200 SH       SOLE             78300          0     423900
AGILENT TECH INC               COMM STK   00846U101      387       5000 SH       SOLE              1100          0       3900
AIR EXPRESS INTERNATIONA       COMM STK   009104100     2297      71100 SH       SOLE             57900          0      13200
AIR PRODUCTS & CHEMICALS INC.  COMM STK   009158106     9098     271088 SH       SOLE             75086          0     196002
AIRGATE PCS, INC.              COMM STK   009367103     6017     113800 SH       SOLE             30100          0      83700
AIRNET COMMUNICATIONS CORP.    COMM STK   00941P106     4737     130000 SH       SOLE              5900          0     124100
AKZO NOBEL N.V.                ADR        010199305      270       5400 SH       SOLE              4600          0        800
ALAMO GROUP INC                COMM STK   011311107     6410     641000 SH       SOLE             76000          0     565000
ALASKA AIR GROUP INC           COMM STK   011659109     2322      66100 SH       SOLE             25400          0      40700
ALBERTO-CULVER CO CL A         COMM STK   013068101     1115      43211 SH       SOLE             17310          0      25901
ALBERTSON'S, INC.              COMM STK   013104104    61801    1916325 SH       SOLE            344182          0    1572143
ALCAN ALUMINUM LTD.            COMM STK   013716105     6544     158874 SH       SOLE             64691          0      94183
ALCOA, INC.                    COMM STK   013817101    76827     925623 SH       SOLE            154400          0     771223
ALEXION PHARMACEUTICAL         COMM STK   015351109    24347     803200 SH       SOLE                 0          0     803200
ALKERMES INC                   COMM STK   01642T108    61480    1253100 SH       SOLE            257300          0     995800
ALLEGHENY TECHNOLOGIES INC     COMM STK   01741R102    24492    1091563 SH       SOLE            152352          0     939211
ALLEGIANCE TELECOM INC.        COMM STK   01747T102    30227     329000 SH       SOLE             72900          0     256100
ALLERGAN INC                   COMM STK   018490102     6273     126092 SH       SOLE             68364          0      57728
ALLIANCE CAPITAL MGMT L P      COMM STK   01855A101     1934      64610 SH       SOLE              5400          0      59210
ALLIED CAPITAL CORP            COMM STK   01903Q108    31236    1708618 SH       SOLE            333800          0    1374818
ALLIED HEALTHCARE PRODS        COMM STK   019222108      794     310000 SH       SOLE                 0          0     310000
ALLIED WASTE INDUSTRIES        COMM STK   019589308     1945     220760 SH       SOLE             66500          0     154260
ALLMERICA FINANCIAL CORPORATIO COMM STK   019754100      863      15521 SH       SOLE             12700          0       2821
ALLSTATE CORPORATION           COMM STK   020002101    24267    1011135 SH       SOLE            369178          0     641957
ALLTEL CORPORATION             COMM STK   020039103   354300    4284804 SH       SOLE            957529          0    3327275
ALPHA INDUSTRIES               COMM STK   020753109     2754      48100 SH       SOLE             13600          0      34500
ALTERA CORP                    COMM STK   021441100   524565   10583900 SH       SOLE           1209500          0    9374400
ALTIVA FINANCIAL CORP          COMM STK   021497300      625     666666 SH       SOLE                 0          0     666666
ALZA CORPORATION               COMM STK   022615108     2617      75578 SH       SOLE             33802          0      41776
AMAZON COM INC                 COMM STK   023135106      967      12700 SH       SOLE              4200          0       8500
AMBAC INC                      COMM STK   023139108    17253     330600 SH       SOLE             91100          0     239500
AMERADA HESS CORP.             COMM STK   023551104   389036    6855267 SH       SOLE           1615363          0    5239904
AMEREN CORPORATION             COMM STK   023608102     3219      98278 SH       SOLE             42526          0      55752
AMERICA ONLINE DELAWARE        COMM STK   02364J104   882908   11703830 SH       SOLE           2228080          0    9475750
AMERICAN CLASSIC VOYAGES       COMM STK   024928103    19192     550300 SH       SOLE                 0          0     550300
AMERICAN CAPITAL STRATEGIES    COMM STK   024937104    13324     588100 SH       SOLE            152100          0     436000
AMERICAN ELECTRIC POWER COMPAN COMM STK   025537101     4832     150410 SH       SOLE             66432          0      83978
AMERICAN EXPRESS COMPANY       COMM STK   025816109   227947    1371111 SH       SOLE            459484          0     911627
AMERICAN GENERAL CORPORATION   COMM STK   026351106   278497    3670471 SH       SOLE            671574          0    2998897
AMERICAN GREETINGS CORPORATION COMM STK   026375105     1119      47358 SH       SOLE             19451          0      27907
AMERICAN HOME PRODUCTS CORP.   COMM STK   026609107   528994   13413479 SH       SOLE           3045171          0   10368308
AMERICAN INTERNATIONAL GROUP I COMM STK   026874107   254625    2354909 SH       SOLE            767354          0    1587555
AMERICAN ITALIAN PASTA CO      COMM STK   027070101    28760     935300 SH       SOLE             85700          0     849600
AMERICAN MANAGEMENT            COMM STK   027352103     2646      84600 SH       SOLE             21100          0      63500
AMERICAN POWR CONVERSION       COMM STK   029066107     3214     122000 SH       SOLE             39900          0      82100
AMERICAN TOWERS SYSTEMS CORP   COMM STK   029912201    10560     345510 SH       SOLE            143610          0     201900
AMERICAN SUPERCONDUCTOR        COMM STK   030111108     5625     201100 SH       SOLE             26000          0     175100
AMERICAN WATER WORKS CO., INC. COMM STK   030411102      408      19200 SH       SOLE             16100          0       3100
AMERICAN XTAL TECH             COMM STK   030514103     2165     124400 SH       SOLE             31600          0      92800
AMERICREDIT CORP               COMM STK   03060R101     3326     179800 SH       SOLE             45000          0     134800
AMERON INTL INC                COMM STK   030710107     9380     237100 SH       SOLE              5100          0     232000
AMERIPATH INC                  COMM STK   03071D109    17361    2112354 SH       SOLE            404854          0    1707500
AMERISOURCE HEALTH CORP CL A   COMM STK   03071P102    62879    4140200 SH       SOLE            826000          0    3314200
AMGEN                          COMM STK   031162100   162317    2703878 SH       SOLE            908492          0    1795386
AMPHENOL CORP                  COMM STK   032095101     1651      24800 SH       SOLE              5900          0      18900
AMSOUTH BANCORPORATION         COMM STK   032165102     5158     267078 SH       SOLE             93040          0     174038
ANADARKO PETROLEUM CORP.       COMM STK   032511107    15893     465742 SH       SOLE             67844          0     397898
ANALOG DEVICES                 COMM STK   032654105  1041684   11200900 SH       SOLE           1154200          0   10046700
ANALOGIC CORP                  COMM STK   032657207    58616    1786380 SH       SOLE            290000          0    1496380
ANALYSTS INTERNATIONAL         COMM STK   032681108    22268    1781400 SH       SOLE            402600          0    1378800
ANDREW CORP                    COMM STK   034425108     2993     158324 SH       SOLE             48572          0     109752
ANDRX CORP                     COMM STK   034551101     2862      68000 SH       SOLE             17200          0      50800
ANESTA CORPORATION             COMM STK   034603100    19404    1133100 SH       SOLE             58700          0    1074400
ANHEUSER-BUSCH COMPANIES INC.  COMM STK   035229103   248383    3504522 SH       SOLE            754279          0    2750243
ANSWERTHINK CONSULTING GROUP   COMM STK   036916104      571      16520 SH       SOLE             15500          0       1020
AON CORPORATION                COMM STK   037389103     7774     194349 SH       SOLE             84568          0     109781
APACHE CORP                    COMM STK   037411105     5557     150452 SH       SOLE            103721          0      46731
APARTMENT INVT & MGMT          COMM STK   03748R101    14965     375885 SH       SOLE             91403          0     284482
APEX PC SOLUTIONS INC.         COMM STK   037548104      620      19150 SH       SOLE              5350          0      13800
APOGEE ENTERPRISES INC         COMM STK   037598109      441      87200 SH       SOLE               500          0      86700
APOLLO GROUP INC CL A          COMM STK   037604105    84878    4237262 SH       SOLE            504025          0    3733237
APPLE COMPUTER INC.            COMM STK   037833100    11843     115229 SH       SOLE             48514          0      66715
APRIA HEALTHCARE GROUP         COMM STK   037933108      287      16000 SH       SOLE             10900          0       5100
APPLIED EXTRUSION              COMM STK   038196101     4734     750000 SH       SOLE                 0          0     750000
APPLIED MATERIALS INC          COMM STK   038222105   510905    4033790 SH       SOLE            674671          0    3359119
APPLIED MICRO CIRCUITS CORP.   COMM STK   03822W109   116918     917900 SH       SOLE            110000          0     807900
APPLIED SCIENCE & TECHNO       COMM STK   038236105     4617     138200 SH       SOLE             35100          0     103100
APPNET SYSTEMS INC             COMM STK   03831Q101     1220      27900 SH       SOLE             27000          0        900
APTARGROUP INC                 COMM STK   038336103     5593     222600 SH       SOLE            186600          0      36000
ARADIGM CORP          CO       COMM STK   038505103     4336     453400 SH       SOLE                 0          0     453400
ARCH CHEMICAL INC WI           COMM STK   03937R102    37047    1769400 SH       SOLE            447100          0    1322300
ARCHER DANIELS MIDLAND COMPANY COMM STK   039483102     5515     452506 SH       SOLE            199280          0     253226
ARCHSTONE COMMUNITY TRUST      COMM STK   039581103    21408    1044313 SH       SOLE            104885          0     939428
ARDEN REALTY GROUP INC         COMM STK   039793104    17870     890700 SH       SOLE            138900          0     751800
ARIBA INC                      COMM STK   04033V104     5918      33400 SH       SOLE             31000          0       2400
ARMOR HOLDINGS                 COMM STK   042260109     7330     558500 SH       SOLE                 0          0     558500
ARMSTRONG WORLD INDUSTRIES INC COMM STK   042476101    84844    2542155 SH       SOLE            467129          0    2075026
ARROW ELECTRONICS INC          COMM STK   042735100      365      14400 SH       SOLE              9800          0       4600
ARROW INTERNATIONAL INC        COMM STK   042764100      499      17500 SH       SOLE               100          0      17400
ARTESYN TECHNOLOGIES INC       COMM STK   043127109     1793      85500 SH       SOLE             20800          0      64700
ARTHROCARE CORP                COMM STK   043136100      990      16200 SH       SOLE             15600          0        600
ASHLAND INC.                   COMM STK   044204105     1797      54563 SH       SOLE             23721          0      30842
ASPECT TELECOMMUNICATION       COMM STK   04523Q102      313       8000 SH       SOLE              4200          0       3800
ASSOCIATED BANC CORP           COMM STK   045487105      243       7075 SH       SOLE              5000          0       2075
AT HOME CORP                   COMM STK   045919107     4653     108277 SH       SOLE             99887          0       8390
ASSOCIATES FIRST CAPITAL CORP. COMM STK   046008108   120297    4384412 SH       SOLE            889126          0    3495286
ASTORIA FINANCIAL CORP         COMM STK   046265104      353      11575 SH       SOLE              9700          0       1875
ZENECA GROUP PLC               ADR        046353108     3171      75950 SH       SOLE             40550          0      35400
ASYST TECHNOLOGY CP   CO       COMM STK   04648X107     4987      76100 SH       SOLE             19900          0      56200
ATLANTIC RICHFIELD CO.         COMM STK   048825103   393218    4545869 SH       SOLE            883866          0    3662003
ATMEL CORPORATION              COMM STK   049513104      666      22500 SH       SOLE             16700          0       5800
ATRION CORP                    COMM STK   049904105     2188     200000 SH       SOLE                 0          0     200000
AURORA BIOSCIENCES             COMM STK   051920106    13029     494000 SH       SOLE             33000          0     461000
AUSTRALIA & NEW ZEALAND BKNG.  ADR        052528304     1400      39100 SH       SOLE              3600          0      35500
AUTODESK INC                   COMM STK   052769106     1377      40851 SH       SOLE             17843          0      23008
AUTOLIV INC                    COMM STK   052800109      633      21653 SH       SOLE                 0          0      21653
AUTOMATIC DATA PROCESSING INC. COMM STK   053015103   221666    4114449 SH       SOLE           1290963          0    2823486
AUTONATIONAL INC               COMM STK   05329W102      167      18100 SH       SOLE              6800          0      11300
AUTOZONE INC                   COMM STK   053332102     3462     107145 SH       SOLE             44220          0      62925
AVALONBAY COMMUNITIES INC.     COMM STK   053484101      720      20991 SH       SOLE              1000          0      19991
AVANT CORP                     COMM STK   053487104    56880    3784100 SH       SOLE            303200          0    3480900
AVERY DENNISON CORP            COMM STK   053611109    18144     248968 SH       SOLE             65044          0     183924
AVIATION SALES CO              COMM STK   053672101    13599     824200 SH       SOLE             67900          0     756300
AVIS RENT A CAR, INC.          COMM STK   053790101    60804    2378650 SH       SOLE            177850          0    2200800
AVNET INC                      COMM STK   053807103      218       3601 SH       SOLE              2301          0       1300
AVON PRODUCTS                  COMM STK   054303102     8536     258654 SH       SOLE            135816          0     122838
AXYS PHARMACEUTICALS INC       COMM STK   054635107      444     109269 SH       SOLE            109269          0          0
BB&T CORPORATION               COMM STK   054937107     6677     243904 SH       SOLE             99013          0     144891
AZURIX CORP                    COMM STK   05501M104     6424     718800 SH       SOLE            115200          0     603600
BCE INC.                       COMM STK   05534B109   212743    2358900 SH       SOLE            456500          0    1902400
BHA GROUP HLDGS INC            COMM STK   055446108     5316     654300 SH       SOLE             31300          0     623000
BISYS GROUP INC                COMM STK   055472104   111725    1713900 SH       SOLE            154600          0    1559300
B J SERVICES CO                COMM STK   055482103   223923    5355400 SH       SOLE            883500          0    4471900
BJS WHOLESALE CLUB INC         COMM STK   05548J106   105952    2902800 SH       SOLE            623900          0    2278900
BP AMOCO PLC                   ADR        055622104   542297    9143052 SH       SOLE           1620374          0    7522678
BP PRUDHOE BAY ROYALTY T       COMM STK   055630107     4961     547400 SH       SOLE            545100          0       2300
BMC SOFTWARE INC               COMM STK   055921100   576173    7210616 SH       SOLE           1178135          0    6032481
BWAY CORP.                     COMM STK   056039100     5056     825500 SH       SOLE             53000          0     772500
BADGER METER INC               COMM STK   056525108     3013     100000 SH       SOLE                 0          0     100000
BAKER HUGHES INCORPORATED      COMM STK   057224107   264247   12545837 SH       SOLE           1643260          0   10902577
BALL CORP                      COMM STK   058498106      890      22600 SH       SOLE              9385          0      13215
BANCO BILBAO VIZCAYA, S.A.     ADR        059458208     4519     318500 SH       SOLE             66000          0     252500
BANCO FRANCES DEL RIO          ADR        059591107     1764      74449 SH       SOLE             18515          0      55934
BANK OF AMERICA CORPORATION    COMM STK   060505104   293018    5838461 SH       SOLE           1401418          0    4437043
BANK OF NEW YORK COMPANY, INC. COMM STK   064057102   214305    5357630 SH       SOLE           1298106          0    4059524
BANK ONE CORPORATION           COMM STK   06423A103   190014    5926360 SH       SOLE           1299177          0    4627183
BANK UNITED CORP.              COMM STK   065412108     2616      97000 SH       SOLE             36600          0      60400
BANTA CORP                     COMM STK   066821109      639      28300 SH       SOLE             14800          0      13500
BARD (C.R.) INC                COMM STK   067383109     1979      37349 SH       SOLE             15823          0      21526
BARNES & NOBLE INC             COMM STK   067774109     1636      79300 SH       SOLE             25800          0      53500
BARRICK GOLD CORP              COMM STK   067901108    14112     797857 SH       SOLE            191434          0     606423
BARRA INC             CO       COMM STK   068313105     1613      50800 SH       SOLE             50800          0          0
BARRETT RESOURCES CORP         COMM STK   068480201    21193     719936 SH       SOLE             34350          0     685586
BATTLE MOUNTAIN GOLD           COMM STK   071593107    11290    5473700 SH       SOLE           1434200          0    4039500
BATTLE MOUNTAIN GOLD           CVPFSTKF   071593305     1066      41500 SH       SOLE             41500          0          0
BAUSCH & LOMB, INC.            COMM STK   071707103     3614      52803 SH       SOLE             27244          0      25559
BAXTER INTERNATIONAL INC.      COMM STK   071813109   142089    2262119 SH       SOLE            558419          0    1703700
BEA SYSTEMS INC.               COMM STK   073325102     2045      29200 SH       SOLE             23400          0       5800
BEAR STEARNS COMPANIES INC.    COMM STK   073902108    26334     616000 SH       SOLE             46552          0     569448
BECKMAN COULTER INC            COMM STK   075811109     1206      23700 SH       SOLE              9600          0      14100
BECTON DICKINSON & CO.         COMM STK   075887109    41906    1566573 SH       SOLE            356128          0    1210445
BED BATH & BEYOND              COMM STK   075896100    10404     300200 SH       SOLE            183700          0     116500
BELL ATLANTIC CORP.            COMM STK   077853109   283179    4599862 SH       SOLE           1294450          0    3305412
BELLSOUTH CORPORATION          COMM STK   079860102   152399    3255521 SH       SOLE           1039916          0    2215605
BELO (AH) CORP                 COMM STK   080555105      578      30300 SH       SOLE             12600          0      17700
BEMIS CO                       COMM STK   081437105     1555      44594 SH       SOLE             23469          0      21125
BEN & JERRY'S HOMEMADE         COMM STK   081465106     1270      51300 SH       SOLE             16300          0      35000
BENCHMARK ELECTRONICS          COMM STK   08160H101    21073     918700 SH       SOLE            129100          0     789600
BERGEN BRUNSWIG CL A           COMM STK   083739102       97      11717 SH       SOLE              6802          0       4915
BERKLEY (W.R.) CORPORATION     COMM STK   084423102    10935     520700 SH       SOLE            148600          0     372100
BERKSHIRE HATHAWAY INC.        COMM STK   084670108   103028       1425 SH       SOLE               236          0       1189
BERKSHIRE HATHAWAY INC.        COMM STK   084670207     5595       2346 SH       SOLE               534          0       1812
BEST BUY CO INC                COMM STK   086516101     7729     154000 SH       SOLE             69500          0      84500
BESTFOODS                      COMM STK   08658U101    16625     316282 SH       SOLE            130744          0     185538
BETHLEHEM STEEL CORP.          COMM STK   087509105      785      93731 SH       SOLE             39435          0      54296
BEYOND COM CORP                COMM STK   08860E101     1429     183600 SH       SOLE             44600          0     139000
BIG CITY RADIO INC             COMM STK   089098107     1900     400000 SH       SOLE                 0          0     400000
BIOCHEM PHARMA INC             COMM STK   09058T108     1052      52700 SH       SOLE             44500          0       8200
BIOGEN INC                     COMM STK   090597105    93777    1110200 SH       SOLE            300100          0     810100
BIOMATRIX INC                  COMM STK   09060P102      579      30100 SH       SOLE             29100          0       1000
BIOMET INC                     COMM STK   090613100     5432     135898 SH       SOLE             78606          0      57292
BIOMIRA INC                    COMM STK   09161R106      209      53000 SH       SOLE             53000          0          0
BLACK & DECKER CORPORATION     COMM STK   091797100    28444     544390 SH       SOLE             77300          0     467090
BLACK BOX CORP                 COMM STK   091826107     5769      85950 SH       SOLE             22700          0      63250
BLACK HILLS CORP               COMM STK   092113109    13503     608600 SH       SOLE            198500          0     410100
BLANCH E. W. HLDGS INC         COMM STK   093210102    79683    1300950 SH       SOLE            233100          0    1067850
H & R BLOCK INC                COMM STK   093671105   158530    3623536 SH       SOLE            590970          0    3032566
BLYTH INDUSTRIES INC           COMM STK   09643P108     3526     143550 SH       SOLE             37000          0     106550
BOEING COMPANY                 COMM STK   097023105   162153    3901432 SH       SOLE           1022108          0    2879324
BOISE CASCADE CORP.            COMM STK   097383103     1710      42211 SH       SOLE             18680          0      23531
THE BON-TON STORES INC         COMM STK   09776J101     5817    1538500 SH       SOLE            404900          0    1133600
BONE CARE INTERNATIONAL INC    COMM STK   098072101    12898    1037000 SH       SOLE             52000          0     985000
BORDERS GROUP INC              COMM STK   099709107    28837    1795300 SH       SOLE            357300          0    1438000
BORON LEPORE & ASSOC           COMM STK   10001P102     8067    1217600 SH       SOLE             63300          0    1154300
BOSTON PROPERTIES INC          COMM STK   101121101     2229      71600 SH       SOLE              5800          0      65800
BOSTON SCIENTIFIC CORP         COMM STK   101137107    17190     785829 SH       SOLE            378366          0     407463
BOWATER INCORPORATED           COMM STK   102183100      505       9300 SH       SOLE              7600          0       1700
BRIGGS & STRATTON CORP         COMM STK   109043109      930      17342 SH       SOLE              7435          0       9907
BRIGHAM EXPLORATION CO         COMM STK   109178103      861     550900 SH       SOLE                 0          0     550900
BRIGHT HORIZON FAMILY SOLUTION COMM STK   109195107    11825     634900 SH       SOLE             37500          0     597400
BRIGHT POINT INC.              COMM STK   109473108    19859    1505900 SH       SOLE              4500          0    1501400
BRINKER INTERNATIONAL          COMM STK   109641100     3044     126825 SH       SOLE             43450          0      83375
BRISTOL-MYERS SQUIBB COMPANY   COMM STK   110122108   402467    6270174 SH       SOLE           1813880          0    4456294
BRITISH TELECOMMUNICATIONS PLC ADR        111021408     9615      40400 SH       SOLE              9800          0      30600
BROADCOM CORP                  COMM STK   111320107     3186      11700 SH       SOLE              9000          0       2700
BROADVISION INC                COMM STK   111412102     8571      50400 SH       SOLE             39900          0      10500
CINCINNATI BELL INC.           COMM STK   111620100     3855     104545 SH       SOLE             34849          0      69696
BROCADE COMM SYS               COMM STK   111621108    30654     173800 SH       SOLE            149600          0      24200
BROWN AND BROWN INC            COMM STK   115236101    66394    1732950 SH       SOLE            333850          0    1399100
BROWN-FORMAN CORP.             COMM STK   115637209   134835    2355190 SH       SOLE            422506          0    1932684
BRUNSWICK CORPORATION          COMM STK   117043109     1829      82180 SH       SOLE             43763          0      38417
BUCA INC                       COMM STK   117769109     5248     521500 SH       SOLE            104000          0     417500
BUCKLE INC                     COMM STK   118440106      329      22200 SH       SOLE              5700          0      16500
BUILDING MATERIALS             COMM STK   120113105     4584     450000 SH       SOLE                 0          0     450000
BURLINGTON INDUSTRIES INC.     COMM STK   121693105       75      18700 SH       SOLE              1000          0      17700
BURLINGTON NORTHERN SANTA FE C COMM STK   12189T104   106638    4397445 SH       SOLE            567840          0    3829605
BURR BROWN CORP                COMM STK   122574106    99563    2760850 SH       SOLE            207925          0    2552925
BUSH BOAKE ALLEN INC           COMM STK   123162109     1304      53100 SH       SOLE             53100          0          0
BUSINESS RESOURCE GROUP        COMM STK   12329K104     1834     360000 SH       SOLE                 0          0     360000
CBL & ASSOC PROPERTIES         COMM STK   124830100      421      20400 SH       SOLE               400          0      20000
CBT GROUP PLC                  ADR        124853300    17768     529400 SH       SOLE                 0          0     529400
CCB FINL CORP                  COMM STK   124875105      205       4700 SH       SOLE              3000          0       1700
C-CUBE MICROSYSTEMS, INC       COMM STK   125015107     3197      51100 SH       SOLE             15600          0      35500
CDW COMPUTER CENTERS INC       COMM STK   125129106    11160     142000 SH       SOLE             60500          0      81500
CEC ENTERTAINMENT              COMM STK   125137109      526      18550 SH       SOLE              5450          0      13100
CEM CORP                       COMM STK   125165100     3186     299000 SH       SOLE                 0          0     299000
C.H. ROBINSON WORLDWIDE        COMM STK   12541W100    74490    1872500 SH       SOLE            310600          0    1561900
CIGNA CORP.                    COMM STK   125509109    33046     410195 SH       SOLE            138828          0     271367
CIT GROUP, INC.                COMM STK   125577106    43824    2074500 SH       SOLE            407400          0    1667100
CLECO CORP                     COMM STK   12561W105    41726    1301400 SH       SOLE            303700          0     997700
CK WITCO CORP                  COMM STK   12562C108    44091    3296549 SH       SOLE            648198          0    2648351
CMG INFORMATION SERVICES       COMM STK   125750109    10703      38660 SH       SOLE             17760          0      20900
CMS ENERGY CORP.               COMM STK   125896100     3069      98400 SH       SOLE             50000          0      48400
