NEW YORK STATE COMMON RETIREMENT FUND
13F-HR, 1999-07-15
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                                                   UNITED STATES
                              SECURITIES AND EXCHANGE COMMISSION
                                            Washington, D.C. 20549

                                                         FORM 13F

                                                    FORM 13F Cover Page



          Report for the Calendar Year or Quarter Ended:  March 31, 1999

If amended report check here:      |_|                    Amendment Number: ____

This Amendment (Check only one):   |_| is a restatement
                                   |_| adds new holding
                                       entries.

 New York State Common Retirement Fund
- --------------------------------------------------------------------------------
Name of Institutional Investment Manager
 Office of the State Comptroller
 AE Smith State Office Bldg., 6th Floor, Albany, NY 12236
- --------------------------------------------------------------------------------
Business Address         (Street)       (City)            (State)          (Zip)


13F File Number: 28-_____________

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, and tables, are considered integral parts of this form.


Person Signing this Report on Behalf of Reporting Manager:

 John E. Hull, Deputy Comptroller, Division of Investments (518) 474-4003
- --------------------------------------------------------------------------------
Name                               (Title)                            (Phone)

 John E. Hull   (Person DulyAuthorized to Submit This Report)

Albany, NY   May 13, 1999   (Place and Date of Signing)

Report Type:

[X]     13F HOLDINGS REPORT.

[  ]      13F NOTICE.

[  ]      13F COMBINATION REPORT.



<PAGE>

                             Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:            None

Form 13F Information Table Entry Total:      1459

Form 13F Information Table Value Total: $  50041008   (thousands)