CSS INDS INC                   COMM STK   125906107    15243     713100 SH       SOLE             78100          0     635000
C/NET INC.                     COMM STK   125945105    15821     279100 SH       SOLE             79100          0     200000
CSK AUTO CORP                  COMM STK   125965103    32477    1855800 SH       SOLE            275200          0    1580600
CNA FINANCIAL CORP.            COMM STK   126117100      273       7000 SH       SOLE              2300          0       4700
CNF TRANSN INC                 COMM STK   12612W104     8770     254200 SH       SOLE              3000          0     251200
CSX CORPORATION                COMM STK   126408103     6027     192090 SH       SOLE             76992          0     115098
CTS CORP                       COMM STK   126501105     3309      43900 SH       SOLE             12200          0      31700
CUNO INC                       COMM STK   126583103    10231     493800 SH       SOLE             95300          0     398500
CVS CORPORATION                COMM STK   126650100   178528    4470181 SH       SOLE           1147206          0    3322975
CV THERAPEUTICS INC            COMM STK   126667104     4256     163300 SH       SOLE                 0          0     163300
HONG KONG TELECOMM LTD         ADR        126828102     2551      87572 SH       SOLE             28638          0      58934
CABLEVISION SYSTEMS            COMM STK   12686C109      310       4100 SH       SOLE              1400          0       2700
CABLETRON SYSTEMS INC          COMM STK   126920107     3363     129361 SH       SOLE             53709          0      75652
CABLE DESGN TECHNOLOGIES       COMM STK   126924109     1280      55654 SH       SOLE              5300          0      50354
CABOT CORP                     COMM STK   127055101    17331     850600 SH       SOLE            408600          0     442000
CADBURY SCHWEPPES PLC          ADR        127209302     2990     123618 SH       SOLE             15346          0     108272
CADENCE DESIGN SYSTEMS         COMM STK   127387108     1980      82500 SH       SOLE             75300          0       7200
CAL DIVE INTERNATIONAL INC.    COMM STK   127914109     2213      67000 SH       SOLE             15700          0      51300
CALIBER LEARNING NETWORK       COMM STK   129914107     1540     560000 SH       SOLE                 0          0     560000
CALIPER TECHNOLOGIES CORP      COMM STK   130876105    13338     200000 SH       SOLE                 0          0     200000
CALLAWAY GOLF CO               COMM STK   131193104      501      28300 SH       SOLE             11500          0      16800
CAMBRIDGE TECH PARTNERS        COMM STK   132524109    12216     464800 SH       SOLE              6200          0     458600
CAMDEN PROPERTY TRUST          COMM STK   133131102     6844     250000 SH       SOLE             51700          0     198300
CAMERON ASHLEY, INC.           COMM STK   133290106     6669     666900 SH       SOLE            266900          0     400000
CAMPBELL SOUP COMPANY          COMM STK   134429109   143890    3719289 SH       SOLE            840300          0    2878989
CANADIAN PACIFIC LIMITED       COMM STK   135923100    20129     933500 SH       SOLE            283500          0     650000
CANADIAN OCCIDENTAL PETE       COMM STK   136420106     4049     205000 SH       SOLE              5000          0     200000
CAPITAL ONE FINANCIAL CORP.    COMM STK   14040H105   207240    4300709 SH       SOLE            977600          0    3323109
CAPITAL SENIOR LIVING CORP.    COMM STK   140475104     1271     251000 SH       SOLE                 0          0     251000
CAPROCK COMMUNICATIONS         COMM STK   140667106     1012      31200 SH       SOLE              7700          0      23500
CARBO CERAMICS, INC            COMM STK   140781105     7545     345400 SH       SOLE            116600          0     228800
CARDINAL HEALTH, INC.          COMM STK   14149Y108    20401     426126 SH       SOLE            216198          0     209928
CAREMARK RX INC                COMM STK   141705103      694     136992 SH       SOLE            134392          0       2600
CAREINSITE INC                 COMM STK   14170M106    26406     327900 SH       SOLE             28800          0     299100
CARNIVAL CORP.                 COMM STK   143658102    39564     827478 SH       SOLE            334620          0     492858
CAROLINA POWER & LIGHT CO.     COMM STK   144141108     3683     121005 SH       SOLE             55315          0      65690
CARRAMERICA REALTY CORP        COMM STK   144418100    13556     641700 SH       SOLE              8700          0     633000
CARRIER ACCESS CORP            COMM STK   144460102     3545      52200 SH       SOLE             14700          0      37500
CASELLA WASTE SYS INC.         COMM STK   147448104    23956    1267100 SH       SOLE             55900          0    1211200
CASEYS GENERAL STORES          COMM STK   147528103    44820    4281300 SH       SOLE            696900          0    3584400
CATALINA MARKETING CORP        COMM STK   148867104   263580    2277150 SH       SOLE            268000          0    2009150
CATALYTICA INC                 COMM STK   148885106     6727     493700 SH       SOLE             99050          0     394650
CATELLUS DEVELOPMENT CORP.     COMM STK   149111106     7817     610100 SH       SOLE             55100          0     555000
CATERPILLAR INC.               COMM STK   149123101    15543     330271 SH       SOLE            130382          0     199889
CEDAR FAIR                     COMM STK   150185106     4768     246080 SH       SOLE             41700          0     204380
CENTENNIAL HEALTHCARE CO       COMM STK   150937100       90      30100 SH       SOLE             30100          0          0
CELL PATHWAYS INC              COMM STK   15114R101      122      13234 SH       SOLE             13234          0          0
CELLNET DATA SYSTEMS INC       COMM STK   15115M101       23      20400 SH       SOLE             20400          0          0
CENDANT CORP.                  COMM STK   151313103    33097    1246014 SH       SOLE            230169          0    1015845
CENTERPOINT PROPERTIES TRUST   COMM STK   151895109      344       9600 SH       SOLE               300          0       9300
CENTEX CORP                    COMM STK   152312104     1120      45382 SH       SOLE             20654          0      24728
CENTRAL AND SOUTH WEST CORP.   COMM STK   152357109     4124     206176 SH       SOLE            115947          0      90229
CENTRAL NEWSPAPERS INC         COMM STK   154647101      449      11400 SH       SOLE              9200          0       2200
CENTURY TELEPHONE ENTERPRISES  COMM STK   156700106     9060     191250 SH       SOLE             71925          0     119325
CEPHALON INC                   COMM STK   156708109    23535     678500 SH       SOLE             25600          0     652900
CERIDIAN CORPORATION           COMM STK   15677T106   169487    7860272 SH       SOLE           1158640          0    6701632
CERUS CORP                     COMM STK   157085101      530      20000 SH       SOLE             20000          0          0
THE CHALONE WINE GROUP LTD     COMM STK   157639105     2134     250100 SH       SOLE                 0          0     250100
CHAMPION INTERNATIONAL CORP.   COMM STK   158525105    13329     215204 SH       SOLE             34166          0     181038
CHARTER ONE FINANCIAL          COMM STK   160903100     7037     367966 SH       SOLE            110707          0     257259
CHARTER COMMUNICATIONS INC CL  COMM STK   16117M107    94119    4302600 SH       SOLE            654200          0    3648400
CHASE MANHATTAN CORPORATION    COMM STK   16161A108   250266    3221446 SH       SOLE            656420          0    2565026
CHATTEM                        COMM STK   162456107    10052     534350 SH       SOLE            115500          0     418850
CHECKFREE HOLDINGS             COMM STK   162816102      221       2100 SH       SOLE               700          0       1400
CHEVRON CORPORATION            COMM STK   166751107   408605    4716941 SH       SOLE           1130903          0    3586038
CHIEFTAN INTL FDG              CVPFSTKF   168672202     1091      42800 SH       SOLE                 0          0      42800
CHIEFTAIN INTERNATIONAL        COMM STK   16867C101    20707    1200400 SH       SOLE            364200          0     836200
CHILDREN'S COMP SVC            COMM STK   16875K202     4255     732000 SH       SOLE             32000          0     700000
CHIREX INC                     COMM STK   170038103      225      15500 SH       SOLE             15100          0        400
CHIRON CORP                    COMM STK   170040109     1126      26596 SH       SOLE             11800          0      14796
CHITTENDEN CORP                COMM STK   170228100    16466     555814 SH       SOLE               514          0     555300
CHOICEPOINT INC                COMM STK   170388102     1338      32340 SH       SOLE             23580          0       8760
CHRIS CRAFT INDS INC           COMM STK   170520100    72092     999548 SH       SOLE            397105          0     602443
CHROMCRAFT REVINGTON INC       COMM STK   171117104    11067    1054000 SH       SOLE             34000          0    1020000
CHUBB CORPORATION              COMM STK   171232101   143677    2551429 SH       SOLE            581311          0    1970118
CIBER INC                      COMM STK   17163B102   101659    3696700 SH       SOLE            765200          0    2931500
CIENA CORP                     COMM STK   171779101      610      10600 SH       SOLE              7300          0       3300
CINCINNATI FINL CORP           COMM STK   172062101     4072     130972 SH       SOLE             61737          0      69235
CINERGY CORP.                  COMM STK   172474108     3108     128816 SH       SOLE             60963          0      67853
CIRCUIT CITY STORES INC        COMM STK   172737108   217935    4836272 SH       SOLE            763760          0    4072512
CISCO SYSTEMS INC              COMM STK   17275R102  1388283   12963248 SH       SOLE           3106992          0    9856256
CINTAS CORPORATION             COMM STK   172908105     4555      85799 SH       SOLE             46146          0      39653
CITIGROUP INC.                 COMM STK   172967101  1034559   18619732 SH       SOLE           5006203          0   13613529
CITIZENS BKG CORP MICH         COMM STK   174420109    15837     713760 SH       SOLE            140860          0     572900
CITIZENS UTILITIES CO.         COMM STK   177342201      190      13374 SH       SOLE              4200          0       9174
CITRIX SYSTEMS INC.            COMM STK   177376100   176300    1433700 SH       SOLE            306300          0    1127400
CITY NATIONAL CORPORATION      COMM STK   178566105     5245     159250 SH       SOLE             71850          0      87400
CLARIFY INC                    COMM STK   180492100     4830      38100 SH       SOLE              9700          0      28400
CLASSIC COMMUNICATIONS, INC.   COMM STK   182728204    28954     789200 SH       SOLE             74400          0     714800
CLAYTON HOMES INC              COMM STK   184190106      188      20450 SH       SOLE             16400          0       4050
CLEAR CHANNEL COMMUNICATIONS,  COMM STK   184502102   231270    2591260 SH       SOLE            596361          0    1994899
CLOROX COMPANY                 COMM STK   189054109    14717     292140 SH       SOLE            174682          0     117458
COASTAL CORP.                  COMM STK   190441105     6555     184974 SH       SOLE             96976          0      87998
COCA-COLA COMPANY              COMM STK   191216100   178233    3059795 SH       SOLE           1211488          0    1848307
COCA-COLA ENTERPRISES INC.     COMM STK   191219104     6359     315998 SH       SOLE            137200          0     178798
COFLEXIP SPONSORED ADR         ADR        192384105    22499     596000 SH       SOLE             46000          0     550000
COGNEX CORP                    COMM STK   192422103   193656    4969525 SH       SOLE            477325          0    4492200
COGNIZANT TECHNOLOGY SOLUTION  COMM STK   192446102     1379      12600 SH       SOLE              3400          0       9200
COGNOS INC                     COMM STK   19244C109     4535      99000 SH       SOLE             23100          0      75900
COHU INC                       COMM STK   192576106     4736     153700 SH       SOLE             43500          0     110200
COINMACH LAUNDRY               COMM STK   19259L101     3781     358000 SH       SOLE             77300          0     280700
COINSTAR INC                   COMM STK   19259P300      420      30000 SH       SOLE             30000          0          0
COLD METAL PRODUCTS INC.       COMM STK   192861102     1344     377300 SH       SOLE                 0          0     377300
COLE NATIONAL CORP             COMM STK   193290103     5291    1058200 SH       SOLE               200          0    1058000
COLE KENNETH PRODUCTIONS       COMM STK   193294105     3852      84200 SH       SOLE             21500          0      62700
COLLATERAL THERAPEUTICS        COMM STK   193921103     3944     200000 SH       SOLE                 0          0     200000
COLGATE-PALMOLIVE CO.          COMM STK   194162103   183197    2818413 SH       SOLE            724470          0    2093943
COLLAGENEX PHARMA INC CO       COMM STK   19419B100     6557     265591 SH       SOLE             57591          0     208000
COLONIAL PROPERTIES TRUST      COMM STK   195872106      204       8800 SH       SOLE               300          0       8500
COLUMBIA ENERGY GROUP          COMM STK   197648108     3739      59108 SH       SOLE             24859          0      34249
COLUMBIA/HCA HEALTHCARE CORP.  COMM STK   197677107    13768     469681 SH       SOLE            231443          0     238238
COLUMBIA SPORTSWEAR            COMM STK   198516106    13636     632400 SH       SOLE            120500          0     511900
COMFORT SYSTEMS USA INC        COMM STK   199908104    23224    3149000 SH       SOLE            508600          0    2640400
COMARCO INC                    COMM STK   200080109     9639     408000 SH       SOLE              8000          0     400000
COMCAST CORPORATION            COMM STK   200300200   176959    3501968 SH       SOLE            720022          0    2781946
COMDISCO, INC.                 COMM STK   200336105      622      16700 SH       SOLE             12500          0       4200
COMERICA INCORPORATED          COMM STK   200340107     5387     115383 SH       SOLE             50682          0      64701
COMMERCE BANCORP INC NJ        COMM STK   200519106     3980      98431 SH       SOLE             24562          0      73869
COMMERCE BANCSHARES INC        COMM STK   200525103      228       6642 SH       SOLE              4936          0       1706
COMMERCE ONE INC               COMM STK   200693109      531       2700 SH       SOLE               900          0       1800
COMMNET CELLULAR INC           COMM STK   202604203     4302     134050 SH       SOLE                 0          0     134050
COMMSCOPE INC                  COMM STK   203372107     2717      67400 SH       SOLE             18800          0      48600
COMMUNITY FIRST BANKSHARES INC COMM STK   203902101    24744    1577324 SH       SOLE            307400          0    1269924
COMPANIA DE TELECOM DE         ADR        204449300      967      53000 SH       SOLE             13275          0      39725
COMPAQ COMPUTER CORP           COMM STK   204493100   128484    4747686 SH       SOLE           1197341          0    3550345
COMPASS BANCSHARES INC         COMM STK   20449H109      354      15850 SH       SOLE             13100          0       2750
COMPUCOM SYSTEMS INC           COMM STK   204780100    11170    2667500 SH       SOLE            716600          0    1950900
COMPUTER ASSOCIATES INTL       COMM STK   204912109   450345    6439254 SH       SOLE           1169166          0    5270088
COMPUTER SCIENCES CORP         COMM STK   205363104    11809     124801 SH       SOLE             55382          0      69419
COMPUWARE CORPORATION          COMM STK   205638109    14388     386570 SH       SOLE            231000          0     155570
COMPX INTERNATIONAL INC        COMM STK   20563P101    21175    1152400 SH       SOLE            338700          0     813700
COMVERSE TECHNOLOGY INC        COMM STK   205862402    15326     105900 SH       SOLE             59700          0      46200
CONAGRA, INC.                  COMM STK   205887102    11569     512736 SH       SOLE            197463          0     315273
CONCEPTUS INC                  COMM STK   206016107       75      64438 SH       SOLE             64438          0          0
CONCORD COMMUNICATIONS INC     COMM STK   206186108    56137    1257100 SH       SOLE            200500          0    1056600
CONCORD EFS INC                COMM STK   206197105    23869     928087 SH       SOLE            108537          0     849550
CONE MLS CORP INC              COMM STK   206814105     3603     800700 SH       SOLE            189100          0     611600
SONEXANT SYSTEMS INC-W/I       COMM STK   207142100   155886    2354100 SH       SOLE            230500          0    2123600
CONOCO INC.                    COMM STK   208251405    39990    1607640 SH       SOLE            215649          0    1391991
CONSECO INC.                   COMM STK   208464107     6293     352031 SH       SOLE            140532          0     211499
CONSOLIDATED EDISON, INC.      COMM STK   209115104     8022     232518 SH       SOLE             85418          0     147100
CONSOLIDATED GRAPHICS  INC     COMM STK   209341106    21342    1428750 SH       SOLE            169700          0    1259050
CONSOLIDATED NATURAL GAS CO.   COMM STK   209615103     5743      88433 SH       SOLE             48120          0      40313
CONSOLIDATED PAPERS INC        COMM STK   209759109   116152    3651150 SH       SOLE            801650          0    2849500
CONSOLIDATED PRODUCTS, INC.    COMM STK   209798107    16280    1607856 SH       SOLE            302926          0    1304930
CONSOLIDATED STORES            COMM STK   210149100    46131    2838802 SH       SOLE            583467          0    2255335
CONSTELLATION ENERGY GROUP, IN COMM STK   210371100     5241     180711 SH       SOLE             96241          0      84470
CONVERGYS CORP                 COMM STK   212485106      397      12900 SH       SOLE              7900          0       5000
COOPER CAMERON CORP            COMM STK   216640102    44812     915700 SH       SOLE             70500          0     845200
COOPER INDUSTRIES INC.         COMM STK   216669101    82318    2035690 SH       SOLE            423403          0    1612287
COOPER TIRE & RUBBER CO        COMM STK   216831107      825      53040 SH       SOLE             23523          0      29517
COORS ADOLPH CO CLASS B        COMM STK   217016104     1536      29249 SH       SOLE             13775          0      15474
COPPER MOUNTAIN NETWORKS INC   COMM STK   217510106      671      13800 SH       SOLE             12600          0       1200
COR THERAUPETICS INC           COMM STK   217753102    26434     981324 SH       SOLE             25824          0     955500
CORIXA CORP                    COMM STK   21887F100      595      35000 SH       SOLE             35000          0          0
CORN PRODUCTS INTERNATIONAL    COMM STK   219023108      506      15450 SH       SOLE              6475          0       8975
CORNERSTONE PROPERTIES I       COMM STK   21922H103      614      42000 SH       SOLE              1400          0      40600
CORNING INCORPORATED           COMM STK   219350105   432991    3358147 SH       SOLE            624668          0    2733479
CORRPRO COS INC                COMM STK   220317101     2197     373900 SH       SOLE             49000          0     324900
CORT BUSINESS SERVICES  CORP   COMM STK   220493100    27047    1551100 SH       SOLE            311800          0    1239300
COST PLUS INC CALIF COM        COMM STK   221485105    14171     398825 SH       SOLE             24775          0     374050
COSTCO WHOLESALE CORP.         COMM STK   22160K105   114257    1252559 SH       SOLE            186607          0    1065952
COULTER PHARMACEUTICAL         COMM STK   222116105    21353     938600 SH       SOLE            176200          0     762400
COUNTRYWIDE CREDIT INDUSTRIES  COMM STK   222372104     3669     145292 SH       SOLE             34242          0     111050
COURIER CORP                   COMM STK   222660102     5499     234000 SH       SOLE                 0          0     234000
COUSINS PROPERTIES INC         COMM STK   222795106     9308     274260 SH       SOLE              1800          0     272460
COVAD COMMUNICATIONS GROUP INC COMM STK   222814204    39887     715060 SH       SOLE            712910          0       2150
COX COMMUNICATIONS INC.        COMM STK   224044107    58098    1128119 SH       SOLE            126074          0    1002045
COX RADIO INC CLASS A          COMM STK   224051102     8449      84700 SH       SOLE             21900          0      62800
CRANE CO.                      COMM STK   224399105     1225      61631 SH       SOLE             33899          0      27732
CRAWFORD & CO CL B             COMM STK   224633107      378      27750 SH       SOLE               400          0      27350
CREATIVE BIOMOLECULES IN       COMM STK   225270107       86      17300 SH       SOLE              6000          0      11300
CREDENCE SYSTEMS CORP          COMM STK   225302108      267       3100 SH       SOLE              2800          0        300
CRESCENT R E EQUITIES          COMM STK   225756105    23306    1268330 SH       SOLE            191830          0    1076500
CRESCENT R E EQUITIES          CVPFSTKF   225756204      184      11950 SH       SOLE              3300          0       8650
CROSS TIMBERS OIL CO.          COMM STK   227573102     6414     707700 SH       SOLE            327700          0     380000
CROSS TIMBERS OIL CO.          CVPFSTKF   227573201    13105     548890 SH       SOLE             49500          0     499390
CROWN CASTLE INTL CORP         COMM STK   228227104    97173    3030750 SH       SOLE            648900          0    2381850
CROWN CORK & SEAL COMPANY, INC COMM STK   228255105    11643     520376 SH       SOLE             60047          0     460329
CUBIST PHARMACEUTICALS I       COMM STK   229678107    12824     661900 SH       SOLE            106900          0     555000
CULP INC.                      COMM STK   230215105     7533    1193400 SH       SOLE            240900          0     952500
CUMMINS ENGINE                 COMM STK   231021106     1510      31264 SH       SOLE             13095          0      18169
CUMULUS MEDIA INC.             COMM STK   231082108     1703      33600 SH       SOLE             32300          0       1300
CYBERSOURCE CORP               COMM STK   23251J106    23767     457600 SH       SOLE              7300          0     450300
CYBEX COMPUTER PRODUCTS        COMM STK   232522102     6381     156100 SH       SOLE             43350          0     112750
CYMER INC.                     COMM STK   232572107     3565      77400 SH       SOLE             19700          0      57700
CYSIVE INC                     COMM STK   23281T108     4065      56000 SH       SOLE               300          0      55700
CYTEC INDUSTRIES INC           COMM STK   232820100     9506     411071 SH       SOLE              9400          0     401671
CYTYC CORP                     COMM STK   232946103     6336     103600 SH       SOLE             43500          0      60100
DII GROUP, INC.                COMM STK   232949107     2108      29700 SH       SOLE              7700          0      22000
DPL, INC.                      COMM STK   233293109      287      16575 SH       SOLE             12575          0       4000
DQE, INC.                      COMM STK   23329J104    98295    2838849 SH       SOLE            547737          0    2291112
D R HORTON INC                 COMM STK   23331A109      138      10000 SH       SOLE              6800          0       3200
DST SYSTEMS INC                COMM STK   233326107     2866      37550 SH       SOLE             31950          0       5600
DAISYTEK INTERNATIONAL C       COMM STK   234053106    17585     753300 SH       SOLE              2600          0     750700
DALLAS SEMICONDUCTOR CORP      COMM STK   235204104    10075     156350 SH       SOLE             59450          0      96900
DAN RIVER INC                  COMM STK   235774106    10706    2088900 SH       SOLE            567600          0    1521300
DANA CORP.                     COMM STK   235811106    61747    2062514 SH       SOLE            368365          0    1694149
DANAHER CORP                   COMM STK   235851102   169385    3510564 SH       SOLE            938800          0    2571764
DARDEN RESTAURANTS, INC.       COMM STK   237194105     1968     108567 SH       SOLE             48264          0      60303
DAYTON HUDSON CORP.            COMM STK   239753106   238633    3249466 SH       SOLE            627708          0    2621758
DEAN FOODS CO                  COMM STK   242361103      386       9700 SH       SOLE              8400          0       1300
DEERE & COMPANY                COMM STK   244199105    14810     341444 SH       SOLE            115904          0     225540
DELL COMPUTER CORP             COMM STK   247025109   730504   14332383 SH       SOLE           1932846          0   12399537
DELPHI AUTO SYSTEMS CORP.      COMM STK   247126105     7547     479144 SH       SOLE            180817          0     298327
DELTA AIR LINES INC.           COMM STK   247361108    15242     305979 SH       SOLE             46740          0     259239
DELTIC TIMBER CORP             COMM STK   247850100     2503     114412 SH       SOLE             94412          0      20000
DELTA FINANCIAL CORP.          COMM STK   247918105     4233    1026200 SH       SOLE            156600          0     869600
DELUXE CORP                    COMM STK   248019101     1476      53803 SH       SOLE             22641          0      31162
DENDRITE INTERNATIONAL         COMM STK   248239105     2547      75600 SH       SOLE             19400          0      56200
DENTSPLY INTERNATIONAL INC     COMM STK   249030107     2459     103800 SH       SOLE             29000          0      74800
DEUTSCHE TELEKOM AG            ADR        251566105     3507      49400 SH       SOLE             15100          0      34300
DEVON ENERGY CORP              COMM STK   25179M103    94441    2872741 SH       SOLE            602738          0    2270003
DEVRY INC                      COMM STK   251893103    10151     545000 SH       SOLE            156700          0     388300
DIAGEO PLC                     ADR        25243Q205     3828     119638 SH       SOLE             59628          0      60010
DIAL CORP NEW                  COMM STK   25247D101      289      11900 SH       SOLE              8800          0       3100
DIEBOLD INC                    COMM STK   253651103     7339     312312 SH       SOLE             46400          0     265912
DIGEX INC                      COMM STK   253756100    10926     159500 SH       SOLE             29400          0     130100
DIGITAL IMPACT INC             COMM STK   25385G106     1177      23400 SH       SOLE                 0          0      23400
DIGITAL RIV INC                COMM STK   25388B104     2591      77700 SH       SOLE             19200          0      58500
DIGITAL GENERATION SYSTE       COMM STK   253921100     1301     182560 SH       SOLE            182560          0          0
DILLARD'S INC.                 COMM STK   254067101     1550      76769 SH       SOLE             33626          0      43143
DIME BANCORP, INC.             COMM STK   25429Q102      312      20620 SH       SOLE             17420          0       3200
DIONEX CORP                    COMM STK   254546104     5334     129600 SH       SOLE             71850          0      57750
DISCOUNT AUTO PTS INC          COMM STK   254642101    14428     798800 SH       SOLE               100          0     798700
DISNEY (WALT) COMPANY          COMM STK   254687106   323733   11067811 SH       SOLE           2921678          0    8146133
DITECH COMMUNICATIONS CORP     COMM STK   25500M103    14330     153464 SH       SOLE             77840          0      75624
DIXIE GROUP INC.               CONV BND   255519AA8      443     620000 PRN      SOLE                 0          0     620000
DOLLAR GEN CORP                COMM STK   256669102    10546     463582 SH       SOLE            271422          0     192160
DOLLAR TREE STORES INC.        COMM STK   256747106     8856     182950 SH       SOLE             69925          0     113025
DOMINION RESOURCES INC.        COMM STK   257470104     8000     203814 SH       SOLE            112466          0      91348
DOMTAR INC                     COMM STK   257561100     8785     795900 SH       SOLE            353900          0     442000
DONALDSON CO INC               COMM STK   257651109     3757     156122 SH       SOLE             70200          0      85922
DONALDSON LUFKIN & JENRETTE IN COMM STK   257661108      223       4600 SH       SOLE              1700          0       2900
DONALDSON LUFKIN & JENRETTE IN COMM STK   257661504      279      20600 SH       SOLE              4600          0      16000
DONCASTERS PLC                 ADR        257692103     2292     254700 SH       SOLE             49000          0     205700
DONNELLEY (R.R.) & SONS COMPAN COMM STK   257867101   120063    4838806 SH       SOLE            762621          0    4076185
DOUBLECLICK INC                COMM STK   258609304      674       2661 SH       SOLE              1385          0       1276
DOVER CORPORATION              COMM STK   260003108    20080     442541 SH       SOLE            107418          0     335123
DOVER DOWNS ENTERTAINMNT       COMM STK   260086103     5638     300700 SH       SOLE                 0          0     300700
DOW CHEMICAL COMPANY           COMM STK   260543103   252188    1887283 SH       SOLE            385279          0    1502004
DOW JONES & CO. INC.           COMM STK   260561105   111531    1640160 SH       SOLE            334632          0    1305528
DOWNEY FINANCIAL CORP          COMM STK   261018105    21379    1059000 SH       SOLE            199000          0     860000
DRUGSTORE COM INC              COMM STK   262241102     7430     203400 SH       SOLE             41300          0     162100
DU PONT (EI) DE NEMOURS & CO.  COMM STK   263534109   298730    4534802 SH       SOLE           1170147          0    3364655
DUANE READE INC                COMM STK   263578106    53072    1925500 SH       SOLE            346400          0    1579100
DUFF & PHELPS UTILS            COMM STK   264324104      141      17000 SH       SOLE                 0          0      17000
DUKE ENERGY CORPORATION        COMM STK   264399106   143447    2861786 SH       SOLE            679005          0    2182781
DUKE RLTY INVTS INC NEW        COMM STK   264411505     9872     506275 SH       SOLE             55844          0     450431
DUN & BRADSTREET CORP WI       COMM STK   26483B106   112444    3811651 SH       SOLE            844085          0    2967566
DYCOM INDUSTRIES INC           COMM STK   267475101     6336     143800 SH       SOLE             63450          0      80350
EEX CORP                       COMM STK   26842V207     1658     564413 SH       SOLE               400          0     564013
E4L INC                        COMM STK   268452109     2500    1000000 SH       SOLE                 0          0    1000000
E-LOAN INC                     COMM STK   26861P107      366      22857 SH       SOLE             22457          0        400
EMC CORP-MASS                  COMM STK   268648102   345655    3163887 SH       SOLE            707054          0    2456833
EMS TECHNOLOGIES               COMM STK   26873N108     3280     285200 SH       SOLE             31500          0     253700
ENSCO INTERNATIONAL INC        COMM STK   26874Q100      311      13600 SH       SOLE              9800          0       3800
ENI SPA                        ADR        26874R108     3104      56300 SH       SOLE             12300          0      44000
ENRON OIL & GAS CO.            COMM STK   26875P101     5367     305600 SH       SOLE              1300          0     304300
EPIX MEDICAL INC               COMM STK   26881Q101     7587     747000 SH       SOLE             47000          0     700000
E PIPHANY INC                  COMM STK   26881V100      201        900 SH       SOLE               300          0        600
ETEC SYSTEMS INC               COMM STK   26922C103     3893      86500 SH       SOLE             26200          0      60300
E-TEK DYNAMICS INC             COMM STK   269240107     2459      18300 SH       SOLE             16000          0       2300
E TRADE GROUP INC              COMM STK   269246104   185675    7098700 SH       SOLE            643200          0    6455500
EAGLE USA AIR FREIGHT          COMM STK   270018104   107777    2493750 SH       SOLE            409800          0    2083950
EARTHLINK NETWORK INC CO       COMM STK   270322100    14635     343600 SH       SOLE             67200          0     276400
EASTERN ENTERPRISES            COMM STK   27637F100     1088      18936 SH       SOLE              7660          0      11276
EASTMAN CHEMICAL CO.           COMM STK   277432100     2675      56086 SH       SOLE             23981          0      32105
EASTMAN KODAK COMPANY          COMM STK   277461109   311697    4704855 SH       SOLE            883524          0    3821331
EATON CORP.                    COMM STK   278058102     6844      94244 SH       SOLE             50817          0      43427
EATON VANCE CORP               COMM STK   278265103     8466     222800 SH       SOLE             42000          0     180800
EBAY INC                       COMM STK   278642103     2605      20800 SH       SOLE              1600          0      19200
EBENX INC                      COMM STK   278668108      716      15800 SH       SOLE                 0          0      15800
EBIX COM INC                   COMM STK   278715107     7397     663000 SH       SOLE             43000          0     620000
ECHOSTAR                       COMM STK   278762109      370       3800 SH       SOLE              1300          0       2500
ECLIPSYS CORP                  COMM STK   278856109     2972     115840 SH       SOLE            115240          0        600
ECO SOIL SYSTEMS INC           COMM STK   278858105     1477     350000 SH       SOLE                 0          0     350000
ECOLAB INC                     COMM STK   278865100     7365     188245 SH       SOLE            116338          0      71907
EDISON INTERNATIONAL           COMM STK   281020107    12334     470971 SH       SOLE            186779          0     284192
EDO CORP                       COMM STK   281347104     1184     201500 SH       SOLE                 0          0     201500
EDUCATION MANAGEMENT CORP      COMM STK   28139T101      301      21500 SH       SOLE             21500          0          0
J.D. EDWARDS & CO.             COMM STK   281667105      206       6900 SH       SOLE              1300          0       5600
EDWARDS A G INC                COMM STK   281760108     5442     169745 SH       SOLE             16950          0     152795
EFFICIENT NETWORKS INC         COMM STK   282056100     1268      18662 SH       SOLE              6455          0      12207
EL PASO ENERGY CORP            COMM STK   283905107    18467     475798 SH       SOLE             80340          0     395458
ELN CORP PLC ADR               ADR        284131208     1731      55500 SH       SOLE             45700          0       9800
ELECTRO-RENT CORP              COMM STK   285218103    38980    3353100 SH       SOLE            610800          0    2742300
ELECTRONIC ARTS INC            COMM STK   285512109   260232    3095700 SH       SOLE            342300          0    2753400
ELECTRONIC DATA SYSTEMS CORP.  COMM STK   285661104    28601     427282 SH       SOLE            182400          0     244882
ELECTRONICS FOR IMAGING        COMM STK   286082102   226820    3869000 SH       SOLE            273600          0    3595400
EMERSON ELECTRIC CO.           COMM STK   291011104    36901     643156 SH       SOLE            198937          0     444219
EMISPERE TECHNOLOGIES          COMM STK   291345106     3496     116400 SH       SOLE                 0          0     116400
EMMIS COMMUNICATIONS CORP      COMM STK   291525103    89790     720300 SH       SOLE            123500          0     596800
EMPRESA NACIAONAL ELEC CHILE S ADR        29244T101      742      52331 SH       SOLE             14488          0      37843
EMULEX CORP                    COMM STK   292475209      226       2000 SH       SOLE               400          0       1600
ENDESA SA SPONSORED ADR        ADR        29258N107     2198     108860 SH       SOLE             28260          0      80600
ENERGY CONVERSION DEVIC        COMM STK   292659109     3703     401700 SH       SOLE                 0          0     401700
ENERGY EAST CORP               COMM STK   29266M109      443      21300 SH       SOLE             18400          0       2900
ENERSIS S A           SP       ADR        29274F104      282      12002 SH       SOLE              4400          0       7602
ENDOCARDIAL SOLUTIONS IN       COMM STK   292962107     1510     172531 SH       SOLE            172531          0          0
ENRON CORP.                    COMM STK   293561106    30590     689358 SH       SOLE            288056          0     401302
ENTERCOM COMMUNICATIONS CORP   COMM STK   293639100    12883     195200 SH       SOLE             38900          0     156300
ENTERGY CORPORATION            COMM STK   29364G103    59437    2308252 SH       SOLE            534991          0    1773261
ENTRUST TECHNOLOGIES           COMM STK   293848107     1971      32900 SH       SOLE             31900          0       1000
ENZON INC                      COMM STK   293904108     7500     173400 SH       SOLE              2400          0     171000
EQUIFAX INC                    COMM STK   294429105    22240     943877 SH       SOLE            140522          0     803355
EQUITY OFFICE PROPERTIES TRUST COMM STK   294741103    22910     930341 SH       SOLE            767300          0     163041
EQUITY RESIDENTIAL PPTYS       COMM STK   29476L107      938      21980 SH       SOLE              4700          0      17280
ERICSSON (TELEFONAKTIEBOLAGET  ADR        294821400    13939     212300 SH       SOLE             59400          0     152900
ERIE INDEMNITY                 COMM STK   29530P102     1212      37800 SH       SOLE              1100          0      36700
ESPEED INC                     COMM STK   296643109    14384     403400 SH       SOLE             34400          0     369000
ETOYS INC                      COMM STK   297862104     4687     178132 SH       SOLE            175432          0       2700
EUPHONIX INC                   COMM STK   298416108       19      20000 SH       SOLE             20000          0          0
EXAR CORP                      COMM STK   300645108     8764     148700 SH       SOLE             41900          0     106800
EXCALIBUR TECHNOLOGIES C       COMM STK   300651205     3103     150000 SH       SOLE                 0          0     150000
EXODUS COMMUNICATIONS INC.     COMM STK   302088109      924      10400 SH       SOLE              6000          0       4400
EXPEDITORS INC WASH INC        COMM STK   302130109    35903     823000 SH       SOLE            233300          0     589700
EXPRESS SCRIPTS CL A COM       COMM STK   302182100     3908      60850 SH       SOLE             29600          0      31250
EXTENDED STAY AMERICA          COMM STK   30224P101    35175    4613100 SH       SOLE            401900          0    4211200
EXXON MOBIL CORPORATION        COMM STK   30231G102  1110369   13782700 SH       SOLE           3580474          0   10202226
FLIR SYSTEMS INC               COMM STK   302445101     9466     584800 SH       SOLE            206800          0     378000
FMC CORP.                      COMM STK   302491303     4460      77824 SH       SOLE             20570          0      57254
FPL GROUP INC.                 COMM STK   302571104     9514     222220 SH       SOLE            121584          0     100636
FVC COM INC                    COMM STK   30266P100      245      21000 SH       SOLE             21000          0          0
F Y I INC                      COMM STK   302712104    30461     895100 SH       SOLE            147400          0     747700
FAB INDUSTRIES INC             COMM STK   302747100     1200     100000 SH       SOLE                 0          0     100000
FACTSET RESEARCH SYSTEMS       COMM STK   303075105     7740      97200 SH       SOLE             42300          0      54900
FAIR ISSAC & COMPANY INC       COMM STK   303250104     1214      22900 SH       SOLE             17100          0       5800
FAMILY DOLLAR STORES INC       COMM STK   307000109   110554    6777230 SH       SOLE            869300          0    5907930
FDX CORPORATION                COMM STK   31304N107    10351     252840 SH       SOLE            118554          0     134286
FEDERAL HOME LOAN MORTGAGE COR COMM STK   313400301   490624   10424954 SH       SOLE           2732539          0    7692415
FEDERAL NATIONAL MORTGAGE ASSO COMM STK   313586109   569767    9125405 SH       SOLE           2202860          0    6922545
FED REALTY INV TRUST           COMM STK   313747206    33027    1755600 SH       SOLE              4400          0    1751200
FEDERATED DEPARTMENT STORES IN COMM STK   31410H101    10083     199415 SH       SOLE             68694          0     130721
FEDERATED INVESTORS            COMM STK   314211103    52770    2630300 SH       SOLE             18000          0    2612300
FIFTH THIRD BANCORP            COMM STK   316773100    18435     251347 SH       SOLE            123123          0     128224
FINANCIAL FED CORP             COMM STK   317492106    33279    1458800 SH       SOLE            131600          0    1327200
FINOVA GROUP (THE) INC.        COMM STK   317928109     1463      41217 SH       SOLE             39217          0       2000
FIRST BELL BANCORP INC         COMM STK   319301107     2232     148200 SH       SOLE             40600          0     107600
FIRST CONSULTING GROUP INC.    COMM STK   31986R103     1393      90581 SH       SOLE             23330          0      67251
FIRST DATA CORPORATION         COMM STK   319963104   570285   11564711 SH       SOLE           1748017          0    9816694
FIRST FINANCIAL FUND INC       INVCOSTK   320228109     8041    1046010 SH       SOLE            396300          0     649710
FIRST INTERNATIONAL BANCORP    COMM STK   32054Q100     4136     509000 SH       SOLE             19000          0     490000
FIRST MARINER BANK             COMM STK   320795107      438      55200 SH       SOLE              4600          0      50600
FIRST SIERRA FINANCIAL INC     COMM STK   335944104     1246      73000 SH       SOLE             26600          0      46400
FIRST REP BK SAN FRANCISCO     COMM STK   336158100    20034     852500 SH       SOLE            204500          0     648000
FIRST SECURITY CORPORATION     COMM STK   336294103    10487     410738 SH       SOLE            130549          0     280189
FIRST TENNESSEE NATIONAL CORP. COMM STK   337162101    27408     961700 SH       SOLE            171200          0     790500
FIRST UNION CORPORATION        COMM STK   337358105    32940    1003885 SH       SOLE            429207          0     574678
FIRST VIRGINIA BANKS INC       COMM STK   337477103      729      16950 SH       SOLE              9300          0       7650
FIRST WASH RLTY TR INCCO       COMM STK   337489504    16133     863300 SH       SOLE            119000          0     744300
FIRSTAR CORPORATION            COMM STK   33763V109   241292   11422128 SH       SOLE           2380933          0    9041195
FISERV INC                     COMM STK   337738108     1102      28800 SH       SOLE             25625          0       3175
FIRSTMERIT CORP                COMM STK   337915102      740      31732 SH       SOLE              9032          0      22700
FIRSTENERGY CORP.              COMM STK   337932107   153222    6753588 SH       SOLE           1417820          0    5335768
FLEETBOSTON FINANCIAL CORPORAT COMM STK   339030108   228573    6565838 SH       SOLE           1540960          0    5024878
FLEETWOOD ENTERPRISES          COMM STK   339099103      489      23712 SH       SOLE             10310          0      13402
FLORIDA PROGRESS CORP.         COMM STK   341109106     3563      84200 SH       SOLE             43600          0      40600
FLUOR CORP                     COMM STK   343861100     2643      57616 SH       SOLE             26390          0      31226
FORD MOTOR COMPANY             COMM STK   345370100    58234    1089756 SH       SOLE            459789          0     629967
FOREST LABS INC                COMM STK   345838106     3714      60450 SH       SOLE             21000          0      39450
FOREST OIL CORP.               COMM STK   346091606     2677     203000 SH       SOLE               600          0     202400
FORTUNE BRANDS, INC.           COMM STK   349631101    95293    2882205 SH       SOLE            678089          0    2204116
FOSSIL INCORPORATED            COMM STK   349882100     2824     121975 SH       SOLE             29575          0      92400
FOSTER WHEELER CORP            COMM STK   350244109      314      35339 SH       SOLE             14842          0      20497
FOUNDATION HEALTH SYSTEMS - A  COMM STK   350404109      121      12200 SH       SOLE             10500          0       1700
FOUNDRY NETWORKS INC           COMM STK   35063R100      603       2000 SH       SOLE               600          0       1400
FOX ENTERTAINMENT GROUP        COMM STK   35138T107    80628    3233200 SH       SOLE            448000          0    2785200
FRANCE TELECOM                 ADR        35177Q105     9118      68300 SH       SOLE              7300          0      61000
FRANKFORT FIRST BANCORP        COMM STK   352128201     1709     112500 SH       SOLE             31000          0      81500
FRANKLIN ELECTRIC CO INC       COMM STK   353514102    11774     165900 SH       SOLE             53800          0     112100
FRANKLIN RESOURCES INC         COMM STK   354613101    27219     848946 SH       SOLE            199132          0     649814
FREDS INC CLASS A              COMM STK   356108100     5675     356800 SH       SOLE            175500          0     181300
FREEPORT-MCMORAN COPPER AND GO COMM STK   35671D857     2469     116867 SH       SOLE             51390          0      65477
FRESH CHOICE INC               COMM STK   358032100     1333     540000 SH       SOLE                 0          0     540000
FROZEN FOOD EXPRESS INDS       COMM STK   359360104     1809     455700 SH       SOLE             33500          0     422200
FUEL-TECH N V                  COMM STK   359523107      135      61800 SH       SOLE                 0          0      61800
G&K SERVICES INC               COMM STK   361268105    10795     336350 SH       SOLE             30200          0     306150
GATX CORPORATION               COMM STK   361448103    31080     920900 SH       SOLE            183100          0     737800
GPU, INC.                      COMM STK   36225X100    27275     911049 SH       SOLE             94782          0     816267
GTE CORPORATION                COMM STK   362320103   413270    5856798 SH       SOLE           1366045          0    4490753
GABLES RESIDENTIAL TRUST       COMM STK   362418105      569      23700 SH       SOLE               300          0      23400
GALILEO INTERNATIONAL INC      COMM STK   363547100   128793    4302050 SH       SOLE            459550          0    3842500
GALLAGHER ARTHUR J & CO        COMM STK   363576109     5951      91900 SH       SOLE               100          0      91800
GANNETT CO., INC.              COMM STK   364730101    36453     446936 SH       SOLE            178069          0     268867
GAP, INC. (THE)                COMM STK   364760108    42784     930093 SH       SOLE            300279          0     629814
GARDEN FRESH RESTAURANT        COMM STK   365235100     8645     503000 SH       SOLE             53000          0     450000
GATEWAY 2000 INC               COMM STK   367626108    18973     263292 SH       SOLE            127900          0     135392
GAYLORD CONTAINER CORP.        COMM STK   368145108       70      10300 SH       SOLE              8000          0       2300
GENENTECH INC COM SPL          COMM STK   368710406   154043    1145300 SH       SOLE            309600          0     835700
GENERAL AMERICAN INVS          INVCOSTK   368802104      498      13390 SH       SOLE                 0          0      13390
GENERAL DYNAMICS CORPORATION   COMM STK   369550108     8255     156495 SH       SOLE             72516          0      83979
GENERAL ELECTRIC COMPANY       COMM STK   369604103  1209917    7818524 SH       SOLE           2343949          0    5474575
GENERAL MILLS INC.             COMM STK   370334104   295399    8262914 SH       SOLE           1647396          0    6615518
GENERAL MOTORS CORP.           COMM STK   370442105   114460    1574689 SH       SOLE            468934          0    1105755
GENERAL MOTORS CORP.           COMM STK   370442832      444       4626 SH       SOLE              1567          0       3059
GENTEX CORP                    COMM STK   371901109     6587     236300 SH       SOLE             76900          0     159400
GENUINE PARTS CO               COMM STK   372460105   108360    4367156 SH       SOLE            973919          0    3393237
GENZYME CORP GENERAL           COMM STK   372917104      467      10400 SH       SOLE              8200          0       2200
GEORGIA-PACIFIC CORP.          COMM STK   373298108     8951     176366 SH       SOLE             68274          0     108092
GEORGIA-PACIFIC CORP.          COMM STK   373298702      699      28394 SH       SOLE              7144          0      21250
GETTY IMAGES INC               COMM STK   374276103     2411      49200 SH       SOLE             12600          0      36600
GIBRALTAR STEEL CORP           COMM STK   37476F103    20665     888800 SH       SOLE            187000          0     701800
GILEAD SCIENCES INC            COMM STK   375558103   103060    1906314 SH       SOLE            373789          0    1532525
GILLETTE COMPANY               COMM STK   375766102    58518    1420763 SH       SOLE            605620          0     815143
GLACIER BANCORP                COMM STK   37637Q105    15426     949317 SH       SOLE            189387          0     759930
GLAXO WELLCOME PLC             ADR        37733W105     6131     109723 SH       SOLE             52323          0      57400
GLENBOROUGH REALTY TRUST INC   COMM STK   37803P105    20231    1512600 SH       SOLE            447500          0    1065100
GLOBAL INDUSTRIES              COMM STK   379336100      273      31600 SH       SOLE             29600          0       2000
GLOBAL IMAGING SYSTEMS, INC.   COMM STK   37934A100    17542    1435700 SH       SOLE            210100          0    1225600
GLOBAL MARINE INC              COMM STK   379352404      308      18500 SH       SOLE             14400          0       4100
GLOBAL TELESYSTEMS GROUP INC.  COMM STK   37936U104      235       6800 SH       SOLE              2000          0       4800
GLOBESPAN INC                  COMM STK   379571102     5660      87168 SH       SOLE             43997          0      43171
GOLD FIELDS LTD NEW            ADR        38059T106      435      95631 SH       SOLE             95631          0          0
GOLDEN WEST FINANCIAL CORPORAT COMM STK   381317106     4238     126505 SH       SOLE             57251          0      69254
GOLDMAN SACHS GROUP, INC.      COMM STK   38141G104    30385     322600 SH       SOLE             40600          0     282000
GOODRICH (B.F.) COMPANY        COMM STK   382388106     2983     108490 SH       SOLE             36382          0      72108
GOODYEAR TIRE & RUBBER CO.     COMM STK   382550101     3443     122161 SH       SOLE             55723          0      66438
GOODYS FAMILY CLOTHING         COMM STK   382588101     6157    1148800 SH       SOLE            410500          0     738300
GRACE W R & CO DEL             COMM STK   38388F108    17743    1278769 SH       SOLE             88635          0    1190134
GRAINGER (W.W.), INC.          COMM STK   384802104     7375     154246 SH       SOLE             35040          0     119206
GREAT ATLANTIC & PACIFIC TEA C COMM STK   390064103      831      29815 SH       SOLE             13485          0      16330
GREAT LAKES CHEMICAL CORP.     COMM STK   390568103   290321    7602511 SH       SOLE           1550460          0    6052051
GREAT PLAINS SOFTWARE          COMM STK   39119E105    68425     915000 SH       SOLE            187200          0     727800
GREENPOINT FINANCIAL CORP.     COMM STK   395384100      334      14024 SH       SOLE             11324          0       2700
GROUP 1 AUTOMOTIVE INC         COMM STK   398905109     1764     126600 SH       SOLE             34000          0      92600
GROUP MAINTENANCE AMERICA CORP COMM STK   39943E107    16873    1578800 SH       SOLE            252700          0    1326100
GUARANTY FINL CORP             COMM STK   401086103      822     100000 SH       SOLE                 0          0     100000
GUCCI GRP N V COM NY REG       ADR        401566104      372       3250 SH       SOLE              3250          0          0
GUIDANT CORP                   COMM STK   401698105    18162     386425 SH       SOLE            200828          0     185597
GUILFORD PHARMACEUTICALS INC   COMM STK   401829106     1748     104350 SH       SOLE             24350          0      80000
GYMBOREE CORPORATION           COMM STK   403777105       62      10900 SH       SOLE               500          0      10400
HNC SOFTWARE                   COMM STK   40425P107    18947     178800 SH       SOLE              3000          0     175800
HRPT PROPERTIES TRUST          COMM STK   40426W101       97      10800 SH       SOLE              9200          0       1600
HS RESOURCES, INC.             COMM STK   404297103    18249    1057900 SH       SOLE             37400          0    1020500
HAGLER BAILLY INC              COMM STK   405183104     6796    1350800 SH       SOLE                 0          0    1350800
HAIN FOOD GROUP INC            COMM STK   405219106     2943     131700 SH       SOLE             39700          0      92000
HALLIBURTON COMPANY            COMM STK   406216101   103751    2577653 SH       SOLE            498514          0    2079139
HANCOCK FABRICS INC            COMM STK   409900107     5790    1852800 SH       SOLE            282200          0    1570600
HANGER ORTHOPEDIC GROUP INC.   COMM STK   41043F208      902      90200 SH       SOLE             22200          0      68000
HANNA (M.A.) CO                COMM STK   410522106      147      13400 SH       SOLE             12500          0        900
HANSON PLC                     ADR        411352404      332       8212 SH       SOLE               337          0       7875
HARCOURT GENERAL, INC.         COMM STK   41163G101     6139     152510 SH       SOLE             46118          0     106392
HARLEY-DAVIDSON                COMM STK   412822108     5570      86950 SH       SOLE             63550          0      23400