<PAGE>

<TABLE>
<CAPTION>

ITEM 1                        ITEM 2       ITEM 3     ITEM 4 ITEM 5
ITEM 6    ITEM 7         ITEM 8

INVSTMNT DISCRTN     VOTING AUTH
                               TITLE                 FAIR    SHARES OF
NAME OF ISSUER                  OF          CUSIP   MARKET   PRINCIPAL
SOLE MANA-  SOLE   SHARED NONE
                               CLASS       NUMBER    VALUE     AMOUNT
(A) GERS       (A)          (B)            (C)
<S>                         <C>            <C>        <C>    <C>            <C>
       <C>
DAIMLERCHRYSLER AG          COMMON STOCK   D1668R12   1926      22446 SH
SOLE          22446     0     0
ACE LTD                     COMMON STOCK   G0070K10   6362     204000 SH
SOLE         204000     0     0
ANNUITY AND LIFE RE(HLDG)   COMMON STOCK   G0391010   3614     158000 SH
SOLE         158000     0     0
FRUIT OF THE LOOM CL A      COMMON STOCK   G3682L10   1460     135800 SH
SOLE         135800     0     0
LORAL SPACE & COMMUNICA     COMMON STOCK   G5646210   8280     573500 SH
SOLE         573500     0     0
PARTNERRE LTD               FOREIGN STOCK  G6852T10   4313     106500 SH
SOLE         106500     0     0
RENAISSANCERE HLDGS LTD     COMMON STOCK   G7496G10   4248     121600 SH
SOLE         121600     0     0
TOMMY HILFIGER              COMMON STOCK   G8915Z10   5200      75500 SH
SOLE          75500     0     0
XL CAPITAL LTD-CL A         COMMON STOCK   G9825510  53489     880475 SH
SOLE         880475     0     0
SBS BROADCASTING SA         COMMON STOCK   L8137F10   1009      31400 SH
SOLE          31400     0     0
CHECK POINT SOFTWARE TECH   COMMON STOCK   M2246510   3066      71300 SH
SOLE          71300     0     0
GILAT SATELLITE NETWORKS    FOREIGN STOCK  M5147410   3120      52000 SH
SOLE          52000     0     0
ASM LITHOGRAPHY HLDG NV     COMMON STOCK   N0705911  13706     304575 SH
SOLE         304575     0     0
ROYAL CARIBBEAN CRUISES     COMMON STOCK   V7780T10  17758     455340 SH
SOLE         455340     0     0
FLEXTRONICS INTL LTD        COMMON STOCK   Y2573F10   9333     183000 SH
SOLE         183000     0     0
ABR INFORMATION SERVICES    COMMON STOCK   00077R10   2643     152105 SH
SOLE         152105     0     0
ADC TELECOMMUNICATIONS      COMMON STOCK   00088610  46591     977000 SH
SOLE         977000     0     0
AFLAC INC                   COMMON STOCK   00105510 137436    2524650 SH
SOLE        2524650     0     0
AGCO CORP                   COMMON STOCK   00108410   2599     396000 SH
SOLE         396000     0     0
AGL RESOURCES INC             COMMON STOCK   00120410   6224     354400 SH
SOLE         354400     0     0
AHL SERVICES INC            COMMON STOCK   00129610   4883     238200 SH
SOLE         238200     0     0
AES CORP                    COMMON STOCK   00130H10  40841    1096406 SH
SOLE        1096406     0     0
AK STEEL HOLDING CORP       COMMON STOCK   00154710   8484     376000 SH
SOLE         376000     0     0
AMR CORP                    COMMON STOCK   00176510  87820    1499600 SH
SOLE        1499600     0     0
A T & T CORP                COMMON STOCK   00195710 647637    8114478 SH
SOLE        8114478     0     0
AT & T CORP LIBERTY MEDIA   COMMON STOCK   00195720 104849    1993708 SH
SOLE        1993708     0     0
AVX CORP                    COMMON STOCK   00244410   1301      81300 SH
SOLE          81300     0     0
ABACUS DIRECT CORP          COMMON STOCK   00255310  10234     124800 SH
SOLE         124800     0     0
ABB AB SPONSORED ADR        FOREIGN STOCK  00256Q10   4726     380000 SH
SOLE         380000     0     0
ABBOTT LABORATORIES         COMMON STOCK   00282410 253948    5424800 SH
SOLE        5424800     0     0
ABERCROMBIE FITCH CO CL A   COMMON STOCK   00289620  40489     438900 SH
SOLE         438900     0     0
ACCLAIM ENTERTAINMENT INC   COMMON STOCK   00432520   1277     142833 SH
SOLE         142833     0     0
ACNIELSEN CORP              COMMON STOCK   00483310  10682     393800 SH
SOLE         393800     0     0
ACTION PERFORMANCE COS      COMMON STOCK   00493310   5606     186100 SH
SOLE         186100     0     0
ACTUATE SOFTWARE CORP       COMMON STOCK   00508B10   4102     124300 SH
SOLE         124300     0     0
ACUSON CORP                 COMMON STOCK   00511310   2416     161750 SH
SOLE         161750     0     0
ACXIOM CORP                 COMMON STOCK   00512510   3204     120900 SH
SOLE         120900     0     0