HARLEYSVILLE GRO               COMM STK   412824104     4165     294900 SH       SOLE             64400          0     230500
HARMAN INTL INDS               COMM STK   413086109    18106     322600 SH       SOLE             63900          0     258700
HARMONIC LIGHTWAVES INC        COMM STK   413160102      854       9000 SH       SOLE              7900          0       1100
HARRAHS ENTERTAINMENT          COMM STK   413619107     2488      94098 SH       SOLE             39094          0      55004
HARSCO CORP                    COMM STK   415864107     2178      68600 SH       SOLE             22900          0      45700
HARTE HANKS COMMUN INC         COMM STK   416196103     4128     189800 SH       SOLE             78500          0     111300
HARTFORD FINANCIAL SERVICES GR COMM STK   416515104    22410     473024 SH       SOLE             86930          0     386094
HASBRO INCORPORATED            COMM STK   418056107   108252    5678819 SH       SOLE           1149003          0    4529816
HAUSER INC COM NEW             COMM STK   419141403      993     321125 SH       SOLE             59600          0     261525
HAVERTY FURN COS INC           COMM STK   419596101     6315     500200 SH       SOLE               200          0     500000
HAWAIIAN ELECTRIC INDUSTRIES,  COMM STK   419870100      326      11300 SH       SOLE             11100          0        200
HEALTHSOUTH REHAB              COMM STK   421924101     1616     300652 SH       SOLE            129135          0     171517
HEALTHSOUTH REHAB              CONV BND   421924AF8    16445   21215000 PRN      SOLE          10215000          0   11000000
HEALTH MANAGEMENT ASSOC        COMM STK   421933102     1476     110352 SH       SOLE             20500          0      89852
HEALTHEON CORPORATION          COMM STK   422209106     5668     150645 SH       SOLE            148645          0       2000
HEARTLAND EXPRESS INC          COMM STK   422347104     1983     123927 SH       SOLE             35500          0      88427
HEILIG MEYERS CO               COMM STK   422893107       29      10500 SH       SOLE              6000          0       4500
HEINZ (HJ) COMPANY             COMM STK   423074103   183865    4618262 SH       SOLE           1061992          0    3556270
HELLER FINANCIAL, INC.         COMM STK   423328103    66536    3316454 SH       SOLE            649474          0    2666980
HELMERICH & PAYNE INC          COMM STK   423452101     1872      85800 SH       SOLE             45400          0      40400
HENRY (JACK) & ASSOCIATE       COMM STK   426281101    11435     216900 SH       SOLE             46300          0     170600
HERCULES INC.                  COMM STK   427056106   195618    7017677 SH       SOLE           1161971          0    5855706
HERSHEY FOODS CORPORATION      COMM STK   427866108   155005    3263260 SH       SOLE            782788          0    2480472
HERTZ CORPORATION              COMM STK   428040109    82902    1653900 SH       SOLE            328500          0    1325400
HEWLETT-PACKARD COMPANY        COMM STK   428236103   502401    4409445 SH       SOLE           1240617          0    3168828
HI/FN INC                      COMM STK   428358105    19940     515000 SH       SOLE             81600          0     433400
HIBERNIA CORP CLASS A          COMM STK   428656102      252      23700 SH       SOLE             19400          0       4300
HIGHWOODS PROPERTIES INC       COMM STK   431284108      214       9200 SH       SOLE              7000          0       2200
HILLENBRAND INDUSTRIES INC.    COMM STK   431573104    13109     413700 SH       SOLE             11900          0     401800
HILTON HOTELS CORPORATION      COMM STK   432848109    79628    8273005 SH       SOLE           2084512          0    6188493
HILTON HOTELS CORPORATION      CONV BND   432848AL3    34881   45745000 PRN      SOLE          22245000          0   23500000
HITACHI LTD-ADR                ADR        433578507     5747      35500 SH       SOLE              9800          0      25700
HEFTEL BROADCASTING   CL       COMM STK   43357B104     6211      67350 SH       SOLE             41500          0      25850
HOLLYWOOD CASINO CORP.         COMM STK   436132203      399      92500 SH       SOLE                 0          0      92500
HOME DEPOT INC.                COMM STK   437076102   500966    7306707 SH       SOLE           2230987          0    5075720
ADTL HOME PRODUCTS INTL        COMM STK   437305105     3655     344000 SH       SOLE                 0          0     344000
HOMESTAKE MINING COMPANY       COMM STK   437614100    24838    3179218 SH       SOLE            894572          0    2284646
HOMESTAKE MINING COMPANY       CONV BND   437614AA8    24881   25700000 PRN      SOLE          11680000          0   14020000
HON INDUSTRIES                 COMM STK   438092108     5912     269500 SH       SOLE             48200          0     221300
HONDA MOTOR COMPANY LTD.       ADR        438128308     5317      69500 SH       SOLE             19800          0      49700
HONEYWELL INTERNATIONAL INC.   COMM STK   438516106   219124    3798471 SH       SOLE           1131164          0    2667307
HORACE MANN EDUCATORS          COMM STK   440327104      455      23200 SH       SOLE               800          0      22400
HORMEL FOODS CORPORATION       COMM STK   440452100      260       6400 SH       SOLE              4500          0       1900
HOST MARRIOTT CORP             COMM STK   44107P104      729      88374 SH       SOLE              3100          0      85274
HOUSEHOLD INTERNATIONAL, INC.  COMM STK   441815107    65444    1756885 SH       SOLE            184808          0    1572077
HUB GROUP INC         CL       COMM STK   443320106     8462     417900 SH       SOLE            141600          0     276300
HUBBELL INC CLASS B            COMM STK   443510102      602      21400 SH       SOLE              3400          0      18000
HUBBELL INC CLASS B            COMM STK   443510201   108571    3984254 SH       SOLE            642800          0    3341454
HUMANA INC                     COMM STK   444859102      942     115031 SH       SOLE             51016          0      64015
HUMAN GENOME SCIENCES          COMM STK   444903108    24654     161600 SH       SOLE             40700          0     120900
HUNTINGTON BANCSHARES          COMM STK   446150104    12284     515189 SH       SOLE             79161          0     436028
ICN PHARMACEUTICALS INC        COMM STK   448924100      354      14000 SH       SOLE             11700          0       2300
HYPERION SOLUTIONS CORP        COMM STK   44914M104     7868     180735 SH       SOLE             47975          0     132760
IBP INC                        COMM STK   449223106      182      10100 SH       SOLE              7700          0       2400
ICG COMMUNICATIONS INC         COMM STK   449246107     2439     130300 SH       SOLE             33500          0      96800
IDEC PHARMACEUTICALS           COMM STK   449370105    13163     134100 SH       SOLE             43100          0      91000
IMC GLOBAL INC.                COMM STK   449669100    11636     710600 SH       SOLE            158900          0     551700
IMS HEALTH INC                 COMM STK   449934108    89798    3302921 SH       SOLE            761928          0    2540993
ISS GROUP INC                  COMM STK   450306105    56004     788100 SH       SOLE             45500          0     742600
ITC DELTACOM INC.              COMM STK   45031T104     3982     144300 SH       SOLE             37900          0     106400
ITLA CAPITAL CORPORATION       COMM STK   450565106     2792     223900 SH       SOLE             36000          0     187900
ITT EDUCATIONAL SERVICES       COMM STK   45068B109    11351     735300 SH       SOLE            160500          0     574800
ITT INDUSTRIES INC             COMM STK   450911102     2242      67059 SH       SOLE             29811          0      37248
IDEX CORP                      COMM STK   45167R104     8414     277000 SH       SOLE            185800          0      91200
IDEXX LABS INC                 COMM STK   45168D104      231      14300 SH       SOLE             13800          0        500
IKON OFFICE SOLUTIONS          COMM STK   451713101      899     131977 SH       SOLE             73794          0      58183
ILEX ONCOLOGY INC              COMM STK   451923106     4741     195000 SH       SOLE                 0          0     195000
ILLINOIS TOOL WORKS INC.       COMM STK   452308109    18797     278211 SH       SOLE            132818          0     145393
ILLINOVA CORP.                 COMM STK   452317100     5887     169400 SH       SOLE             70500          0      98900
IMAX CORP.                     COMM STK   45245E109    39788    1451800 SH       SOLE            111400          0    1340400
IMMUNEX CORP NEW               COMM STK   452528102     6875      62800 SH       SOLE             42500          0      20300
IMPERIAL CHEMICAL INDUSTRIES P ADR        452704505   106768    2508500 SH       SOLE            670800          0    1837700
IMMUNOMEDICS INC               COMM STK   452907108     5233     425000 SH       SOLE                 0          0     425000
IMPERIAL TOBACCO GROUP         ADR        453142101      264      16675 SH       SOLE               675          0      16000
INCO LIMITED                   COMM STK   453258402   146189    6220815 SH       SOLE            935998          0    5284817
INCO LIMITED                   COMM STK   453258709      500      65000 SH       SOLE             65000          0          0
INCO LIMITED                   CONV BND   453258AH8     2407    2795000 PRN      SOLE           1295000          0    1500000
INCO LIMITED                   CONV BND   453258AK1    41945   43750000 PRN      SOLE          20750000          0   23000000
INCYTE PHARMACEUTICALS         COMM STK   45337C102    23757     401600 SH       SOLE             57500          0     344100
INFINITY BROADCASTING CORP     COMM STK   45662S102   354180    9787348 SH       SOLE           1190571          0    8596777
INFOCURE CORP         CO       COMM STK   45665A108     3259     104400 SH       SOLE             26500          0      77900
INFORMIX CORP                  COMM STK   456779107      202      17600 SH       SOLE             12300          0       5300
INFOSPACE INC                  COMM STK   45678T102      428       2000 SH       SOLE               600          0       1400
INFOUSA INC                    COMM STK   456818301    20738    1484600 SH       SOLE             45200          0    1439400
ING GROEP, N.V.                ADR        456837103      701      11487 SH       SOLE              3174          0       8313
INGERSOLL-RAND CO.             COMM STK   456866102     6838     124186 SH       SOLE             54307          0      69879
INHALE THERAPEUTIC SYSTEMS     COMM STK   457191104    90680    2128950 SH       SOLE            528600          0    1600350
INKTOMI CORP                   COMM STK   457277101      355       4000 SH       SOLE              1200          0       2800
INSIGHT ENTERPRISES INC        COMM STK   45765U103     2125      52499 SH       SOLE             25224          0      27275
INSITUFORM TECHNOLOGIES        COMM STK   457667103    71268    2539600 SH       SOLE            234800          0    2304800
INNOVASIVE DEVICES INC         COMM STK   45766K104      680      88818 SH       SOLE             88818          0          0
INNKEEPERS USA TRUST           COMM STK   4576J0104     9421    1150600 SH       SOLE            278600          0     872000
INSPIRE INSURANCE SOLUTIONS    COMM STK   457732105     3938     834450 SH       SOLE             59450          0     775000
INTEL CORP.                    COMM STK   458140100   896460   10895068 SH       SOLE           2824547          0    8070521
INTER-TEL INC                  COMM STK   458372109     4692     187900 SH       SOLE             45800          0     142100
INTERMEDIA COMMUNICATIONS, INC COMM STK   458801107    16128     416200 SH       SOLE             60300          0     355900
INTERNAP NETWORK SERVICES      COMM STK   45885A102      398       2300 SH       SOLE               800          0       1500
INTERNATIONAL BUSINESS MACHINE COMM STK   459200101   177922    1647423 SH       SOLE            708367          0     939056
INTL FLAVORS & FRAGRANCE       COMM STK   459506101   232663    6163262 SH       SOLE           1187105          0    4976157
INTERNATIONAL GAME TECHNOLOGY  COMM STK   459902102      420      20700 SH       SOLE              9500          0      11200
INTL MULTIFOODS CORP           COMM STK   460043102    23384    1764800 SH       SOLE            453900          0    1310900
INTERNATIONAL PAPER CO.        COMM STK   460146103   334204    5921672 SH       SOLE           1421730          0    4499942
INTERNATIONAL SHIPHOLDING CORP COMM STK   460321201    10632     914562 SH       SOLE             81300          0     833262
INTERNET CAPITAL GROUP INC     COMM STK   46059C106   212383    2083332 SH       SOLE                 0          0    2083332
INTERPUBLIC GROUP COS          COMM STK   460690100    42409     735151 SH       SOLE            191160          0     543991
INTRAWEST CORPORATION          COMM STK   460915200     5194     300000 SH       SOLE                 0          0     300000
INTERVOICE INC                 COMM STK   461142101     7175     307769 SH       SOLE             88600          0     219169
INTEVAC INC                    COMM STK   461148108     2025     578640 SH       SOLE            578640          0          0
INTERVU INC.                   COMM STK   46114R106      721       6900 SH       SOLE              2300          0       4600
INTIMATE BRANDS INC CL A       COMM STK   461156101     2218      51440 SH       SOLE             14400          0      37040
INTUIT                         COMM STK   461202103   621541   10375220 SH       SOLE           1177020          0    9198200
INVESTMENT TECHNOLOGY GROUP    COMM STK   46145F105     3127     108763 SH       SOLE             69563          0      39200
INVESTORS FINL SERVICES        COMM STK   461915100     7363     160400 SH       SOLE               200          0     160200
IPALCO ENTERPRISES, INC.       COMM STK   462613100      314      18400 SH       SOLE             15200          0       3200
IRIDEX CORPORATION             COMM STK   462684101     3256     366900 SH       SOLE             16900          0     350000
IRON MOUNTAIN INC.             COMM STK   46284P104    35169     894600 SH       SOLE            103400          0     791200
IT GROUP INC.                  COMM STK   465266104    17687    1925100 SH       SOLE            531700          0    1393400
IT GROUP INC.                  CVPFSTKF   465266302     3252     177000 SH       SOLE                 0          0     177000
I2 TECHNOLOGIES INC            COMM STK   465754109      701       3600 SH       SOLE              1300          0       2300
IVAX CORP                      COMM STK   465823102      330      12800 SH       SOLE              9700          0       3100
IVEX PACKAGING CORP.           COMM STK   465855104    18134    1813400 SH       SOLE            478100          0    1335300
JDS UNIPHASE CORP              COMM STK   46612J101    74325     460750 SH       SOLE            141700          0     319050
JLG INDUSTRIES INC             COMM STK   466210101    12342     774400 SH       SOLE             23500          0     750900
JP REALTY INC                  COMM STK   46624A106     8798     563100 SH       SOLE             92800          0     470300
J S B FINANCIAL INC            COMM STK   46624M100      669      12900 SH       SOLE              9900          0       3000
JABIL CIRCUIT INCORPORAT       COMM STK   466313103     2973      40720 SH       SOLE             30700          0      10020
JAKKS PAC INC         CO       COMM STK   47012E106     1975     105700 SH       SOLE             26300          0      79400
JEFFERSON-PILOT CORPORATION    COMM STK   475070108     6764      99105 SH       SOLE             35249          0      63856
JEFFERSON SMURFIT GRP SP       ADR        47508W107      870      30000 SH       SOLE             30000          0          0
FABRI-CENTERS OF AMERICA       COMM STK   47758P208    13488    1340400 SH       SOLE            177400          0    1163000
JOHNS MANVILLE CORP            COMM STK   478129109    13846     989000 SH       SOLE            479600          0     509400
JOHNSON & JOHNSON              COMM STK   478160104   358437    3848992 SH       SOLE           1353096          0    2495896
JOHNSON CONTROLS INC.          COMM STK   478366107     3585      63029 SH       SOLE             28065          0      34964
JONES APPAREL GROUP INC        COMM STK   480074103    82720    3049600 SH       SOLE            604050          0    2445550
JONES LANG LASALLE INC         COMM STK   48020Q107     4296     404300 SH       SOLE             53500          0     350800
JONES PHARMA INC               COMM STK   480236108     7253     166975 SH       SOLE             61525          0     105450
JOSTENS INC                    COMM STK   481088102      573      23571 SH       SOLE             10198          0      13373
JUNIPER NETWORKS INC           COMM STK   48203R104    20447      60200 SH       SOLE             59100          0       1100
JUNO LIGHTING INC              COMM STK   482047206     2482     235018 SH       SOLE                18          0     235000
KLA INSTRUMENTS                COMM STK   482480100   227246    2040940 SH       SOLE            273039          0    1767901
KMART CORPORATION              COMM STK   482584109     3574     355199 SH       SOLE            150043          0     205156
K-TRON INTERNATIONAL INC       COMM STK   482730108     3696     270000 SH       SOLE                 0          0     270000
K V PHARMACEUTICAL CO          COMM STK   482740206     1340      61100 SH       SOLE             18100          0      43000
KANSAS CITY POWER & LIGHT CO.  COMM STK   485134100    14908     675700 SH       SOLE            335000          0     340700
KANSAS CITY SO IND INC         COMM STK   485170104    46741     626350 SH       SOLE             75350          0     551000
KAUFMAN & BROAD HOME COR       COMM STK   486168107      782      32349 SH       SOLE             13792          0      18557
KAYDON CORP                    COMM STK   486587108     2040      76100 SH       SOLE             47500          0      28600
KEANE INC                      COMM STK   486665102    81067    2553300 SH       SOLE            533000          0    2020300
KELLOGG COMPANY                COMM STK   487836108    87429    2837446 SH       SOLE            643647          0    2193799
KEMET CORPORATION              COMM STK   488360108     4493      99700 SH       SOLE             28800          0      70900
KENNAMETAL INC                 COMM STK   489170100    14617     434700 SH       SOLE              7200          0     427500
KERR-MCGEE CORP.               COMM STK   492386107    15731     253725 SH       SOLE             83970          0     169755
ORYX ENERGY CO.                CONV BND   492386AL1     1723    1840000 PRN      SOLE            840000          0    1000000
KEY ENERGY GROUP INC           COMM STK   492914106    37517    7232100 SH       SOLE            716000          0    6516100
KEYCORP                        COMM STK   493267108    51728    2337998 SH       SOLE            472644          0    1865354
KEYNOTE SYSTEMS INC            COMM STK   493308100    14623     201000 SH       SOLE               300          0     200700
KEYSPAN ENERGY                 COMM STK   49337W100      367      15840 SH       SOLE             12000          0       3840
KEYSTONE AUTO INDS INCCO       COMM STK   49338N109     3571     609400 SH       SOLE             89600          0     519800
KILROY RLTY CORP               COMM STK   49427F108     4756     216200 SH       SOLE             50300          0     165900
KIMBERLY-CLARK CORP.           COMM STK   494368103   505410    7745753 SH       SOLE           1731515          0    6014238
KIMCO REALTY CORPORATION       COMM STK   49446R109     1175      34700 SH       SOLE             13600          0      21100
KINDER MORGAN INC              COMM STK   49455P101     4354     215700 SH       SOLE             27450          0     188250
KING PHARMACEUTICALS, INC.     COMM STK   495582108     8529     152300 SH       SOLE             17000          0     135300
KNIGHT-RIDDER INC.             COMM STK   499040103   182031    3059341 SH       SOLE            683126          0    2376215
KOHLS CORP                     COMM STK   500255104    15813     219061 SH       SOLE             81550          0     137511
PHILIPS ELECTRONICS NV W/I     COMM STK   500472204     7679      56880 SH       SOLE             13088          0      43792
KOPIN CORP                     COMM STK   500600101     7353     173000 SH       SOLE             43400          0     129600
KROGER CO.                     COMM STK   501044101   132810    7036270 SH       SOLE           1657192          0    5379078
KRONOS INC                     COMM STK   501052104      785      12850 SH       SOLE             12650          0        200
LG&E ENERGY CORP.              COMM STK   501917108      226      12969 SH       SOLE              8900          0       4069
LSI LOGIC CORP                 COMM STK   502161102     7388     109450 SH       SOLE             46973          0      62477
LSI INDUSTRIES INC             COMM STK   50216C108    21811    1017400 SH       SOLE            137600          0     879800
L-3 COMMUNICATION CORP         COMM STK   502424104     2498      60000 SH       SOLE             16600          0      43400
LAFARGE CORP                   COMM STK   505862102      221       8000 SH       SOLE              6100          0       1900
LAMAR ADVERTISING              COMM STK   512815101    74715    1235600 SH       SOLE            203800          0    1031800
LANCASTER COLONY CORP          COMM STK   513847103     3213      96898 SH       SOLE              8100          0      88798
LANDAUER INC                   COMM STK   51476K103    15958     729500 SH       SOLE             95200          0     634300
LANDS END INC                  COMM STK   515086106     1821      52400 SH       SOLE             46800          0       5600
LANDSTAR SYS INC      CO       COMM STK   515098101    16855     401600 SH       SOLE             93600          0     308000
LASON HOLDINGS INC             COMM STK   51808R107      884      80600 SH       SOLE             40800          0      39800
LATTICE SEMICONDUCTOR          COMM STK   518415104    82856    1750100 SH       SOLE            230100          0    1520000
ESTEE LAUDER COMPANIES         COMM STK   518439104      212       4200 SH       SOLE              1400          0       2800
LAYNE CHRISTENSEN CO           COMM STK   521050104     9887    1387700 SH       SOLE            345200          0    1042500
LEAR CORPORATION               COMM STK   521865105      320      10000 SH       SOLE              7700          0       2300
LEARNING TREE INTERNATIO       COMM STK   522015106    11994     428850 SH       SOLE             49200          0     379650
LEE ENTERPRISES                COMM STK   523768109     1856      58100 SH       SOLE              7600          0      50500
LEGATO SYSTEMS INC             COMM STK   524651106     8515     123800 SH       SOLE             60800          0      63000
LEGGETT & PLATT INC            COMM STK   524660107     4631     216000 SH       SOLE            103150          0     112850
LEGG MASON, INC.               COMM STK   524901105    27197     750264 SH       SOLE             69166          0     681098
LEHMAN BROTHERS HOLDINGS INC.  COMM STK   524908100     7317      86399 SH       SOLE             36233          0      50166
LENNAR CORP                    COMM STK   526057104     2494     153500 SH       SOLE            150500          0       3000
LENNAR CORP                    CONV BND   526057AA2     2597    6750000 PRN      SOLE           6750000          0          0
LEUCADIA NATIONAL              COMM STK   527288104    19922     861500 SH       SOLE            400600          0     460900
LEVEL 3 COMMUNICATIONS, INC.   COMM STK   52729N100      990      12100 SH       SOLE              4000          0       8100
LEXMARK INTERNATIONAL GR       COMM STK   529771107    21992     243000 SH       SOLE             43200          0     199800
LIBERATE TECHNOLOGIES          COMM STK   530129105    75987     296100 SH       SOLE             25200          0     270900
LIFELINE SYSTEMS INC           COMM STK   532192101     6338     425200 SH       SOLE             61800          0     363400
LIHIR GOLD LTD SPONSORED       ADR        532349107      980      70000 SH       SOLE             70000          0          0
LILLY (ELI) AND COMPANY        COMM STK   532457108   191545    2880369 SH       SOLE            893601          0    1986768
LILLY INDUSTRIES INC           COMM STK   532491107      746      55500 SH       SOLE             55500          0          0
LIMITED (THE), INC.            COMM STK   532716107     6665     153886 SH       SOLE             65565          0      88321
LINCARE HLDGS INC              COMM STK   532791100     6860     197600 SH       SOLE             90700          0     106900
LINCOLN ELECTRIC HLDGS         COMM STK   533900106     1450      70300 SH       SOLE             50900          0      19400
LINCOLN NATIONAL CORPORATION   COMM STK   534187109    92982    2324538 SH       SOLE            568836          0    1755702
LINEAR TECHNOLOGY CORP         COMM STK   535678106    53597     748949 SH       SOLE            128566          0     620383
LINENS N THINGS INC            COMM STK   535679104     9319     314550 SH       SOLE             54400          0     260150
LIPOSOME COMPANY INC           COMM STK   536310105     2577     212000 SH       SOLE             27900          0     184100
LIQUI-BOX CORP                 COMM STK   536314107    13676     267500 SH       SOLE             94300          0     173200
LITTELFUSE INC                 COMM STK   537008104    38447    1583400 SH       SOLE            464700          0    1118700
LITTON INDUSTRIES, INC.        COMM STK   538021106      259       5200 SH       SOLE              3800          0       1400
LIZ CLAIBORNE                  COMM STK   539320101     2009      53402 SH       SOLE             17880          0      35522
LO-JACK CORPORATION            COMM STK   539451104     5577     818700 SH       SOLE            158000          0     660700
LOCKHEED MARTIN CORPORATION    COMM STK   539830109   175029    8001346 SH       SOLE           1665371          0    6335975
LOEWS CORPORATION              COMM STK   540424108    80714    1329986 SH       SOLE            576683          0     753303
LOISLAW COM                    COMM STK   541431102    26420     667800 SH       SOLE             93100          0     574700
LONDON PAC GROUP LTD           ADR        542073101    12830     356400 SH       SOLE             41300          0     315100
LONE STAR TECHNOLOGIES         COMM STK   542312103    15409     552800 SH       SOLE            222500          0     330300
LONGS DRUG STORES CORP         COMM STK   543162101      814      31519 SH       SOLE             13520          0      17999
LOUISIANA-PACIFIC CORPORATION  COMM STK   546347105     1099      77124 SH       SOLE             33385          0      43739
LOWE'S COMPANIES INC.          COMM STK   548661107    17034     285081 SH       SOLE            122284          0     162797
LUBRIZOL CORP.                 COMM STK   549271104     1511      48950 SH       SOLE             47250          0       1700
LUCENT TECHNOLOGIES INC.       COMM STK   549463107   572997    7659111 SH       SOLE           2005812          0    5653299
LUNAR CORP                     COMM STK   550362107      574      82000 SH       SOLE             70000          0      12000
LYCOS INC COM                  COMM STK   550818108     2810      35300 SH       SOLE             29300          0       6000
LYDALL INC                     COMM STK   550819106     3348     505300 SH       SOLE              5300          0     500000
LYONDELL CHEMICAL CO.          COMM STK   552078107      186      14600 SH       SOLE              4500          0      10100
M&T BANK CORPORATION           COMM STK   55261F104      249        600 SH       SOLE               100          0        500
MBIA INC.                      COMM STK   55262C100     4650      88053 SH       SOLE             41039          0      47014
MBNA CORPORATION               COMM STK   55262L100    19022     698066 SH       SOLE            273247          0     424819
MCN ENERGY GROUP, INC.         COMM STK   55267J100      354      14896 SH       SOLE             11400          0       3496
MCI WORLDCOM, INC.             COMM STK   55268B106  1040852   19627143 SH       SOLE           3406189          0   16220955
MGC COMMUNICATIONS, INC.       COMM STK   552763302    19477     385200 SH       SOLE            105900          0     279300
MGIC INVT CORP WIS             COMM STK   552848103    64881    1077986 SH       SOLE            232798          0     845188
MGM GRAND INC                  COMM STK   552953101      432       8578 SH       SOLE              6480          0       2098
MMC NETWORKS INC               COMM STK   55308N102     2821      82000 SH       SOLE               300          0      81700
MPW INDUSTRIAL SERVICES GRP    COMM STK   553444100     5769     738400 SH       SOLE            137900          0     600500
MSC INDUSTRIAL DIRECT          COMM STK   553530106    60095    4535500 SH       SOLE            758800          0    3776700
M S CARRIER INC                COMM STK   553533100     2411     101800 SH       SOLE               200          0     101600
MYR GROUP INC                  COMM STK   554053108    10751     366000 SH       SOLE                 0          0     366000
MACDERMID INC                  COMM STK   554273102     5724     139400 SH       SOLE             66400          0      73000
MACK CALI REALTY CORP          COMM STK   554489104      691      26500 SH       SOLE              3000          0      23500
MACROVISION CORPORATION        COMM STK   555904101     3806      51600 SH       SOLE             13100          0      38500
MACROMEDIA INC                 COMM STK   556100105     9089     124300 SH       SOLE             56400          0      67900
MAIL-WELL                      COMM STK   560321200      162      12000 SH       SOLE             10900          0       1100
MALLINCKRODT INC.              COMM STK   561232109     1795      56415 SH       SOLE             24648          0      31767
CIRCUS CIRCUS ENTERPRISES, INC COMM STK   562567107    22150    1100600 SH       SOLE            539200          0     561400
HCR MANOR CARE                 COMM STK   564055101     1227      76714 SH       SOLE             32657          0      44057
MANPOWER INC $.01 PAR          COMM STK   56418H100    72635    1930500 SH       SOLE            423700          0    1506800
MANUFACTURED HOMES             COMM STK   564682102     4677     192390 SH       SOLE              3300          0     189090
MARKEL CORP                    COMM STK   570535104    17748     114500 SH       SOLE             27400          0      87100
MARSH & MCLENNAN COMPANIES, IN COMM STK   571748102   119212    1245843 SH       SOLE            423729          0     822114
MARSHALL & ILSLEY CORP.        COMM STK   571834100     5955      94800 SH       SOLE             31200          0      63600
MARRIOTT INTERNATIONAL, INC.   COMM STK   571903202     5795     183595 SH       SOLE             80010          0     103585
MARTIN INDUSTRIES INC          COMM STK   57326K102      638     400000 SH       SOLE                 0          0     400000
MARTIN MARIETTA MATERIALS      COMM STK   573284106    40086     977700 SH       SOLE                 0          0     977700
MASCO CORPORATION              COMM STK   574599106    96871    3817578 SH       SOLE            902302          0    2915276
MASTECH CORP                   COMM STK   57632N105    16472     664700 SH       SOLE             27700          0     637000
MATERIAL SCIENCES CORP         COMM STK   576674105    19088    1873700 SH       SOLE            426000          0    1447700
MATTEL INC.                    COMM STK   577081102     8684     661640 SH       SOLE            248423          0     413217
MATTHEWS INTL CORP             COMM STK   577128101    37817    1397400 SH       SOLE            419100          0     978300
MAXIM INTEGRATED               COMM STK   57772K101   794526   16848800 SH       SOLE           2609200          0   14239600
MAY DEPARTMENT STORES CO.      COMM STK   577778103    92144    2857176 SH       SOLE            676319          0    2180857
MAVERICK TUBE CORP             COMM STK   577914104     1272      51800 SH       SOLE             21200          0      30600
MAXIMUS INC                    COMM STK   577933104    17905     527600 SH       SOLE            103800          0     423800
MAYTAG CORP.                   COMM STK   578592107     3083      64226 SH       SOLE             27550          0      36676
MCCORMICK & CO. INC.           COMM STK   579780206   153249    5151225 SH       SOLE           1093550          0    4057675
MCDERMOTT INTERNATIONAL INC.   COMM STK   580037109    18121    1999573 SH       SOLE            258212          0    1741361
MCDONALD'S CORP.               COMM STK   580135101   138378    3432633 SH       SOLE           1187352          0    2245281
MCGRATH RENTCORP               COMM STK   580589109    36485    2041100 SH       SOLE            251300          0    1789800
MCGRAW-HILL COMPANIES, INC.    COMM STK   580645109    17339     281364 SH       SOLE            124062          0     157302
MCKESSON HBOC INC              COMM STK   58155Q103     5353     237252 SH       SOLE            118923          0     118329
MCLEODUSA, INC.                COMM STK   582266102    50743     862800 SH       SOLE            212800          0     650000
MEAD CORPORATION               COMM STK   582834107     4629     106574 SH       SOLE             34657          0      71917
MEDALLION FINANCIAL CORP       COMM STK   583928106     4833     268500 SH       SOLE             89600          0     178900
MEDCO RESEARCH INC             COMM STK   584059109     4284     142500 SH       SOLE             37400          0     105100
MEDIAONE GROUP, INC.           COMM STK   58440J104   201899    2628466 SH       SOLE            418524          0    2209942
MEDIA METRIX INC               COMM STK   58440X103      995      27726 SH       SOLE             15202          0      12524
MEDICAL ASSURANCE INC          COMM STK   58449U100    35750    1687293 SH       SOLE            338789          0    1348504
MEDICAL MANAGER CORPORATION    COMM STK   58461U103    10772     127999 SH       SOLE             14312          0     113687
MEDIMMUNE INC                  COMM STK   584699102   167243    1008630 SH       SOLE            203630          0     805000
MEDQUIST INC                   COMM STK   584949101     4584     178228 SH       SOLE             86228          0      92000
MEDITRUST CORPORATION          COMM STK   58501T306       84      15332 SH       SOLE             10510          0       4822
MEDTRONIC INC                  COMM STK   585055106    92732    2544964 SH       SOLE            801356          0    1743608
MELLON BANK CORPORATION        COMM STK   58551A108   476178   13979523 SH       SOLE           3225990          0   10753533
MEMBERWORKS INC                COMM STK   586002107    12507     377200 SH       SOLE            140200          0     237000
MENS WEARHOUSE INC             COMM STK   587118100     6030     204825 SH       SOLE             92925          0     111900
MENTOR CORP-MINN               COMM STK   587188103    65560    2527600 SH       SOLE            385400          0    2142200
MERCANTILE BANKSHARES CORPORAT COMM STK   587405101    98293    3074650 SH       SOLE            584400          0    2490250
MERCK & CO. INC.               COMM STK   589331107   493724    7362147 SH       SOLE           2160269          0    5201878
MERCURY COMPUTER SYSTEMS INC   COMM STK   589378108     4395     126700 SH       SOLE             32000          0      94700
MERCURY GENERAL CORP NEW       COMM STK   589400100     2287     102800 SH       SOLE              1000          0     101800
MERCURY INTERACTIVE CPCO       COMM STK   589405109     9971      92350 SH       SOLE             43650          0      48700
MEREDITH CORP                  COMM STK   589433101    29880     716769 SH       SOLE            302883          0     413886
MERRILL LYNCH & CO., INC.      COMM STK   590188108    23682     283611 SH       SOLE            130309          0     153302
MESA AIR GROUP INC             COMM STK   590479101       92      18700 SH       SOLE               300          0      18400
MESABA HOLDINGS INC            COMM STK   59066B102     2340     200750 SH       SOLE             52200          0     148550
META GROUP INC                 COMM STK   591002100    27745    1450700 SH       SOLE            188650          0    1262050
METAMOR WORLDWIDE INC          COMM STK   59133P100    34643    1186900 SH       SOLE             71700          0    1115200
METHODE ELECTRONICS CL A       COMM STK   591520200    66616    2077700 SH       SOLE            529300          0    1548400
METRIS COS INC                 COMM STK   591598107     3091      86600 SH       SOLE             35400          0      51200
METRO GOLDWYN MAYER            COMM STK   591610100      214       9100 SH       SOLE              2600          0       6500
METROMEDIA FIBER NETWORK, INC. COMM STK   591689104     2250      46970 SH       SOLE             42600          0       4370
METROMEDIA INTL GROUP          COMM STK   591695101     5577    1174027 SH       SOLE            174027          0    1000000
METTLER-TOLEDO INTL            COMM STK   592688105     9547     250000 SH       SOLE                 0          0     250000
MICREL SEMICONDUCTOR           COMM STK   594793101    47458     832600 SH       SOLE             71200          0     761400
MICROS SYSTEMS INC             COMM STK   594901100      252       3400 SH       SOLE              3200          0        200
MICROSOFT CORP                 COMM STK   594918104  1867243   15997794 SH       SOLE           4019010          0   11978784
MICROSTRATEGY INC              COMM STK   594972101      651       3100 SH       SOLE              1200          0       1900
MICRO THERAPEUTICS INC         COMM STK   59500W100      115      15000 SH       SOLE             15000          0          0
MICROCHIP TECHNOLGY INC        COMM STK   595017104     8747     127525 SH       SOLE             54925          0      72600
MICROCIDE PHARMACEUTICAL       COMM STK   595018102      246      27761 SH       SOLE             27761          0          0
MICROWAREHOUSE INC             COMM STK   59501B105      196      10600 SH       SOLE              4300          0       6300
MICROCELL TELECOMMUNICATIONS,  COMM STK   59501T304    24656     750000 SH       SOLE                 0          0     750000
MICROMUSE INC                  COMM STK   595094103     4610      27100 SH       SOLE             10700          0      16400
MICRON TECHNOLOGY              COMM STK   595112103    15106     194284 SH       SOLE             81902          0     112382
MIDAMERICAN ENERGY HOLDINGS CO COMM STK   59562V107      977      29000 SH       SOLE             26600          0       2400
MILACRON INC.                  COMM STK   598709103      513      33387 SH       SOLE             12190          0      21197
MILLENIUM PHARMACEUTICALS INC  COMM STK   599902103    23828     195460 SH       SOLE             80375          0     115085
MILLENNIUM CHEMICALS INC.      COMM STK   599903101     1831      92700 SH       SOLE             86800          0       5900
MILLER (HERMAN) INC            COMM STK   600544100      351      15300 SH       SOLE             14100          0       1200
MILLIPORE CORP                 COMM STK   601073109    66643    1725393 SH       SOLE            366066          0    1359327
MINE SAFETY APPLIANCES         COMM STK   602720104      921      12100 SH       SOLE               100          0      12000
MINIMED INC                    COMM STK   60365K108      308       4200 SH       SOLE              3300          0        900
MINNESOTA MINING & MANUFACTURI COMM STK   604059105   263790    2695171 SH       SOLE            649833          0    2045338
MINNTECH CORP                  COMM STK   604258103     6623     675000 SH       SOLE                 0          0     675000
MIPS TECHNOLOGIES INC          COMM STK   604567107    29381     564000 SH       SOLE             63400          0     500600
MIRAGE RESORTS, INC.           COMM STK   60462E104    31292    2043558 SH       SOLE            468366          0    1575192
MISSION CRITICAL SOFTWARE      COMM STK   605047109    17992     256800 SH       SOLE              6200          0     250600
MITCHELL ENERGY & DEVELOPMENT  COMM STK   606592301    39267    1821100 SH       SOLE            719100          0    1102000
MOBIUS MANAGEMENT SYSTEMS      COMM STK   606925105      691      87000 SH       SOLE             75000          0      12000
MODINE MFG CO                  COMM STK   607828100     4683     187100 SH       SOLE            135400          0      51700
MODIS PROFESSIONAL SERVICES IN COMM STK   607830106    41520    2913700 SH       SOLE             82100          0    2831600
MOHAWK INDS INC CO             COMM STK   608190104     5358     203150 SH       SOLE             60800          0     142350
MOLECULAR DEVICES CORPOR       COMM STK   60851C107     5713     109600 SH       SOLE              7500          0     102100
MOLEX INC CLASS A NON-         COMM STK   608554101    19378     342022 SH       SOLE             78206          0     263816
MONARCH DENTAL CORP            COMM STK   609044102      168      64679 SH       SOLE             64679          0          0
MONSANTO COMPANY               COMM STK   611662107    20464     574430 SH       SOLE            219023          0     355407
JP MORGAN & CO. INC.           COMM STK   616880100   199440    1575046 SH       SOLE            386943          0    1188103
MORGAN STANLEY DEAN WITTER & C COMM STK   617446448   282770    1980876 SH       SOLE            426095          0    1554781
MOTOROLA INC.                  COMM STK   620076109   148938    1011464 SH       SOLE            353197          0     658267
MPATH INTERACTIVE INC          COMM STK   62473C101     2819     105622 SH       SOLE            105322          0        300
MURPHY OIL CORP                COMM STK   626717102    64537    1124830 SH       SOLE            406100          0     718730
MUTUAL RISK MANAGEMENT LTD.    COMM STK   628351108    35371    2103826 SH       SOLE            310962          0    1792864
MYERS INDUSTRIES INC           COMM STK   628464109     6576     417498 SH       SOLE            164230          0     253268
MYLAN LABS INC                 COMM STK   628530107    54584    2167100 SH       SOLE             13400          0    2153700
NABI, INC.                     COMM STK   628716102      788     171608 SH       SOLE            -49031          0      49031
NCI BUILDING SYSINC            COMM STK   628852105     1134      61300 SH       SOLE             15700          0      45600
NCO GROUP INC                  COMM STK   628858102     4411     147800 SH       SOLE             35000          0     112800
NCR CORP                       COMM STK   62886E108     8121     214426 SH       SOLE              4818          0     209608
NDS GROUP PLC SPONS ADR        ADR        628891103     3209     105000 SH       SOLE                 0          0     105000
NN BALL & ROLLER INC           COMM STK   629305103     3298     479700 SH       SOLE            106400          0     373300
NPS PHARMACEUTICALS INC        COMM STK   62936P103    29990    2393200 SH       SOLE            235400          0    2157800
NTL INCORPORATED               COMM STK   629407107    66192     531130 SH       SOLE             45250          0     485880
NYMAGIC INC                    COMM STK   629484106     5944     450700 SH       SOLE               100          0     450600
RJR NABISCO HOLDINGS CORPORATI COMM STK   62952P102     3191     300350 SH       SOLE            165200          0     135150
NABORS INDUSTRIES INC          COMM STK   629568106      351      11340 SH       SOLE              7610          0       3730
NACCO INDUSTRIES INC           COMM STK   629579103      370       6665 SH       SOLE              2591          0       4074
NATIONAL CITY CORPORATION      COMM STK   635405103   101065    4266576 SH       SOLE            932986          0    3333590
NATIONAL COMPUTER SYSTEM       COMM STK   635519101     5228     139190 SH       SOLE             60900          0      78290
NATIONAL DATA CORP             COMM STK   635621105   121291    3573950 SH       SOLE            637750          0    2936200
NATIONAL HEALTH REALTY INC     COMM STK   635905102     4971     602500 SH       SOLE             32500          0     570000
NATIONAL FUEL GAS CO.          COMM STK   636180101      553      11900 SH       SOLE             10300          0       1600
NATIONAL HLTH INVESTORS        COMM STK   63633D104     1157      77800 SH       SOLE             28300          0      49500
NATIONAL OILWELL INC           COMM STK   637071101    12172     775900 SH       SOLE             77500          0     698400
NATIONAL SEMICONDUCTOR CORP.   COMM STK   637640103     7312     170792 SH       SOLE             92281          0      78511
NATIONAL SERVICE INDS IN       COMM STK   637657107      903      30600 SH       SOLE             14586          0      16014
NATIONWIDE FINANCIAL SERVICES  COMM STK   638612101     1556      55700 SH       SOLE             13900          0      41800
NATROL INC                     COMM STK   638789107     7156    1000000 SH       SOLE                 0          0    1000000
NATURAL WONDERS INC            COMM STK   639014109       15      11344 SH       SOLE                 0          0      11344
NAUTICA ENTERPRISES INC        COMM STK   639089101    24218    2134900 SH       SOLE            299100          0    1835800
NAVISTAR INTL CORP NEW         COMM STK   63934E108     2206      46561 SH       SOLE             19647          0      26914
NAVIGANT CONSULTING CO         COMM STK   63935N107      536      49300 SH       SOLE             14500          0      34800
NEIMAN MARCUS GROUP INC        COMM STK   640204202    21089     754875 SH       SOLE            214375          0     540500
NEIMAN MARCUS GROUP INC        COMM STK   640204301      669      24825 SH       SOLE              1174          0      23651
NETWORK EVENT THEATER CO       COMM STK   640924106      632      21300 SH       SOLE              6200          0      15100
NETWORKS ASSOCIATES INC.       COMM STK   640938106     4977     186699 SH       SOLE            105649          0      81050
NETWORKS ASSOCIATES INC.       CONV BND   640938AB2    40652  105000000 PRN      SOLE                 0          0  105000000
NETOPIA INC                    COMM STK   64114K104     2877      52700 SH       SOLE             13200          0      39500
NETSOLVE INC                   COMM STK   64115J106    10095     321100 SH       SOLE             14200          0     306900
NETIQ CORP                     COMM STK   64115P102    14619     276800 SH       SOLE             66100          0     210700
FAXSAV INC                     COMM STK   64116A104      196      28069 SH       SOLE             28069          0          0
NETWORK APPLIANCE INC          COMM STK   64120L104    15494     186600 SH       SOLE            118700          0      67900
NETWORK SOLUTIONS INC          COMM STK   64121Q102      283       1300 SH       SOLE               400          0        900
NEUROCRINE BIOSCIENCES         COMM STK   64125C109    41562    1687800 SH       SOLE             69900          0    1617900
NEW CENTURY ENERGIES, INC.     COMM STK   64352U103     2818      92764 SH       SOLE             44365          0      48399
NEW ENGLAND BUSINESS SVC       COMM STK   643872104    32404    1326000 SH       SOLE            213000          0    1113000
NEW ENGLAND ELECTRIC SYSTEM    COMM STK   644001109     5040      97400 SH       SOLE             32700          0      64700
NEW PLAN EXCEL REALTY TRUST IN COMM STK   648053106      642      40600 SH       SOLE             38300          0       2300
NEW YORK TIMES COMPANY         COMM STK   650111107    46026     936926 SH       SOLE            459278          0     477648
NEWELL RUBBERMAID, INC.        COMM STK   651229106    35707    1231264 SH       SOLE            207979          0    1023285
NEWFIELD EXPLORATION COM       COMM STK   651290108     7431     277800 SH       SOLE            176500          0     101300
NEWMONT MINING CO              COMM STK   651639106   246225   10049999 SH       SOLE           2071185          0    7978814
NEWPARK RESOURCES INC.         COMM STK   651718504     5652     922700 SH       SOLE            449900          0     472800
NEWS CORPORATION LTD.          ADR        652487703    10519     275000 SH       SOLE                 0          0     275000
NEWS CORPORATION LTD.          ADR        652487802     7727     231100 SH       SOLE             41100          0     190000
NEXTCARD INC                   COMM STK   65332K107    25305     878280 SH       SOLE             76780          0     801500
NEXTEL COMMUNICATIONS          COMM STK   65332V103   103569    1004606 SH       SOLE            127632          0     876974
NEXTLINK COMMUNICATIONS, INC   COMM STK   65333H707    92447    1113400 SH       SOLE            144500          0     968900
NEXT LEVEL COMMUNICATION INC   COMM STK   65333U104     2129      28400 SH       SOLE              5300          0      23100
NIAGARA MOWHAWK HLDNGS         COMM STK   653520106   135682    9734999 SH       SOLE           3161166          0    6573833
NICOR INC.                     COMM STK   654086107     2362      72676 SH       SOLE             52721          0      19955
NIKE INC.                      COMM STK   654106103   125793    2538078 SH       SOLE            470160          0    2067918
NISOURCE INC.                  COMM STK   65473P105      202      11300 SH       SOLE              8000          0       3300
NOBLE AFFILIATES, INC.         COMM STK   654894104     9933     463350 SH       SOLE             33700          0     429650
NOKIA                          ADR        654902204   711522    3744850 SH       SOLE            482450          0    3262400
NOBLE DRILLING CORP            COMM STK   655042109      488      14900 SH       SOLE             11900          0       3000
NORDSTROM, INC.                COMM STK   655664100    16470     628940 SH       SOLE            126306          0     502634
NORFOLK SOUTHERN CORPORATION   COMM STK   655844108   205010   10000470 SH       SOLE           1848694          0    8151776
NORSK HYDRO NKR20              ADR        656531605     9704     227000 SH       SOLE             27000          0     200000
NORTEL NETWORKS CORP           COMM STK   656569100   467985    4633512 SH       SOLE            779694          0    3853818
NO EUROPEAN OIL RTY TR         COMM STK   659310106      148      10000 SH       SOLE                 0          0      10000
NORTH FORK BANCORP             COMM STK   659424105    51993    2971050 SH       SOLE            643500          0    2327550
NORTHEAST OPTIC NETWORK INC    COMM STK   664334109      607       9700 SH       SOLE              3100          0       6600
NORTHERN STATES POWER (MINN)   COMM STK   665772109     2134     109455 SH       SOLE             46856          0      62599
NORTHERN TRUST CORPORATION     COMM STK   665859104    23537     440722 SH       SOLE            256848          0     183874
NORTHFIELD LABS INC            COMM STK   666135108     3322     304600 SH       SOLE             71100          0     233500
NORTHROP GRUMMAN CORP.         COMM STK   666807102     4878      90236 SH       SOLE             29923          0      60313
NOVA CORP                      COMM STK   669784100   231854    7345854 SH       SOLE           1205095          0    6140759
NOVELL INC                     COMM STK   670006105   655016   16413878 SH       SOLE           1783132          0   14630746
NOVELLUS SYSTEMS INC           COMM STK   670008101     9288      75800 SH       SOLE             26400          0      49400
NOVEN PHARMACEUTICALS IN       COMM STK   670009109    11476     631000 SH       SOLE                 0          0     631000
O'CHARLEY'S INC                COMM STK   670823103    14232    1094800 SH       SOLE            164100          0     930700
OEA INC                        COMM STK   670826106     6357    1304100 SH       SOLE            335700          0     968400
OBIE MEDIA CORP                COMM STK   674391107     3430     293450 SH       SOLE             49500          0     243950
OCCIDENTAL PETROLEUM CORP.     COMM STK   674599105    22578    1044085 SH       SOLE            198090          0     845995
OCEAN ENERGY INC TEX           COMM STK   67481E106    45553    5877752 SH       SOLE           1036852          0    4840900
OCEANEERING INTL INC           COMM STK   675232102     2058     137800 SH       SOLE             34600          0     103200
OCTEL CORP                     COMM STK   675727101    18569    1789825 SH       SOLE            918325          0     871500
OCULAR SCIENCES INC            COMM STK   675744106    11110     588600 SH       SOLE            117900          0     470700
OFFICE DEPOT INC.              COMM STK   676220106    34446    3149350 SH       SOLE            109150          0    3040200
OFFICIAL PAYMENTS CORP         COMM STK   676235104    13117     250300 SH       SOLE             77600          0     172700
OFFSHORE LOGISITICS, INC.      CONV BND   676255AD4     1631    2000000 PRN      SOLE                 0          0    2000000
OGDEN CORP                     COMM STK   676346109      131      11000 SH       SOLE             10300          0        700
OGDEN CORP                     CONV BND   676346AD1      767     900000 PRN      SOLE            400000          0     500000
OHIO CAS CORP                  COMM STK   677240103      578      35900 SH       SOLE             35400          0        500
OIL DRI CORP OF AMERICA        COMM STK   677864100     8021     558000 SH       SOLE             40000          0     518000
OLD KENT FINANCIAL CORPORATION COMM STK   679833103     3043      86025 SH       SOLE             36655          0      49370
OLD REP INTL CORP              COMM STK   680223104      240      17650 SH       SOLE             14400          0       3250
OLIN CORP.                     COMM STK   680665205     7138     360300 SH       SOLE             77700          0     282600
OLSTEN CORP                    COMM STK   681385100      263      23254 SH       SOLE             11036          0      12218
OMNICARE INC.                  COMM STK   681904108   131986   10998800 SH       SOLE           1749000          0    9249800
OMNICARE INC.                  CONV BND   681904AD0     4895    7250000 PRN      SOLE            350000          0    6900000
OMNICOM GROUP                  COMM STK   681919106   230163    2301631 SH       SOLE            571014          0    1730617
OMNI POINT                     COMM STK   68212D102   150378    1248600 SH       SOLE             46300          0    1202300