ADAPTEC INC                 COMMON STOCK   00651F10   3874     169800 SH
SOLE         169800     0     0
ADOBE SYSTEMS               COMMON STOCK   00724F10  11537     203300 SH
SOLE         203300     0     0
AEROQUIP-VICKERS INC        COMMON STOCK   00786910   5473      95500 SH
SOLE          95500     0     0
ADVANCED MICRO DEVICES      COMMON STOCK   00790310  13468     868900 SH
SOLE         868900     0     0
ADVANCED ENERGY IND INC     COMMON STOCK   00797310   2050      87000 SH
SOLE          87000     0     0
ADVENT SOFTWARE INC         COMMON STOCK   00797410   2185      43700 SH
SOLE          43700     0     0
AETNA INC                   COMMON STOCK   00811710  45337     546226 SH
SOLE         546226     0     0
AFFILIATED COMPUTER SVC A   COMMON STOCK   00819010   1789      39100 SH
SOLE          39100     0     0
AFFILIATED MANAGERS GROUP   COMMON STOCK   00825210   3159     121500 SH
SOLE         121500     0     0
AFFYMETRIX INC              COMMON STOCK   00826T10    296       8500 SH
SOLE           8500     0     0
AGOURON PHARMACEUTICALS     COMMON STOCK   00848810  11052     195400 SH
SOLE         195400     0     0
AGRIUM INC                  FOREIGN STOCK  00891610   1539     167500 SH
SOLE         167500     0     0
AIR EXPRESS INTL CORP       COMMON STOCK   00910410   6076     401700 SH
SOLE         401700     0     0
AIR PRODUCTS & CHEMICALS    COMMON STOCK   00915810  25400     741600 SH
SOLE         741600     0     0
AIRBORNE FREIGHT            COMMON STOCK   00926610  11182     360700 SH
SOLE         360700     0     0
AIRGAS INC                  COMMON STOCK   00936310   3342     399100 SH
SOLE         399100     0     0
AIRTOUCH COMMUNICATIONS     COMMON STOCK   00949T10 201405    2084400 SH
SOLE        2084400     0     0
ALASKA AIRGROUP INC         COMMON STOCK   01165910   9144     192500 SH
SOLE         192500     0     0
ALBANY INTL CORP-CL A       COMMON STOCK   01234810   3377     180090 SH
SOLE         180090     0     0
ALBEMARLE CORP              COMMON STOCK   01265310   6342     302900 SH
SOLE         302900     0     0
ALBERTO-CULVER CO-CL B      COMMON STOCK   01306810   4820     206200 SH
SOLE         206200     0     0
ALBERTSONS INC              COMMON STOCK   01310410  43245     794400 SH
SOLE         794400     0     0
ALCAN ALUMINUM LTD          COMMON STOCK   01371610  23727     919200 SH
SOLE         919200     0     0
ALCOA INC                   COMMON STOCK   01381710 106090    2575770 SH
SOLE        2575770     0     0
ALCATEL ALSTHOM - ADR       FOREIGN STOCK  01390420      0          4 SH
SOLE              4     0     0
ALDILA INC                  COMMON STOCK   01438410    373     198800 SH
SOLE         198800     0     0
ALEXANDER & BALDWIN         COMMON STOCK   01448210   5152     262500 SH
SOLE         262500     0     0
ALIANT COMMUNICATIONS INC   COMMON STOCK   01609010   9776     238800 SH
SOLE         238800     0     0
ALKERMERS INC               COMMON STOCK   01642T10   2068      75900 SH
SOLE          75900     0     0
ALLEGHANY CORP              COMMON STOCK   01717510     94        510 SH
SOLE            510     0     0
ALLEGHENY ENERGY INC        COMMON STOCK   01736110  25671     870200 SH
SOLE         870200     0     0
ALLEGHENY TELEDYNE INC      COMMON STOCK   01741510  17290     913017 SH
SOLE         913017     0     0
ALLERGAN INC                COMMON STOCK   01849010  20053     228200 SH
SOLE         228200     0     0
ALLIEDSIGNAL INC            COMMON STOCK   01951210 204827    4164200 SH
SOLE        4164200     0     0
ALLIED WASTE INDUSTRIES     COMMON STOCK   01958930  23198    1606800 SH
SOLE        1606800     0     0
ALLMERICA FINANCIAL CP      COMMON STOCK   01975410    540       9800 SH
SOLE           9800     0     0
ALLSTATE CORP               COMMON STOCK   02000210 136227    3675610 SH
SOLE        3675610     0     0
ALLTEL CORP                 COMMON STOCK   02003910  54942     880830 SH
SOLE         880830     0     0
ALTERA CORP                 COMMON STOCK   02144110  41894     704100 SH
SOLE         704100     0     0
ALZA CORP                   COMMON STOCK   02261510  15790     412800 SH
SOLE         412800     0     0
AMBAC FINANCIAL GROUP INC   COMMON STOCK   02313910  28291     523900 SH
SOLE         523900     0     0
AMERADA HESS CORP           COMMON STOCK   02355110  15359     301900 SH
SOLE         301900     0     0
AMEREN CORPORATION          COMMON STOCK   02360810  17529     484400 SH