ONDISPLAY INC                  COMM STK   68232L100     1428      15800 SH       SOLE                 0          0      15800
ONE VALLEY BANCORP INC         COMM STK   682419106     3401     111062 SH       SOLE               500          0     110562
1 800 FLOWERS COM INC          COMM STK   68243Q106     8639     808300 SH       SOLE            178900          0     629400
ONEOK INC.                     COMM STK   682680103      554      22058 SH       SOLE             10083          0      11975
ONYX ACCEPTANCE CORP COM       COMM STK   682914106      143      22357 SH       SOLE             22357          0          0
OPTA FOOD INGREDIENTS IN       COMM STK   68381N105      128      41074 SH       SOLE             41074          0          0
OPTICAL COATING LABORATORY     COMM STK   683829105    59097     200500 SH       SOLE               200          0     200300
ORACLE CORP.                   COMM STK   68389X105  1190360   10625251 SH       SOLE           1876445          0    8748806
ORBITAL SCIENCES CORP          COMM STK   685564106     1969     106100 SH       SOLE             27500          0      78600
O REILLY AUTOMOTIVE INC        COMM STK   686091109   102625    4711600 SH       SOLE            752000          0    3959600
ORTHODONTIC CENTERS OF         COMM STK   68750P103    47047    3941100 SH       SOLE            498700          0    3442400
OTTER TAIL POWER CO            COMM STK   689648103     9414     250200 SH       SOLE               200          0     250000
OUTBACK STEAKHOUSE INC         COMM STK   689899102   141712    5450450 SH       SOLE            556300          0    4894150
OVERSEAS SHIPHOLDING GROUP, IN COMM STK   690368105    19438    1312300 SH       SOLE            559500          0     752800
OWENS & MINOR                  COMM STK   690732102     9315    1042250 SH       SOLE            429150          0     613100
OWENS CORNING                  COMM STK   69073F103     7010     362962 SH       SOLE             90892          0     272070
OWENS-ILLINOIS INC.            COMM STK   690768403     4866     194167 SH       SOLE             52026          0     142141
PCD INC                        COMM STK   69318P106     2773     414700 SH       SOLE             41000          0     373700
P-COM INC                      COMM STK   693262107      109      12400 SH       SOLE              6200          0       6200
PECO ENERGY COMPANY            COMM STK   693304107    11488     330594 SH       SOLE            148306          0     182288
PG&E CORPORATION               COMM STK   69331C108     7544     368009 SH       SOLE            141545          0     226464
PERKIN-ELMER                   COMM STK   69332S102    20268     168464 SH       SOLE             67422          0     101042
PE CORP                        COMM STK   69332S201     7830      52550 SH       SOLE             44050          0       8500
P F CHANGS CHINA BISTRO INC    COMM STK   69333Y108    14486     576540 SH       SOLE             21040          0     555500
PLX TECHNOLOGY INC             COMM STK   693417107      635      33500 SH       SOLE             33000          0        500
PMC SIERRA INC                 COMM STK   69344F106    76919     479900 SH       SOLE            118100          0     361800
PMI GROUP INC                  COMM STK   69344M101     3327      68150 SH       SOLE             26850          0      41300
PNC BANK CORP.                 COMM STK   693475105    14827     333198 SH       SOLE            191044          0     142154
PP&L RESOURCES, INC.           COMM STK   693499105     2539     111014 SH       SOLE             45605          0      65409
PPG INDUSTRIES INC.            COMM STK   693506107   121365    1939897 SH       SOLE            401333          0    1538564
PRI AUTOMATION INC             COMM STK   69357H106      241       3600 SH       SOLE              3100          0        500
PSS WORLD MEDICAL INC          COMM STK   69366A100     1816     191175 SH       SOLE             52600          0     138575
PACCAR INC.                    COMM STK   693718108     2486      56151 SH       SOLE             23545          0      32606
PACIFIC GULF PROPERTIES INC.   COMM STK   694396102    18104     894000 SH       SOLE            201500          0     692500
PACIFIC SUNWEAR CALIF INC      COMM STK   694873100    48649    1527750 SH       SOLE             43875          0    1483875
PACIFICARE HEALTH SYS          COMM STK   695112102      255       4800 SH       SOLE              3300          0       1500
PACKAGED ICE INC               COMM STK   695148106     3518    1077400 SH       SOLE            452400          0     625000
PACTIV CORPORATION             COMM STK   695257105     1314     123677 SH       SOLE             54596          0      69081
PAINE WEBBER GROUP INC.        COMM STK   695629105     4219     108700 SH       SOLE             47800          0      60900
PALL CORP                      COMM STK   696429307   201603    9349715 SH       SOLE           1528275          0    7821440
PANAMSAT CORP                  COMM STK   697933109   101400    1712300 SH       SOLE            175000          0    1537300
AMX CORP                       COMM STK   698493103      248      15000 SH       SOLE             15000          0          0
PAPA JOHN'S INTL INC           COMM STK   698813102    26047     998200 SH       SOLE            149100          0     849100
PARAMETRIC TECHNOLOGY          COMM STK   699173100   793000   29336414 SH       SOLE           3169622          0   26166792
PARK PLACE ENTERTAINMENT       COMM STK   700690100      274      21900 SH       SOLE             11000          0      10900
PARKER-HANNIFIN CORP.          COMM STK   701094104     7922     154394 SH       SOLE             71793          0      82601
PARKWAY PPTYS INC              COMM STK   70159Q104    29003    1006600 SH       SOLE            254200          0     752400
PATHOGENESIS CORP              COMM STK   70321E104     5219     244500 SH       SOLE              4800          0     239700
PATTERSON DENTAL CO            COMM STK   703412106     3126      73450 SH       SOLE             18050          0      55400
PAULA FINANCIAL                COMM STK   703588103      222      36259 SH       SOLE             35459          0        800
PAYCHEX INC                    COMM STK   704326107    61600    1541194 SH       SOLE            198040          0    1343154
PAYLESS SHOESOURCE INC         COMM STK   704379106      585      12440 SH       SOLE              3216          0       9224
PEERLESS SYSTEMS CP            COMM STK   705536100     7273     919900 SH       SOLE            101800          0     818100
PEGASUS COMMUNICATIONS         COMM STK   705904100   130326    1345300 SH       SOLE            234300          0    1111000
PEGASUS SYSTEMS INC            COMM STK   705906105     4853      80500 SH       SOLE             21800          0      58700
PENN VIRGINIA CORPORATION      COMM STK   707882106    17824    1064100 SH       SOLE            170000          0     894100
PENNEY (J.C.) CO., INC.        COMM STK   708160106    76730    3848519 SH       SOLE            782491          0    3066028
PENNZOIL QUAKER STATE CO       COMM STK   709323109      393      38600 SH       SOLE              3000          0      35600
PENTAIR INC                    COMM STK   709631105    75872    1970700 SH       SOLE            394900          0    1575800
PEOPLES ENERGY CORP.           COMM STK   711030106      847      25270 SH       SOLE             10347          0      14923
PEOPLES HERITAGE FINANCIAL GRO COMM STK   711147108     1842     122525 SH       SOLE             38825          0      83700
PEOPLE SOFT INC                COMM STK   712713106     5924     278387 SH       SOLE             99860          0     178527
PEP BOYS (THE)                 COMM STK   713278109      411      45066 SH       SOLE             16143          0      28923
PEPSI BOTTLING GROUP INC.      COMM STK   713409100      194      11700 SH       SOLE              7400          0       4300
PEPSICO INC.                   COMM STK   713448108   236082    6697368 SH       SOLE           1788847          0    4908521
PERCEPTRON INC                 COMM STK   71361F100     2627     651600 SH       SOLE                 0          0     651600
PEREGRINE SYSTEMS INC.         COMM STK   71366Q101    49691     590900 SH       SOLE            137600          0     453300
PERFORMANCE FOOD GROUP         COMM STK   713755106     5847     240500 SH       SOLE             49000          0     191500
PERKINELMER INC                COMM STK   714046109     6678     160198 SH       SOLE             51006          0     109192
PERRIGO COMPANY                COMM STK   714290103      234      30500 SH       SOLE             30500          0          0
PETCO ANIMAL SUPPLIES          COMM STK   716016100      522      35098 SH       SOLE             35098          0          0
PHARMACIA & UPJOHN, INC.       COMM STK   716941109   276766    6150355 SH       SOLE           1319160          0    4831195
PFIZER, INC.                   COMM STK   717081103   440434   13577942 SH       SOLE           3559191          0   10018751
PHELPS DODGE CORPORATION       COMM STK   717265102   135386    2016917 SH       SOLE            424279          0    1592638
PHILIP MORRIS COMPANIES, INC.  COMM STK   718154107   294813   12714294 SH       SOLE           3281095          0    9433199
PHILLIPS PETROLEUM COMPANY     COMM STK   718507106    78055    1660742 SH       SOLE            353802          0    1306940
PHOENIX TECHNOLOGY LTD         COMM STK   719153108     2652     168400 SH       SOLE             39200          0     129200
PHONE COM INC                  COMM STK   71920Q100      616       5300 SH       SOLE              3800          0       1500
PHYCOR INC.                    CONV BND   71940FAB6     6064   11550000 PRN      SOLE           5650000          0    5900000
PINNACLE HLDGS INC             COMM STK   72346N101    91489    2140100 SH       SOLE            376600          0    1763500
PINNACLE SYSTEMS               COMM STK   723481107     5091     125600 SH       SOLE             31700          0      93900
PINNACLE WEST CAPITAL CORP.    COMM STK   723484101     4869     159300 SH       SOLE             55300          0     104000
PIONEER STANDARD ELECTRO       COMM STK   723877106     1625     181800 SH       SOLE            151800          0      30000
PITNEY BOWES INC.              COMM STK   724479100    19557     404801 SH       SOLE            145216          0     259585
PITT-DES MOINES INC            COMM STK   724508106     7018     285000 SH       SOLE             10000          0     275000
PJ AMERICA                     COMM STK   72585Q104     8967     567100 SH       SOLE             89500          0     477600
PLACER DOME INC                COMM STK   725906101    13883    1291413 SH       SOLE            104024          0    1187389
PLANAR SYSTEMS INC             COMM STK   726900103     4949     754100 SH       SOLE             98000          0     656100
PLANTRONICS INC NEW            COMM STK   727493108     1052      14700 SH       SOLE             12700          0       2000
PLEXUS CORP                    COMM STK   729132100     4828     109100 SH       SOLE             26200          0      82900
PLUM CREEK TIMBER CO INC       COMM STK   729251108     4875     195000 SH       SOLE                 0          0     195000
POGO PRODUCING                 COMM STK   730448107     4129     201400 SH       SOLE               500          0     200900
POLAROID                       COMM STK   731095105     8443     448771 SH       SOLE            219852          0     228919
POLYCOM INC                    COMM STK   73172K104     6691     104800 SH       SOLE             29200          0      75600
PORTAL SOFTWARE                COMM STK   736126103     8770      85400 SH       SOLE             83400          0       2000
POST PROPERTIES INC REIT       COMM STK   737464107     1480      38700 SH       SOLE             24700          0      14000
POTLATCH CORP.                 COMM STK   737628107     8368     187516 SH       SOLE              9769          0     177747
POTOMAC ELECTRIC POWER CO.     COMM STK   737679100     1618      70548 SH       SOLE             12900          0      57648
POTOMAC ELECTRIC POWER CO.     CONV BND   737679BT6     8578    9150000 PRN      SOLE           4150000          0    5000000
POWER INTEGRATIONS INC         COMM STK   739276103     3356      70700 SH       SOLE             17800          0      52900
POWERWAVE TECHNOLOGIES INC     COMM STK   739363109     3314      56800 SH       SOLE             14300          0      42500
POWERTEL INC                   COMM STK   73936C109     2364      23600 SH       SOLE             22900          0        700
PRAXAIR, INC.                  COMM STK   74005P104     5872     116715 SH       SOLE             48468          0      68247
PREPAID LEGAL SERVICES I       COMM STK   740065107    14110     587900 SH       SOLE             23600          0     564300
PREDICTIVE SYSTEMS INC         COMM STK   74036W102     4406      66700 SH       SOLE                 0          0      66700
PREMIER PARK                   COMM STK   740540208   112214    3886200 SH       SOLE            586800          0    3299400
PRESIDENTIAL LIFE              COMM STK   740884101    23548    1283700 SH       SOLE            134500          0    1149200
PREVIEW TRAVEL INC             COMM STK   74137R101      799      15200 SH       SOLE              4900          0      10300
PRICE COMMUNICATIONS INC       COMM STK   741437305      837      30096 SH       SOLE             10200          0      19896
T. ROWE PRICE ASSOCIATES       COMM STK   741477103     2917      79100 SH       SOLE             30700          0      48400
PRICELINE COM INC              COMM STK   741503106      256       5400 SH       SOLE              1800          0       3600
PRIME RETAIL INC.              CVPFSTKF   741570303     3426     290000 SH       SOLE             10000          0     280000
PRIMESOURCE CORP               COMM STK   741593107     1958     388000 SH       SOLE             85200          0     302800
PRIORITY HEALTHCARE CORP       COMM STK   74264T102     3175     109598 SH       SOLE             25551          0      84047
PROBUSINESS SERVICES INC.      COMM STK   742674104     4014     111700 SH       SOLE               300          0     111400
PROCTER & GAMBLE CO.           COMM STK   742718109   263816    2407907 SH       SOLE            770555          0    1637352
PROFESSIONAL STAFF             ADR        74315R105     4843     856300 SH       SOLE             47300          0     809000
PROFIT RECOVERY GROUP INTL     COMM STK   743168106      937      35300 SH       SOLE              8550          0      26750
PROGENICS PHARMACEUTICALS      COMM STK   743187106     3680      75300 SH       SOLE               300          0      75000
PROGRESS SOFTWARE CORP         COMM STK   743312100    56070     990200 SH       SOLE            310300          0     679900
PROGRESSIVE CORPORATION        COMM STK   743315103     4436      60657 SH       SOLE             24450          0      36207
PROLOGIS TR                    COMM STK   743410102    33259    1727743 SH       SOLE            152058          0    1575685
PROLOGIS TR                    CVPFSTKF   743410300     5965     241000 SH       SOLE              4000          0     237000
PROTECTION ONE INC             COMM STK   743663304      504     260100 SH       SOLE             10100          0     250000
PROTECTIVE LIFE CORPORATION    COMM STK   743674103    60329    1896400 SH       SOLE            405800          0    1490600
PROTEIN DESIGN LABS INC        COMM STK   74369L103     1927      27500 SH       SOLE             27300          0        200
PROVINCE HEALTHCARE CO         COMM STK   743977100     6036     317702 SH       SOLE            317702          0          0
PROVIDIAN CORP                 COMM STK   74406A102    24834     272711 SH       SOLE             60155          0     212556
PROXIM INC                     COMM STK   744284100    11590     104000 SH       SOLE             26200          0      77800
PSINET INC                     COMM STK   74437C101   305967    4947412 SH       SOLE            577312          0    4370100
PSINET INC                     CVPFSTKF   74437C309     3831      66500 SH       SOLE              2500          0      64000
PUBLIC SERVICE CO. OF NEW MEXI COMM STK   744499104      879      54100 SH       SOLE              3200          0      50900
PUBLIC SERVICE ENTERPRISE GROU COMM STK   744573106     6331     181868 SH       SOLE             89429          0      92439
PUBLIC STORAGE INC.            COMM STK   74460D109      759      33458 SH       SOLE              7358          0      26100
PUERTO RICAN CEMENT CO         COMM STK   745075101    17007     500200 SH       SOLE             14600          0     485600
PUGET SOUND ENERGY, INC.       COMM STK   745332106      258      13300 SH       SOLE             12200          0       1100
PULTE CORP                     COMM STK   745867101      716      31839 SH       SOLE             13230          0      18609
QLT PHOTOTHERAPEUTICS          COMM STK   746927102    82591    1408800 SH       SOLE            237300          0    1171500
QRS CORP                       COMM STK   74726X105    10700     101630 SH       SOLE             25855          0      75775
QLOGIC CORP                    COMM STK   747277101    11897      74400 SH       SOLE             25900          0      48500
QUAKER OATS COMPANY            COMM STK   747402105   146701    2235437 SH       SOLE            543358          0    1692079
QUALCOMM FINL TR I             COMM STK   747525103    86652     492080 SH       SOLE            213700          0     278380
QUANTA SERVICES INC            COMM STK   74762E102     3328     117800 SH       SOLE             29800          0      88000
QUANTUM CORP                   COMM STK   747906204    30412    2010700 SH       SOLE            407300          0    1603400
QUEST DIAGNOSTIC               COMM STK   74834L100     1848      60468 SH       SOLE             52400          0       8068
QUEST SOFTWARE INC             COMM STK   74834T103     3982      39500 SH       SOLE              8200          0      31300
QUICKLOGIC CORP                COMM STK   74837P108     2961     177800 SH       SOLE                 0          0     177500
QUIKSILVER INC                 COMM STK   74838C106    29493    1902750 SH       SOLE            424550          0    1478200
QUIDEL CORP COM STOCK          COMM STK   74838J101     8300    1210000 SH       SOLE                 0          0    1210000
QUINTILES TRANSNATIONAL        COMM STK   748767100     2379     127533 SH       SOLE             78533          0      49000
QUINTUS CORPORATION            COMM STK   748798105     4641     101300 SH       SOLE               400          0     100900
QUORUM HEALTH                  COMM STK   749084109     5065     542050 SH       SOLE            158150          0     383900
QWEST COMMUNICATIONS           COMM STK   749121109    14568     339042 SH       SOLE             95764          0     243278
R & B INC                      COMM STK   749124103     2241     478000 SH       SOLE             58000          0     420000
RPM INC OHIO                   COMM STK   749685103     6195     608118 SH       SOLE             79240          0     528878
RSA SECURITY INC               COMM STK   749719100    15215     196400 SH       SOLE             75700          0     120700
RF MICRO DEVICES INC.          COMM STK   749941100      280       4100 SH       SOLE              1500          0       2600
RADIAN GROUP INC               COMM STK   750236101   120271    2518765 SH       SOLE            413153          0    2105612
RADIANT SYSTEMS INC            COMM STK   75025N102      471      11700 SH       SOLE              3600          0       8100
RADIO UNICA COMMUNICATIONS     COMM STK   75040Q106     2928     100300 SH       SOLE                 0          0     100300
RAINBOW RENTALS                COMM STK   750857104     2989     407000 SH       SOLE             52000          0     355000
RALSTON PURINA COMPANY         COMM STK   751277302    53217    1909124 SH       SOLE            228840          0    1680284
RANGER OIL LTD                 COMM STK   752805101       35      11200 SH       SOLE             11200          0          0
RARE HOSPITALITY INTL          COMM STK   753820109    15830     729900 SH       SOLE            241000          0     488900
RATIONAL SOFTWARE CORP         COMM STK   75409P202      398       8090 SH       SOLE              5690          0       2400
RAVEN INDUSTRIES INC           COMM STK   754212108     6040     409500 SH       SOLE             14500          0     395000
RAYMOND JAMES FINANCIAL        COMM STK   754730109     3897     208512 SH       SOLE             20925          0     187587
RAYONIER INC W.I.              COMM STK   754907103     1097      22700 SH       SOLE              7700          0      15000
RAYOVAC                        COMM STK   755081106    18745     993100 SH       SOLE             73700          0     919400
RAYTHEON COMPANY               COMM STK   755111408     8920     335796 SH       SOLE            187048          0     148748
READERS DIGEST ASSN INC        COMM STK   755267101   116155    3971100 SH       SOLE            561100          0    3410000
READERS DIGEST ASSN INC        COMM STK   755267200    24058     907850 SH       SOLE             92450          0     815400
REALNETWORKS INC               COMM STK   75605L104      337       2800 SH       SOLE              1000          0       1800
RECKSON ASSOCIATES REALTY CORP COMM STK   75621K106    39410    1922420 SH       SOLE             46400          0    1876020
RECKSON ASSOCIATES REALTY CORP CVPFSTKF   75621K205    14757     737850 SH       SOLE             39000          0     698850
RECKSON ASSOCIATES REALTY CORP COMM STK   75621K304     7267     319448 SH       SOLE             72905          0     246543
RED HAT INC                    COMM STK   756577102      507       2400 SH       SOLE               800          0       1600
REDBACK NETWORKS               COMM STK   757209101      283       1600 SH       SOLE               600          0       1000
REEBOK INTL LTD                COMM STK   758110100    12206    1490844 SH       SOLE            592057          0     898787
REGIONS FINANCIAL CORPORATION  COMM STK   758940100     4499     179268 SH       SOLE             78000          0     101268
RELIANT ENERGY, INC.           COMM STK   75952J108    69830    3052698 SH       SOLE            677855          0    2374843
RELIASTAR FINL CORP            COMM STK   75952U103     2629      67100 SH       SOLE              7700          0      59400
REMEDY CORPORATION             COMM STK   759548100     3819      80300 SH       SOLE             20500          0      59800
RENAL CARE GROUP INC           COMM STK   759930100    59544    2537150 SH       SOLE            386550          0    2150600
RENT WAY INC CO                COMM STK   76009U104     1762      94300 SH       SOLE             23700          0      70600
REPSOL-YPF, S.A.               ADR        76026T205     3894     167500 SH       SOLE             44700          0     122800
REPUBLIC GROUP INC             COMM STK   760473108    11708     774100 SH       SOLE            267700          0     506400
REPUBLIC NEW YORK CORPORATION  COMM STK   760719104     5447      75658 SH       SOLE             31936          0      43722
REPUBLIC SERVICES, INC.        COMM STK   760759100    94438    6569600 SH       SOLE           1000700          0    5568900
RESTORATION HARDWARE INC       COMM STK   760981100     4770     710000 SH       SOLE            110000          0     600000
RESMED INC                     COMM STK   761152107    14558     348700 SH       SOLE             53700          0     295000
REUTERS GROUP PLC              ADR        76132M102      914      20871 SH       SOLE             19659          0       1212
REYNOLDS & REYNOLDS A          COMM STK   761695105     5378     239040 SH       SOLE             40150          0     198890
REYNOLDS METALS CO.            COMM STK   761763101   188389    2458586 SH       SOLE            369404          0    2089182
RHYTHMS NETCONNECTIONS         COMM STK   762430205    39715    1279833 SH       SOLE           1270034          0       9799
RIBOZYME PHARMACEUTICALS       COMM STK   762567105      105      10000 SH       SOLE             10000          0          0
RICHARSON ELECTRIC LTD.        COMM STK   763165107     5606     747400 SH       SOLE             42000          0     705400
RICHARSON ELECTRIC LTD.        CONV BND   763165AB3     2901    3516000 PRN      SOLE                 0          0    3516000
RIGGS NATIONAL CORPORATION     COMM STK   766570105      138      10500 SH       SOLE              8500          0       2000
RIGHT MANAGEMENT CONSULT       COMM STK   766573109     6527     577000 SH       SOLE             47000          0     530000
RIO TINTO PLC - REG            COMM STK   767204100    13017     876000 SH       SOLE             76000          0     800000
RITE AID CORP.                 COMM STK   767754104    74470    6656538 SH       SOLE           1256542          0    5399996
ROBERT HALF INTL INC           COMM STK   770323103    31979    1119600 SH       SOLE            301000          0     818600
ROCKWELL INTERNATIONAL CORP.   COMM STK   773903109     6787     141775 SH       SOLE             61630          0      80145
ROGER COMMUNICATION INC        COMM STK   775109200    34123    1378700 SH       SOLE            274700          0    1104000
ROHM & HAAS COMPANY            COMM STK   775371107    14306     351610 SH       SOLE            101575          0     250035
ROMAC INTERNATIONAL INC        COMM STK   775835101    36522    2711616 SH       SOLE            438348          0    2273268
ROPER INDUSTRIES INC           COMM STK   776696106     3051      80700 SH       SOLE             57500          0      23200
ROSLYN BANCORP                 COMM STK   778162107      289      15710 SH       SOLE             13510          0       2200
ROSS STORES INC                COMM STK   778296103     3286     181900 SH       SOLE             98600          0      83300
ROUSE COMPANY                  COMM STK   779273101   116354    5475500 SH       SOLE           1199600          0    4275900
ROUSE COMPANY                  CVPFSTKF   779273309    35496    1088000 SH       SOLE            553000          0     535000
ROWAN COMPANIES                COMM STK   779382100     1266      58393 SH       SOLE             24097          0      34296
RUBY TUESDAY INC               COMM STK   781182100    18939    1041300 SH       SOLE            354300          0     687000
RURAL CELLULAR CORPORATION     COMM STK   781904107    23680     261300 SH       SOLE             31800          0     229500
RUSSELL CORP                   COMM STK   782352108      395      23575 SH       SOLE             11277          0      12298
RYDER SYSTEM INC.              COMM STK   783549108     1197      48979 SH       SOLE             19301          0      29678
RYERSON TULL INC NEW           COMM STK   78375P107     2756     141800 SH       SOLE             40000          0     101800
S & K FAMOUS BRANDS INC        COMM STK   783774102     2781     454000 SH       SOLE             29000          0     425000
SBC COMMUNICATIONS, INC.       COMM STK   78387G103   604934   12408893 SH       SOLE           3144626          0    9264267
SCC COMMUNICATIONS CORP        COMM STK   78388X105      264      45000 SH       SOLE             45000          0          0
SCI SYSTEMS INC                COMM STK   783890106   617223    7509940 SH       SOLE            920200          0    6589740
SCP POOL                       COMM STK   784028102    19884     765700 SH       SOLE            154200          0     611500
SDL INC                        COMM STK   784076101     5498      25200 SH       SOLE             23900          0       1300
SEI CORP                       COMM STK   784117103     3250      27300 SH       SOLE             25000          0       2300
SFX ENTMT INC                  COMM STK   784178105    92256    2549375 SH       SOLE            138750          0    2410625
SLM HOLDING CORP.              COMM STK   78442A109     4972     117671 SH       SOLE             49900          0      67771
SLI INC                        COMM STK   78442T108     1444     106500 SH       SOLE             31000          0      75500
SPSS INCORPORATED              COMM STK   78462K102    23227     906400 SH       SOLE            292100          0     614300
SPX CORP                       COMM STK   784635104     2893      35800 SH       SOLE             10000          0      25800
S-3 INCORPORATED               COMM STK   784849101     2722     236012 SH       SOLE             68712          0     167300
SPR, INC.                      COMM STK   784922106     8703    1450500 SH       SOLE                 0          0    1450500
SAFECO CORPORATION             COMM STK   786429100    82747    3330693 SH       SOLE            658048          0    2672645
SAFEGUARD SCIENTIFICS IN       COMM STK   786449108     5867      36200 SH       SOLE              7600          0      28600
SAFESKIN CORP                  COMM STK   786454108      124      10100 SH       SOLE              9000          0       1100
SAFEWAY INC.                   COMM STK   786514208   222790    6264745 SH       SOLE           1421850          0    4842895
SAGA COMMUNICATIONS            COMM STK   786598102    28694    1417000 SH       SOLE            123100          0    1293900
SAGENT TECHNOLOGY INC          COMM STK   786693101     1205      40300 SH       SOLE             40000          0        300
ST JUDE MEDICAL INC            COMM STK   790849103     1921      62615 SH       SOLE             27748          0      34867
ST. PAUL COMPANIES, INC.       COMM STK   792860108   265300    7875310 SH       SOLE           1185367          0    6689943
SAKS INCORPORATED              COMM STK   79377W108      186      11950 SH       SOLE              8200          0       3750
SANMINA CORPORATION            COMM STK   800907107   217025    2178420 SH       SOLE            276650          0    1901770
SANGSTAT MEDICAL CORP          COMM STK   801003104     5893     198300 SH       SOLE              8300          0     190000
SANTA FE SNYDER CORP           COMM STK   80218K105     8935    1116825 SH       SOLE            169525          0     947300
SAPIENT CORP COM               COMM STK   803062108      324       2300 SH       SOLE               800          0       1500
SARA LEE CORPORATION           COMM STK   803111103    72435    3283185 SH       SOLE            411304          0    2871881
SAVIOR TECHNOLOGY GROUP        COMM STK   80533W107     2170     310000 SH       SOLE                 0          0     310000
SAWTEK INC                     COMM STK   805468105     2031      30500 SH       SOLE             28900          0       1600
SCANA CORP.                    COMM STK   805898103      263       9800 SH       SOLE              7600          0       2200
SCHEIN, HENRY INC              COMM STK   806407102    49129    3716600 SH       SOLE            546100          0    3170500
SCHERING-PLOUGH CORP.          COMM STK   806605101   245701    5824024 SH       SOLE           1737794          0    4086230
SCHLUMBERGER LTD               COMM STK   806857108    87519    1555902 SH       SOLE            262052          0    1293850
SCHOLASTIC CORPORATION         COMM STK   807066105      408       6550 SH       SOLE              5750          0        800
SCHOOL SPECIALTY INC           COMM STK   807863105     6044     402063 SH       SOLE              1387          0     400676
SCHULMAN A INC                 COMM STK   808194104     8063     495229 SH       SOLE            200500          0     294729
CHARLES SCHWAB CORP NEW        COMM STK   808513105    36681     955854 SH       SOLE            384074          0     571780
SCIENT CORP                    COMM STK   80864H109      232       2700 SH       SOLE              1000          0       1700
SCIENTIFIC ATLANTA INC         COMM STK   808655104     3171      57007 SH       SOLE             25696          0      31311
SCOTTISH POWER PLC             ADR        81013T705    84737    3026323 SH       SOLE            564049          0    2462274
SCOTTS COMPANY CLASS A         COMM STK   810186106      427      10600 SH       SOLE               300          0      10300
SEAGATE TECHNOLOGY             COMM STK   811804103     7316     157114 SH       SOLE             69086          0      88028
SEAGRAM COMPANY LTD. (THE)     COMM STK   811850106    24880     553650 SH       SOLE            127868          0     425782
SEACOR SMIT INC                COMM STK   811904101      553      10100 SH       SOLE             10100          0          0
SEALED AIR CORPORATION         COMM STK   81211K100     5468     105535 SH       SOLE             67586          0      37949
SEARS ROEBUCK & CO.            COMM STK   812387108    10688     351160 SH       SOLE            120875          0     230285
SEATTLE FILMWORKS INC          COMM STK   812572105     3395    1200600 SH       SOLE                 0          0    1200600
SECURITY CAPITAL US REALTY     ADR        814136206    16256     890725 SH       SOLE            203925          0     686800
SECURITY CAPITAL GROUP INC     COMM STK   81413P204     1379     110300 SH       SOLE             98500          0      11800
SELESCT COMFORT CORPORATION    COMM STK   81616X103      413      61983 SH       SOLE             60616          0       1367
SELECTIVE INSURANCE GRP        COMM STK   816300107     3874     225400 SH       SOLE             60100          0     165300
SEMTECH CORP                   COMM STK   816850101     6638     127500 SH       SOLE             32600          0      94900
SEMPRA ENERGY                  COMM STK   816851109     3039     174923 SH       SOLE             74438          0     100485
SENECA FOODS CORP              COMM STK   817070105     1300     110900 SH       SOLE             30600          0      80300
SENECA FOODS CORP              COMM STK   817070501     2768     237500 SH       SOLE             53300          0     184200
SEPRACOR INC                   COMM STK   817315104    56157     565100 SH       SOLE            121500          0     443600
SEPRACOR INC                   CONV BND   817315AH7     1923    1800000 PRN      SOLE           2800000          0   -1000000
SEROLOGICALS CORPORATION       COMM STK   817523103    17263    2832835 SH       SOLE            254800          0    2578035
SERVICE CORPORATION INTERNATIO COMM STK   817565104     1926     277621 SH       SOLE             88452          0     189169
SERVICEMASTER CO               COMM STK   81760N109     9862     800935 SH       SOLE             91200          0     709735
SHARED MED SYSTEMS CORP        COMM STK   819486101     1794      35215 SH       SOLE             24110          0      11105
SHAW INDUSTRIES INC            COMM STK   820286102      227      14700 SH       SOLE             10500          0       4200
SHAW CABLESYSTEMS CL B         COMM STK   82028K200     2022      42000 SH       SOLE             24000          0      18000
SHELL TRAN&TRADE NY SHR        ADR        822703609     5664     115000 SH       SOLE             32900          0      82100
SHERWIN-WILLIAMS CO.           COMM STK   824348106     4535     215940 SH       SOLE             69410          0     146530
SHILOH INDUSTRIES INC          COMM STK   824543102     3344     292400 SH       SOLE                 0          0     292400
SHIRE PHARMACEUTICALS GROUP    ADR        82481R106    77889    2691613 SH       SOLE            523184          0    2168429
SHOPKO STORES INC.             COMM STK   824911101    50779    2207800 SH       SOLE            440200          0    1767600
SHOREWOOD PACKAGING CORP       COMM STK   825229107    39060    2062600 SH       SOLE            594500          0    1468100
SIEBEL SYS INC                 COMM STK   826170102     1405      16700 SH       SOLE             12100          0       4600
SIGMA ALDRICH CORP             COMM STK   826552101     4045     134684 SH       SOLE             73079          0      61605
SIGCORP INC                    COMM STK   826912107     6962     306000 SH       SOLE               400          0     305600
SILICON GRAPHICS               COMM STK   827056102     1458     148616 SH       SOLE             56832          0      91784
SILICON VALLEY BANCSHRS        COMM STK   827064106    62880    1268700 SH       SOLE            294700          0     974000
SIMON PROPERTY GROUP, INC.     COMM STK   828806109   138993    6059626 SH       SOLE            995779          0    5063847
SIMPSON MFG CO INC             COMM STK   829073105    10456     239000 SH       SOLE             50500          0     188500
SINCLAIR BROADCAST GROUP       COMM STK   829226109    28081    2298200 SH       SOLE            149600          0    2148600
SITEL                          COMM STK   82980K107    10515    1502200 SH       SOLE              1300          0    1500900
SIPEX CORP COM                 COMM STK   829909100    51548    2101300 SH       SOLE            443000          0    1658300
SKYLINE CORP                   COMM STK   830830105    14570     620000 SH       SOLE            158400          0     461600
SMITH (A.O.) CORP              COMM STK   831865209    39403    1801300 SH       SOLE            511650          0    1289650
SMITH-GARDNER & ASSOC          COMM STK   832059109      492      28841 SH       SOLE             28841          0          0
SMITH INTERNATIONAL            COMM STK   832110100   146489    2948200 SH       SOLE            568200          0    2380000
SMITH CHARLES RESIDNTL         COMM STK   832197107      509      14400 SH       SOLE               100          0      14300
SMITH FIELD FOODS              COMM STK   832248108     2118      88270 SH       SOLE             22300          0      65970
SMITHKLINE BEECHAM PLC         ADR        832378301    10913     169356 SH       SOLE             30156          0     139200
SMURFIT STONE CONTAINER CORP   COMM STK   832727101    27534    1125290 SH       SOLE            151100          0     974190
SNYDER COMMUNICATIONS INC      COMM STK   832914204     2167     176475 SH       SOLE               225          0     176250
SNAP-ON INCORPORATED           COMM STK   833034101     1278      48111 SH       SOLE             21822          0      26289
SOLA INTERNATIONAL INC         COMM STK   834092108    11210     807900 SH       SOLE            168900          0     639000
SOLECTRON CORP                 COMM STK   834182107   635667    6682435 SH       SOLE            881102          0    5801333
SOLUTIA INC                    COMM STK   834376105      614      39760 SH       SOLE             10600          0      29160
SONIC INC                      COMM STK   835451105    47208    1674800 SH       SOLE            228100          0    1446700
SONIC AUTOMOTIVE INC           COMM STK   83545G102     9750    1000000 SH       SOLE                 0          0    1000000
SONICWALL INC                  COMM STK   835470105    12080     300600 SH       SOLE               300          0     300300
SONOCO PRODUCTS COMPANY        COMM STK   835495102     4285     188345 SH       SOLE             52010          0     136335
SOTHEBYS HOLDINGS INC A        COMM STK   835898107    22902     763400 SH       SOLE            155100          0     608300
SOURCE INFORMATION MGMT        COMM STK   836151209    12239     736200 SH       SOLE            144700          0     591500
SOUTHDOWN, INC.                COMM STK   841297104      299       5800 SH       SOLE              4600          0       1200
SOUTHERN COMPANY               COMM STK   842587107   122427    5209653 SH       SOLE           1251631          0    3958022
SOUTHTRUST CORPORATION         COMM STK   844730101     4667     123521 SH       SOLE             53750          0      69771
SOUTHWEST AIRLINES CO.         COMM STK   844741108     6657     411213 SH       SOLE            198458          0     212755
SOUTHWEST WATER CO             COMM STK   845331107     1576     105050 SH       SOLE             65600          0      39450
SOUTHWESTERN ENERGY CO         COMM STK   845467109       75      11400 SH       SOLE              7300          0       4100
SOVEREIGN BANCORP INC          COMM STK   845905108      121      16260 SH       SOLE              8840          0       7420
SPECTRALINK CORPORATION        COMM STK   847580107      518      71483 SH       SOLE             71483          0          0
SPECTRIAN CORP                 COMM STK   847608106     3788     134400 SH       SOLE             32900          0     101500
SPEEDWAYMOTORSPORTS            COMM STK   847788106    13962     502000 SH       SOLE               900          0     501100
SPIEKER PROPERTIES, INC.       COMM STK   848497103     8217     225500 SH       SOLE              3900          0     221600
SPLASH TECHNOLOGY HOLDING      COMM STK   848623104      404      45500 SH       SOLE             41400          0       4100
SPRINGS INDS INC               COMM STK   851783100      572      14329 SH       SOLE              7862          0       6467
SPRINT CORPORATION             COMM STK   852061100   241386    3586054 SH       SOLE            854858          0    2731196
SPRINT CORPORATION             COMM STK   852061506    54538     532078 SH       SOLE            170072          0     362006
STAFFMARK                      COMM STK   852389105    11610    1535200 SH       SOLE             35200          0    1500000
STANLEY FURNITURE INC          COMM STK   854305208    10499     567500 SH       SOLE            128000          0     439500
STANLEY WORKS                  COMM STK   854616109   152637    5066777 SH       SOLE           1058236          0    4008541
STAPLES INC                    COMM STK   855030102    34779    1681168 SH       SOLE            441075          0    1240093
STARBUCKS CORP                 COMM STK   855244109     4414     181800 SH       SOLE            116200          0      65600
STARWOOD HOTEL & RESTAURANTS   COMM STK   85590A203   217359    9249307 SH       SOLE           1750844          0    7498463
STATE STREET CORPORATION       COMM STK   857477103    57910     792614 SH       SOLE            239851          0     552763
STEIN MART INC                 COMM STK   858375108     7330    1274800 SH       SOLE            553500          0     721300
STEINWAY MUSICAL INSTRUM       COMM STK   858495104     2493     123100 SH       SOLE             30000          0      93100
STERILE RECOVERIES INC         COMM STK   859151102     2309     327000 SH       SOLE             52000          0     275000
STERIS CORPORATION             COMM STK   859152100     7197     697900 SH       SOLE            146100          0     551800
STERLING COMMERCE INC          COMM STK   859205106    25463     747523 SH       SOLE             18414          0     729109
STEWART & STEVENSON SERV       COMM STK   860342104      186      15700 SH       SOLE              9400          0       6300
STEWART ENTERPRISES CL A       COMM STK   860370105       70      14700 SH       SOLE             12900          0       1800
STILLWATER MINING CO.          COMM STK   86074Q102      220       6900 SH       SOLE              6500          0        400
STORAGE TECH                   COMM STK   862111200      409      22200 SH       SOLE              9500          0      12700
STRATEGIC DIAGNOSTICS          COMM STK   862700101      660     100620 SH       SOLE            100620          0          0
STRATTEC SECURITY CORP         COMM STK   863111100    16394     502500 SH       SOLE             48600          0     453900
STRAYER EDUCATION              COMM STK   863236105    29714    1485700 SH       SOLE            238700          0    1247000
STRIDE RITE CORP               COMM STK   863314100     7501    1154000 SH       SOLE            217300          0     936700
STRYKER CORP                   COMM STK   863667101     2515      36116 SH       SOLE             27332          0       8784
SUMMIT BANCORP COM             COMM STK   866005101    20963     684500 SH       SOLE            134914          0     549586
SUN COMMUNITIES INC            COMM STK   866674104    20040     622600 SH       SOLE            130000          0     492600
SUN MICROSYSTEMS INC           COMM STK   866810104   636374    8221220 SH       SOLE           1454476          0    6766744
SUNBEAM CORP                   CONV BND   867071AA0     8510   59000000 PRN      SOLE                 0          0   59000000
SUNGARD DATA SYSTEMS           COMM STK   867363103   125481    5283400 SH       SOLE            573700          0    4709700
SUNOCO INC                     COMM STK   86764P109     1637      69658 SH       SOLE             30640          0      39018
SUNTERRA CORP COM              COMM STK   86787D109    20450    1778250 SH       SOLE            281800          0    1496450
SUNTRUST BANKS INC.            COMM STK   867914103    20885     303509 SH       SOLE            122791          0     180718
SUNSOURCE INC                  COMM STK   867948101     2692     633400 SH       SOLE             80300          0     553100
SUPERIOR INDUSTRIES INTL       COMM STK   868168105      319      11900 SH       SOLE              3500          0       8400
SUPERIOR SURGICAL MFG          COMM STK   868358102     4040     448900 SH       SOLE                 0          0     448900
SUPERVALU INC.                 COMM STK   868536103     2056     102788 SH       SOLE             45507          0      57281
SWIFT TRANSPORTATION INC       COMM STK   870756103     3182     180200 SH       SOLE             48225          0     131975
SYBASE INC                     COMM STK   871130100      238      14000 SH       SOLE              6100          0       7900
SYCAMORE NETWORKS INC          COMM STK   871206108      853       2800 SH       SOLE               900          0       1900
SYKES ENTERPRISES INC          COMM STK   871237103     6415     146200 SH       SOLE             35900          0     110300
SYLVAN INC                     COMM STK   871371100     4604     558000 SH       SOLE             38000          0     520000
SYLVAN LEARNING SYS            COMM STK   871399101    48597    3702600 SH       SOLE            293200          0    3409400
SYMANTEC CORP                  COMM STK   871503108    10199     173700 SH       SOLE             89400          0      84300
SYMBOL TECHNOLOGY INC          COMM STK   871508107    18961     298299 SH       SOLE            176724          0     121575
SYMYX TECH INC                 COMM STK   87155S108     4508     150900 SH       SOLE               600          0     150300
SYNALLOY CORP                  COMM STK   871565107     3681     475000 SH       SOLE             10000          0     465000
SYNOPSYS INC                   COMM STK   871607107   590756    8871036 SH       SOLE            970536          0    7900500
SYNOVUS FINANCIAL CORP         COMM STK   87161C105     3942     198321 SH       SOLE             82642          0     115679
SYNTELLECT INC                 COMM STK   87161L105     2122     700000 SH       SOLE                 0          0     700000
SYSCO CORPORATION              COMM STK   871829107    34099     861912 SH       SOLE            202296          0     659616
TBC CORP                       COMM STK   872180104    10631    1718200 SH       SOLE            258200          0    1460000
TCF FINANCIAL CORP             COMM STK   872275102     4751     191000 SH       SOLE             78800          0     112200
TECO ENERGY, INC.              COMM STK   872375100    47815    2575906 SH       SOLE            464046          0    2111860
TJX COMPANIES INC              COMM STK   872540109    96622    4727687 SH       SOLE            744860          0    3982827
TLC THE LASER CTR INC CO       COMM STK   87255E108      904      68100 SH       SOLE             20300          0      47800
TRO LEARNING INC               COMM STK   87263R109      492      91442 SH       SOLE             91442          0          0
TRW INC.                       COMM STK   872649108    94946    1828078 SH       SOLE            339507          0    1488571
TSI INTERNATIONAL SOFTWARE INC COMM STK   872879101      611      10800 SH       SOLE              2400          0       8400
TMP WORLDWIDE                  COMM STK   872941109     3585      25300 SH       SOLE              6700          0      18600
TV GUIDE INC CL A              COMM STK   87307Q109      274       6400 SH       SOLE              2000          0       4400
TAB PRODUCTS                   COMM STK   873197107     2561     394000 SH       SOLE             44000          0     350000
TEL-SAVE HOLDINGS INC          COMM STK   874264104      195      11000 SH       SOLE              6800          0       4200
TANDY CORPORATION              COMM STK   875382103    14552     295840 SH       SOLE             75620          0     220220
TANNING TECHNOLOGY CORP        COMM STK   87588P101     7436     126700 SH       SOLE               400          0     126300
TECH DATA CORP                 COMM STK   878237106    63169    2326140 SH       SOLE            369100          0    1957040
TECHNE CORP                    COMM STK   878377100     3753      68200 SH       SOLE             17000          0      51200
TECHNITROL INC                 COMM STK   878555101    32681     734400 SH       SOLE            151500          0     582900
TECK CORPORATION CLASS B       CONV BND   878742AB1    20184   27275000 PRN      SOLE          13975000          0   13300000
TECUMSCH PRODUCTS CL A         COMM STK   878895200      222       4700 SH       SOLE              3300          0       1400
TEKTRONIX INC                  COMM STK   879131100     1321      33976 SH       SOLE             14537          0      19439
TELEBANC FINL CORP    CO       COMM STK   87925R109     6803     262600 SH       SOLE             15300          0     247300
TELECOM NEW ZEALAND ADR        ADR        879278208     1682      43700 SH       SOLE             13100          0      30600
TELECOMUNICACOES BRASL         ADR        879287308    73862     574800 SH       SOLE            112800          0     462000
TELECORP PCS INC               COMM STK   879299105      493      12900 SH       SOLE              1000          0      11900
TELEFLEX INC                   COMM STK   879369106   103475    3304600 SH       SOLE            483900          0    2820700
TELEFONICA DE ESPANA S.A.      ADR        879382208     6386      81023 SH       SOLE             17752          0      63271
TELEFONOS DE MEXICO SA         ADR        879403780     5212      46325 SH       SOLE              6825          0      39500
TELEPHONE & DATA SYSTEMS INC.  COMM STK   879433100      832       6600 SH       SOLE              5000          0       1600
TELLABS INC                    COMM STK   879664100    45665     711780 SH       SOLE            282538          0     429242
TEMPLE-INLAND INC.             COMM STK   879868107     2726      41338 SH       SOLE             16718          0      24620
TENET HEALTHCARE CORPORATION   COMM STK   88033G100     5251     223464 SH       SOLE             94775          0     128689
TERADYNE INC                   COMM STK   880770102    16698     253000 SH       SOLE            136500          0     116500
TEREX CORP                     COMM STK   880779103     3047     109800 SH       SOLE             26900          0      82900
TERUMO CORPORATION             COMM STK   880999990   494130     181000 SH       SOLE             32000          0     149000
TEVA PHARMACEUTICAL ADR        ADR        881624209   121258    1693700 SH       SOLE            376800          0    1316900
TETRA TECHNOLOGIES DEL         COMM STK   88162F105     8581    1183600 SH       SOLE            417300          0     766300
TETRA TECH INC.                COMM STK   88162G103    38021    2462913 SH       SOLE            289472          0    2173441
TEXACO INC.                    COMM STK   881694103   314822    5796497 SH       SOLE           1457984          0    4338513
TEXAS INDUSTRIES INC           COMM STK   882491103     1741      40900 SH       SOLE             11100          0      29800
TEXAS INSTRUMENTS, INC.        COMM STK   882508104   548120    5658016 SH       SOLE           1023700          0    4634316
TEXAS UTILITIES COMPANY        COMM STK   882848104    29720     835720 SH       SOLE            118970          0     716750
TEXTRON INC.                   COMM STK   883203101     9507     123965 SH       SOLE             56248          0      67717
THERAGENICS CORP               COMM STK   883375107     2311     255040 SH       SOLE             60300          0     194740
THERMO ELECTRON CORP           COMM STK   883556102     1969     131295 SH       SOLE             55320          0      75975
THERMO INSTRUMENT SYSTEM       COMM STK   883559106      151      13595 SH       SOLE              1500          0      12095
THOMAS & BETTS CORPORATION     COMM STK   884315102     1316      41293 SH       SOLE             17102          0      24191
THOMAS INDUSTIRES INC          COMM STK   884425109    11108     543500 SH       SOLE            151600          0     391900
3COM CORP.                     COMM STK   885535104   406431    8653231 SH       SOLE            548935          0    8104296
TIBCO SOFTWARE  INC            COMM STK   88632Q103      321       2100 SH       SOLE               700          0       1400
TIDEWATER INC                  COMM STK   886423102      220       6100 SH       SOLE              4200          0       1900
TIER TECHNOLOGIES INC.         COMM STK   88650Q100     9298    1100000 SH       SOLE                 0          0    1100000
TIFFANY & CO NEW               COMM STK   886547108    15284     171250 SH       SOLE            131450          0      39800
TIME WARNER COMPANIES, INC.    COMM STK   887315109   261186    3605671 SH       SOLE           1117334          0    2488337
TIME WARNER TELECOM INC        COMM STK   887319101    17155     344600 SH       SOLE             64800          0     279800
TIMES MIRROR COMPANY           COMM STK   887364107     3003      44815 SH       SOLE             18133          0      26682
TIMKEN CO                      COMM STK   887389104      999      48870 SH       SOLE             25103          0      23767
TITAN PHARMACEUTICALS CO       COMM STK   888314101     3610     190000 SH       SOLE                 0          0     190000
TOLL BROTHERS INC              COMM STK   889478103     9327     500800 SH       SOLE               300          0     500500
TOMKINS PLC ADR                ADR        890030208      810      55143 SH       SOLE             28103          0      27040
TOOTSIE ROLL INDS INC          COMM STK   890516107     5924     179857 SH       SOLE             61972          0     117885
TOPPS INC                      COMM STK   890786106     2170     209800 SH       SOLE             59700          0     150100
TORCHMARK CORPORATION          COMM STK   891027104     5302     182429 SH       SOLE             47604          0     134825
TORONTO-DOMINION BANK          COMM STK   891160509      603       8200 SH       SOLE              8200          0          0
TOSCO CORPORATION              COMM STK   891490302     3004     110500 SH       SOLE             47200          0      63300
TOTAL RENAL CARE HOLDING       COMM STK   89151A107    20624    3083933 SH       SOLE            621400          0    2462533
TOTAL FINA S.A.                ADR        89151E109    31582     456061 SH       SOLE             63399          0     392662
TOWER AUTOMOTIVE               COMM STK   891707101      349      22600 SH       SOLE             22000          0        600
TOYS R US INC.                 COMM STK   892335100   133021    9294044 SH       SOLE           2361180          0    6932864
TRACTOR SUPPLY CO              COMM STK   892356106    16464    1021000 SH       SOLE            221000          0     800000
TRAMMELL CROW CO.              COMM STK   89288R106    12971    1115800 SH       SOLE             68500          0    1047300
TRANSACTIONS SYSTEMS ARCHITECT COMM STK   893416107      961      34300 SH       SOLE             33900          0        400
TRANSATLANTIC HLDGS INC        COMM STK   893521104      343       4400 SH       SOLE              3500          0        900
TRANSKARYOTIC THERAPIES INC    COMM STK   893735100     7325     190100 SH       SOLE              6200          0     183900
TRANSPORT CORP OF AMERIC       COMM STK   89385P102     8064     660000 SH       SOLE             45000          0     615000
TRANSTECHNOLOGY CORP           COMM STK   893889105     5718     516900 SH       SOLE            175900          0     341000
TRAVELERS PROPERTY CASUALTY CO COMM STK   893939108    21841     637700 SH       SOLE            123900          0     513800
TRANSWITCH CORPORATION         COMM STK   894065101     5997      82650 SH       SOLE             22500          0      60150
TRAVEL SERVICES INTL INC       COMM STK   894169101     2734     295600 SH       SOLE               100          0     295500
TREX COMPANY INC               COMM STK   89531P105    14049     525200 SH       SOLE            108600          0     416600
TRIANGLE PHARMACEUTICALS INC   COMM STK   89589H104    31205    2441500 SH       SOLE            389200          0    2052300
TRIAD GTY INC                  COMM STK   895925105    11807     519700 SH       SOLE            198300          0     321400
TRICON GLOBAL RESTAURANT       COMM STK   895953107     5481     141893 SH       SOLE             60189          0      81704
TRIBUNE COMPANY                COMM STK   896047107   101000    1834278 SH       SOLE            395566          0    1438712
TRICORD SYSTEMS INC            COMM STK   896121100      878     180000 SH       SOLE            180000          0          0
TRIMERIS INC.                  COMM STK   896263100     9286     392000 SH       SOLE             18000          0     374000
TRINITY INDUSTRIES             COMM STK   896522109      404      14200 SH       SOLE             11500          0       2700
TRITEL INC                     COMM STK   89675X104     7196     227100 SH       SOLE             42100          0     185000
TRIUMPH GROUP INCORPORAT       COMM STK   896818101     1947      80500 SH       SOLE             26300          0      54200
TRIZEC HAHN CORP SUB VTG       COMM STK   896938107      785      46500 SH       SOLE                 0          0      46500
AUTOCYTE INC                   COMM STK   896942109      196      47473 SH       SOLE             39570          0       7903
TULARIK INC                    COMM STK   899165104     1539      47500 SH       SOLE                 0          0      47500
TUPPERWARE CORPORATION         COMM STK   899896104    74848    4419061 SH       SOLE            624383          0    3794678
TUSCARORA INC                  COMM STK   900902107    10004     833700 SH       SOLE             10000          0     823700
TWEETER HOME ENTERTAINMENT     COMM STK   901167106    38492    1088100 SH       SOLE            209200          0     878900
TYCO INTERNATIONAL LTD.        COMM STK   902124106   411727   10591056 SH       SOLE           2882996          0    7708060
TYSON FOODS, INC.              COMM STK   902494103      389      23950 SH       SOLE             17550          0       6400
UAL CORP                       COMM STK   902549500     2482      32000 SH       SOLE               700          0      31300
U S T CORP                     COMM STK   902900109    12735     401500 SH       SOLE             85400          0     316100
USX CORPORATION                COMM STK   902905827   213586    8651599 SH       SOLE            720239          0    7931360
UST INC.                       COMM STK   902911106   179969    7145167 SH       SOLE           1283945          0    5861222
U.S. BANCORP                   COMM STK   902973106    29147    1224006 SH       SOLE            298911          0     925095
US LIQUIDS INC                 COMM STK   902974104     2936     350600 SH       SOLE                 0          0     350600
USA NETWORKS, INC.             COMM STK   902984103     3631      65750 SH       SOLE             36050          0      29700
US CAN                         COMM STK   90328W105    26694    1343100 SH       SOLE            257900          0    1085200
USG CORP                       COMM STK   903293405      914      19400 SH       SOLE              3000          0      16400
U S FOODSERVICE                COMM STK   90331R101   206484   12327376 SH       SOLE           1691458          0   10635918
U S AGGREGATES INC             COMM STK   90334D109    12491    1040900 SH       SOLE            316200          0     724700
USX US STEEL GROUP             COMM STK   90337T101     2071      62757 SH       SOLE             26614          0      36143
UTI ENERGY CORP       CO       COMM STK   903387108     2827     122600 SH       SOLE             31000          0      91600
US ONCOLOGY INC                COMM STK   90338W103     4895    1004181 SH       SOLE            246423          0     757758
ULTRAMAR DIAMOND SHAMROCK CORP COMM STK   904000106      538      23700 SH       SOLE             12500          0      11200
ULTRATECH STEPPER INC          COMM STK   904034105      167      10300 SH       SOLE              7700          0       2600
UNIFI INC.                     COMM STK   904677101    26137    2122800 SH       SOLE            350400          0    1772400
UNIFIRST CORP                  COMM STK   904708104     1986     157300 SH       SOLE             87800          0      69500
UNILEVER NV                    ADR        904784709    26632     489230 SH       SOLE            213566          0     275664
UNICOM INC.                    COMM STK   904911104   156436    4669734 SH       SOLE            817274          0    3852460
UNION CARBIDE CORPORATION      COMM STK   905581104     7080     106065 SH       SOLE             50743          0      55322
UNION PACIFIC CORPORATION      COMM STK   907818108   175913    4032399 SH       SOLE            887843          0    3144556
UNION PACIFIC RESOURCES GROUP  COMM STK   907834105    14439    1132469 SH       SOLE            204697          0     927772
UNION PLANTERS CORP.           COMM STK   908068109     4095     103824 SH       SOLE             44400          0      59424
UNIONBANCAL CORP COM           COMM STK   908906100      245       6200 SH       SOLE              2100          0       4100
UNIONSOURCE ENERGY CORP HOLDIN COMM STK   909205106    20642    1845100 SH       SOLE            904900          0     940200
UNISYS CORPORATION             COMM STK   909214108    27469     860091 SH       SOLE             92929          0     767162
UNITED ASSET MANAGEMENT        COMM STK   909420101      232      12500 SH       SOLE             11700          0        800
UNITED DOMINION REALTY TRUST I COMM STK   910197102     7518     761360 SH       SOLE            100400          0     660960
UNITED HEALTHCARE CORP         COMM STK   910581107   179300    3375058 SH       SOLE            894916          0    2480142
UNITED NATURAL FOODS           COMM STK   911163103     6000     496100 SH       SOLE             52800          0     443300
UNITED PARCEL SERVICE, INC.    COMM STK   911312106    26393     382500 SH       SOLE                 0          0     382500
UNITED RENTALS INC             COMM STK   911363109    71745    4189500 SH       SOLE            747800          0    3441700
UNITED STATES CELLULAR CORP.   COMM STK   911684108     8075      80000 SH       SOLE             36900          0      43100
US AIRWAYS GROUP, INC.         COMM STK   911905107     1692      52762 SH       SOLE             21643          0      31119
US INDUSTRIES INC              COMM STK   912080108      140      10000 SH       SOLE              5400          0       4600
US WEST, INC.                  COMM STK   91273H101   232910    3234865 SH       SOLE            732168          0    2502697
US TR CORP NEW                 COMM STK   91288L105     8756     109200 SH       SOLE             57900          0      51300
ADTL UNITED STATIONERS INC.    COMM STK   913004107    49478    1726600 SH       SOLE            128300          0    1598300
UNITED TECHNOLOGIES CORP.      COMM STK   913017109    29836     459022 SH       SOLE            183024          0     275998
UNITED THERAPEUTICS CORP       COMM STK   91307C102    10189     220300 SH       SOLE                 0          0     220300
UNITED WATER RESOURCES INC.    COMM STK   913190104    12458     364400 SH       SOLE            164900          0     199500
UNITEDGLOBALCOM INC CL A       COMM STK   913247508      226       3200 SH       SOLE              1200          0       2000
UNITRIN INC                    COMM STK   913275103     7888     209300 SH       SOLE            106700          0     102600
UNIVERSAL CORP VA              COMM STK   913456109      205       9000 SH       SOLE              7200          0       1800
UNIVERSAL FOODS CORP           COMM STK   913538104      434      21300 SH       SOLE              6000          0      15300
UNIVERSAL HEALTH SVS           COMM STK   913903100     3656     101550 SH       SOLE             25700          0      75850
UNO RESTAURANT CORP            COMM STK   914900105     5296     476000 SH       SOLE             11000          0     465000
UNIVISION COMMUNICATIONS INC   COMM STK   914906102    61185     598750 SH       SOLE            155700          0     443050
UNOCAL CORPORATION             COMM STK   915289102   231457    6896288 SH       SOLE           1251026          0    5645262
UNUMPROVIDENT CORP.            COMM STK   91529Y106   176236    5496651 SH       SOLE           1445430          0    4051221
US FREIGHTWAYS CORP            COMM STK   916906100     3319      69700 SH       SOLE             19700          0      50000
URBAN OUTFITTERS INC           COMM STK   917047102    48083    1647400 SH       SOLE            286300          0    1361100
USINTERNETWORKING INC          COMM STK   917311805     9721     139250 SH       SOLE             38600          0     100650
USWEB CORP                     COMM STK   917327108     7675     172600 SH       SOLE             54400          0     118200
UTILICORP UNITED INC.          COMM STK   918005109     1025      52750 SH       SOLE             50550          0       2200
VAIL RESORTS INC               COMM STK   91879Q109     9405     524300 SH       SOLE              4300          0     520000
VALASSIS COMMUNICATIONS        COMM STK   918866104     5788     137000 SH       SOLE             84900          0      52100
VALERO ENERGY CORP             COMM STK   91913Y100     7133     358900 SH       SOLE             57900          0     301000
VALLEY NATIONAL GASES INC      COMM STK   919792101     3265     757000 SH       SOLE             47000          0     710000
VALSPAR CORP                   COMM STK   920355104    18560     443220 SH       SOLE            100980          0     342240
VALUE LINE INC                 COMM STK   920437100      570      15958 SH       SOLE             12558          0       3400
VARIAN SEMICONDUCTOR EQUIP     COMM STK   922207105      238       7000 SH       SOLE              5800          0       1200
VARIAN MEDICAL SYSTEMS         COMM STK   92220P105      215       7200 SH       SOLE              5800          0       1400
VASTAR RESOURCES INC.          COMM STK   922380100    12903     218700 SH       SOLE             41300          0     177400
VENTANA MEDICAL SYSTEMS        COMM STK   92276H106     1112      44600 SH       SOLE             14600          0      30000
VERDANT BRANDS                 COMM STK   923366207      169      54013 SH       SOLE             54013          0          0
VERIO                          COMM STK   923433106      550      11900 SH       SOLE             10000          0       1900
VERITAS SOFTWARE CO            COMM STK   923436109   247369    1728722 SH       SOLE             12072          0    1716650
VERITY INC                     COMM STK   92343C106    18216     428300 SH       SOLE             11600          0     416700
VERISIGN INC                   COMM STK   92343E102      879       4600 SH       SOLE              2200          0       2400
VERITAS DGC INC                COMM STK   92343P107      673      48100 SH       SOLE             47700          0        400
VERTEL CORP                    COMM STK   924907108      970     178305 SH       SOLE            178305          0          0
VERTICALNET INC                COMM STK   92532L107      278       1700 SH       SOLE               700          0       1000
VETERINARY CENTERS             COMM STK   925514101     1147      88200 SH       SOLE             21700          0      66500
VIACOM INC.                    COMM STK   925524100      544       9000 SH       SOLE                 0          0       9000
VIACOM INC.                    COMM STK   925524308    32609     539550 SH       SOLE            244378          0     295172
VIATEL INC.                    COMM STK   925529208     2013      37578 SH       SOLE             36300          0       1278
VIAD CORP                      COMM STK   92552R109   112927    4051200 SH       SOLE            642800          0    3408400
VIASOFT INC                    COMM STK   92552U102     6913    1225600 SH       SOLE            210300          0    1015300
VIANT CORP                     COMM STK   92553N107    17215     176000 SH       SOLE             23700          0     152300
VICOR CORP                     COMM STK   925815102      660      16200 SH       SOLE              3700          0      12500
VIGNETTE CORP                  COMM STK   926734104      505       3100 SH       SOLE              1600          0       1500
VIRATA CORP                    COMM STK   927646109     2373      79600 SH       SOLE                 0          0      79600
VISIO CORP                     COMM STK   927914101    50740    1068200 SH       SOLE            140300          0     927900
VIROPHARMA INC                 COMM STK   928241108     5650     151926 SH       SOLE             34319          0     117607
VISIBLE GENETICS INC           COMM STK   92829S104     1190      40000 SH       SOLE                 0          0      40000
VISIBLE GENETICS INC           COMM STK   92829S104     9371     350000 SH       SOLE                 0          0     350000
VISUAL NETWORKS INC            COMM STK   928444108     6607      83500 SH       SOLE             39800          0      43700
VISX INC DE                    COMM STK   92844S105     3868      74700 SH       SOLE             38400          0      36300
VITESSE SEMICONDUCTOR          COMM STK   928497106     8487     161940 SH       SOLE             94940          0      67000
VITRIA TECHNOLOGY INC          COMM STK   92849Q104      281       1200 SH       SOLE               400          0        800
VODAFONE AIRTOUCH PLC          ADR        92857T107   740614   14961890 SH       SOLE           1987700          0   12974190
VOICESTREAM WIRELESS CORP      COMM STK   928615103   320981    2258941 SH       SOLE            378641          0    1880300
VORNADO REALTY TRUST           COMM STK   929042109    54161    1666500 SH       SOLE            272100          0    1394400
VULCAN MATERIALS COMPANY       COMM STK   929160109     2951      73900 SH       SOLE             33100          0      40800
W D 40 COMPANY                 COMM STK   929236107      752      34000 SH       SOLE             11800          0      22200
WEBS INDEX FD INC              INVCOSTK   92923H889      212      13000 SH       SOLE                 0          0      13000
WACHOVIA CORPORATION           COMM STK   929771103    12649     186014 SH       SOLE             70470          0     115544
WADDELL & REED FINANCIAL       COMM STK   930059100    89769    3309443 SH       SOLE            721151          0    2588292
WADDELL & REED FINANCIAL       COMM STK   930059209    88562    3524841 SH       SOLE            232256          0    3292585
WAL-MART STORES INC.           COMM STK   931142103   691127    9998226 SH       SOLE           3057920          0    6940306
WALGREEN COMPANY               COMM STK   931422109    26101     892345 SH       SOLE            447556          0     444789
WARNACO GROUP INC              COMM STK   934390105    11523     935900 SH       SOLE            184200          0     751700
WARNER-LAMBERT COMPANY         COMM STK   934488107   454247    5543829 SH       SOLE           1604795          0    3939034
WASHINGTON FEDERAL INC         COMM STK   938824109      204      10360 SH       SOLE              7150          0       3210
WASHINGTON GAS LIGHT CO.       COMM STK   938837101      756      27500 SH       SOLE             26100          0       1400
WASHINGTON MUTUAL INC.         COMM STK   939322103    28278    1087599 SH       SOLE            383440          0     704159
WASHINGTON POST COMPANY        COMM STK   939640108    52708      94820 SH       SOLE             43400          0      51420
WASHINGTON REAL ESTATE         COMM STK   939653101      398      26500 SH       SOLE             26500          0          0
WASTE CONNECTIONS INC          COMM STK   941053100     7172     500000 SH       SOLE                 0          0     500000
WASTE MANAGEMENT INC.          COMM STK   94106L109   154878    9011096 SH       SOLE           1273568          0    7737528
WASTE MANAGEMENT INC.          CONV BND   94106LAA7    28115   32105000 PRN      SOLE          15480000          0   16625000
WATERLINK INC                  COMM STK   94155N105     1874     666350 SH       SOLE                 0          0     666350
WATERLINK INC                  COMM STK   94155N105     3059    1223700 SH       SOLE            187900          0    1035800
WATERS CORPORATION             COMM STK   941848103    71041    1340400 SH       SOLE            257200          0    1083200
WATSCO INC                     COMM STK   942622200    38418    3322599 SH       SOLE            517700          0    2804899
WATSON PHARMACEUTICALS INC.    COMM STK   942683103    17727     495000 SH       SOLE            158100          0     336900
WAUSAU-MOSINEE PAPER CORP      COMM STK   943315101    11742    1004680 SH       SOLE            265780          0     738900
WEATHERFORD INTERNATIONAL      COMM STK   947074100     9993     250215 SH       SOLE             90175          0     160040
WEBHIRE INC                    COMM STK   94768W104      733      43416 SH       SOLE             41416          0       2000
PAGEMART WIRELESS INC          COMM STK   94769A101     2194     141574 SH       SOLE            141574          0          0
WEBTRENDS CORP                 COMM STK   94844D104    90262    1117800 SH       SOLE            131900          0     985900
WEINGARTEN REALTY              COMM STK   948741103     1406      36100 SH       SOLE             25700          0      10400
WELLPOINT HEALTH               COMM STK   94973H108   225763    3423900 SH       SOLE            749800          0    2674100
WELLS FARGO & COMPANY          COMM STK   949746101   436984   10806408 SH       SOLE           2672708          0    8133700
WENDY'S INTERNATIONAL          COMM STK   950590109     1900      92114 SH       SOLE             39070          0      53044
WESLEY JESSEN VISIONCARE       COMM STK   951018100    55553    1471600 SH       SOLE            222400          0    1249200
WEST TELESERVICES CORP         COMM STK   956188106    22902     933600 SH       SOLE             64600          0     869000
WESTAMERICA BANCORPORATION     COMM STK   957090103     5015     179300 SH       SOLE             38500          0     140800
WESTERN RESOURCES INC.         COMM STK   959425109      874      51400 SH       SOLE             49100          0       2300
WESTERN WATER COMPANY          COMM STK   959881103      913     768700 SH       SOLE             82000          0     686700
WESTERN WIRELESS CORP          COMM STK   95988E204   292565    4387100 SH       SOLE            712400          0    3674700
WESTPOINT STEVENS              COMM STK   961238102     5306     303200 SH       SOLE             80700          0     222500
WESTVACO CORP.                 COMM STK   961548104     2412      73939 SH       SOLE             31607          0      42332
WESTWOOD ONE INC               COMM STK   961815107    11035     145200 SH       SOLE            116450          0      28750
WEYERHAEUSER COMPANY           COMM STK   962166104    57890     806127 SH       SOLE            369264          0     436863
WHIRLPOOL CORPORATION          COMM STK   963320106    89825    1380597 SH       SOLE            303050          0    1077547
WHITE CAP INDUSTRIES INC       COMM STK   963505102     6212     415000 SH       SOLE                 0          0     415000
WHITMAN CORP.                  COMM STK   96647R107      247      18400 SH       SOLE             12000          0       6400
WHITTMAN HART INC              COMM STK   966834103     5497     102450 SH       SOLE             68350          0      34100
WHOLE FOODS MKT INC            COMM STK   966837106    91719    1985800 SH       SOLE            398300          0    1587500
WILD OATS MARKETS INC          COMM STK   96808B107    11685     527400 SH       SOLE             21300          0     506100
WILLAMETTE INDUSTRIES          COMM STK   969133107     4898     105473 SH       SOLE             35218          0      70255
WILLIAMS COMPANIES INC.        COMM STK   969457100    10923     357384 SH       SOLE            167597          0     189787
WILLIAMS SONOMA INC            COMM STK   969904101     6307     137100 SH       SOLE             98500          0      38600
WILMAR INDUSTRY INC            COMM STK   971426101    27490    1587864 SH       SOLE            328164          0    1259700
WILMINGTON TRUST CORPORATION   COMM STK   971807102     7025     145600 SH       SOLE             24500          0     121100
WIND RIVER SYSTEMS INC         COMM STK   973149107    11719     319700 SH       SOLE            111800          0     207900
WINK COMM INC                  COMM STK   974168106    15746     262300 SH       SOLE             11600          0     250700
WINN DIXIE STORES INC          COMM STK   974280109     2560     106951 SH       SOLE             45921          0      61030
WINSTAR COMMUNICATIONS, INC.   COMM STK   975515107     1932      25700 SH       SOLE             24100          0       1600
WISCONSIN CENTRAL TRANS        COMM STK   976592105      392      29200 SH       SOLE              4600          0      24600
WISCONSIN ENERGY CORP.         COMM STK   976657106     1848      96000 SH       SOLE             93200          0       2800
WOODHEAD INDUSTRIES INC        COMM STK   979438108    10005     838100 SH       SOLE            207700          0     630400
WOODWARD GOVERNOR CO           COMM STK   980745103    18202     661900 SH       SOLE            207000          0     454900
WORTHINGTON INDUSTRIES         COMM STK   981811102     1100      66548 SH       SOLE             27776          0      38772
WRIGLEY WM JR                  COMM STK   982526105    10096     121727 SH       SOLE             56542          0      65185
WYNDAM INTERNATIONAL CL A      COMM STK   983101106      467     159130 SH       SOLE              1800          0     157330
XCEED INC                      COMM STK   98388N105     1158      27900 SH       SOLE              7400          0      20500
XILINX INC                     COMM STK   983919101   758664   16685400 SH       SOLE           2103600          0   14581800
XIRCOM                         COMM STK   983922105     3608      48100 SH       SOLE             18000          0      30100
XEROX CORPORATION              COMM STK   984121103   133361    5878155 SH       SOLE            259444          0    5618711
YAHOO INC                      COMM STK   984332106   690595    1595945 SH       SOLE            -33678          0    1629623
YORK INTL CORP NEW             COMM STK   986670107      250       9100 SH       SOLE              5900          0       3200
YOUNG & RUBICAM INC            COMM STK   987425105    16732     236500 SH       SOLE             93200          0     143300
YOUNG BROADCASTING CORPORATION COMM STK   987434107    49307     967400 SH       SOLE            161700          0     805700
ZALE CORP                      COMM STK   988858106     1993      41200 SH       SOLE             40200          0       1000
ZANY BRAINY INC                COMM STK   98906Q101      555      54175 SH       SOLE             39609          0      14566
ZEBRA TECHNOLOGIES CORP        COMM STK   989207105    51677     890500 SH       SOLE             31300          0     859200
ZIONS BANCORPORATION           COMM STK   989701107     1104      18650 SH       SOLE             16650          0       2000
ZOMAX OPTICAL MEDIA   CO       COMM STK   989929104     4495      99400 SH       SOLE             29400          0      70000
DAIMLERCHRYSLER AG             COMM STK   D1668R990     2797      36324 SH       SOLE              6400          0      29924
ACE LIMITED ORDINARY SHS       COMM STK   G0070K103   132913    7964852 SH       SOLE           1787395          0    6177457
AMDOCS LTD                     COMM STK   G02602103     5887     170646 SH       SOLE            170238          0        408
LORAL SPACE AND                COMM STK   G56462107      233       9600 SH       SOLE              3200          0       6400
PARTNER RE LTD                 COMM STK   G6852T105    54057    1666509 SH       SOLE            370900          0    1295609
PXRE GROUP LTD                 COMM STK   G73018106     1524     117200 SH       SOLE             62200          0      55000
RENAISSANCERE HOLDINGS         COMM STK   G7496G103     3981      97400 SH       SOLE             97400          0          0
WHITE MOUNTAINS INS GRP LTD    COMM STK   G9618E107    13966     115900 SH       SOLE             56600          0      59300
XL CAPITAL LTD                 COMM STK   G98255105   172291    3321279 SH       SOLE            487626          0    2833653
MILLICOM INTL CELLULAR         COMM STK   L6388F102    31125     500000 SH       SOLE                 0          0     500000
CHECK POINT SOFTWARE  OR       COMM STK   M22465104     5724      28800 SH       SOLE             25500          0       3300
GILAT SATELLITE NETWORKS       COMM STK   M51474100     6518      54950 SH       SOLE             13750          0      41200
ASM LITHOGRAPHY HLDG           COMM STK   N07059111   159374    1406500 SH       SOLE            126500          0    1280000
KPNQWEST NV                    COMM STK   N50919104    79141    1239000 SH       SOLE            114000          0    1125000
QIAGEN NV             OR       COMM STK   N72482107     7675     100000 SH       SOLE                 0          0     100000
TOOLEX ALPHA NV                COMM STK   N8715N103      166      10000 SH       SOLE               300          0       9700
ROYAL CARIBBEAN CRUISES        COMM STK   V7780T103    65837    1335100 SH       SOLE            282700          0    1052400
FLEXTRONICS INTL LTD ORD       COMM STK   Y2573F102   138439    3007500 SH       SOLE             18400          0    2989100
</TABLE>


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