SOLE         484400     0     0
AMERICA ONLINE INC          COMMON STOCK   02364J10 587280    3995100 SH
SOLE        3995100     0     0
AMERICAN BANKERS INSUR GP   COMMON STOCK   02445610    374       7200 SH
SOLE           7200     0     0
AMER ELECTRIC POWER         COMMON STOCK   02553710  23971     604000 SH
SOLE         604000     0     0
AMERICAN EXPRESS CO         COMMON STOCK   02581610 179463    1524100 SH
SOLE        1524100     0     0
AMERICAN FINANCIAL GROUP    COMMON STOCK   02593210  13392     380600 SH
SOLE         380600     0     0
AMERICAN GENERAL CORP       COMMON STOCK   02635110  81661    1158305 SH
SOLE        1158305     0     0
AMERICAN GREETINGS-CL A     COMMON STOCK   02637510  13761     542300 SH
SOLE         542300     0     0
AMER HERITAGE LIFE INVEST   COMMON STOCK   02652210    389      16700 SH
SOLE          16700     0     0
AMER HOME PRODUCTS          COMMON STOCK   02660910 348037    5333900 SH
SOLE        5333900     0     0
AMER INTERNATIONAL GROUP    COMMON STOCK   02687410 550178    4561057 SH
SOLE        4561057     0     0
AMERICAN MGMT SYSTEMS       COMMON STOCK   02735210   3354      98300 SH
SOLE          98300     0     0
AMERICAN NATIONAL INSUR     COMMON STOCK   02859110    314       4700 SH
SOLE           4700     0     0
AMER POWER CONVERSION       COMMON STOCK   02906610  19829     734400 SH
SOLE         734400     0     0
AMERICAN SOFTWARE-CL A      COMMON STOCK   02968310   1198     383400 SH
SOLE         383400     0     0
AMERICAN STANDARD CO INC    COMMON STOCK   02971210  15400     448000 SH
SOLE         448000     0     0
AMERICAN TOWER CORP-CL A    COMMON STOCK   02991220   1409      57500 SH
SOLE          57500     0     0
AMER STORES CO              COMMON STOCK   03009610  34244    1037700 SH
SOLE        1037700     0     0
AMERICAN WATER WORKS CO     COMMON STOCK   03041110  14560     499900 SH
SOLE         499900     0     0
AMERCREDIT CORP             COMMON STOCK   03060R10   6864     523000 SH
SOLE         523000     0     0
AMERISOURCE HEALTH CL A     COMMON STOCK   03071P10   6967     203800 SH
SOLE         203800     0     0
AMERITECH CORPORATION       COMMON STOCK   03095410 244561    4244000 SH
SOLE        4244000     0     0
AMETEK INC                  COMMON STOCK   03110010   3652     200100 SH
SOLE         200100     0     0
AMGEN INC                   COMMON STOCK   03116210 145886    1948400 SH
SOLE        1948400     0     0
AMP INC                     COMMON STOCK   03189710  36749     686900 SH
SOLE         686900     0     0
AMSOUTH BANCORP             COMMON STOCK   03216510  14151     311000 SH
SOLE         311000     0     0
ANADARKO PETROLEUM          COMMON STOCK   03251110  23594     625000 SH
SOLE         625000     0     0
ANADIGICS INC               COMMON STOCK   03251510   1257      71300 SH
SOLE          71300     0     0
ANALOG DEVICES              COMMON STOCK   03265410  32365    1087899 SH
SOLE        1087899     0     0
ANALOGIC CORP               COMMON STOCK   03265720    448      13600 SH
SOLE          13600     0     0
ANDREW CORP                 COMMON STOCK   03442510   2805     227850 SH
SOLE         227850     0     0
ANHEUSER BUSCH              COMMON STOCK   03522910 118449    1555984 SH
SOLE        1555984     0     0
ANICOM INC                  COMMON STOCK   03525010    636      72700 SH
SOLE          72700     0     0
ANNTAYLOR STORES            COMMON STOCK   03611510   7901     178800 SH
SOLE         178800     0     0
ANTEC CORP                  COMMON STOCK   03664P10   2197     102200 SH
SOLE         102200     0     0
AO TATNEFT-SPON ADR         COMMON STOCK   03737P30     80      29200 SH
SOLE          29200     0     0
MOSENERGO-SPON ADR          COMMON STOCK   03737630    202      94700 SH
SOLE          94700     0     0
AON CORP                    COMMON STOCK   03738910  50728     802025 SH
SOLE         802025     0     0
APACHE CORP                 COMMON STOCK   03741110   7944     304800 SH
SOLE         304800     0     0
APOLLO GROUP INC-CL A       COMMON STOCK   03760410  15616     522700 SH
SOLE         522700     0     0
APPLE COMPUTER INC          COMMON STOCK   03783310  24093     670400 SH
SOLE         670400     0     0
APRIA HEALTHCARE GROUP      COMMON STOCK   03793310   4688     394800 SH
SOLE         394800     0     0
APPLIED GRAPHICS TECHNOL    COMMON STOCK   03793710    389      51900 SH
SOLE          51900     0     0
APPLIED ANALYTICAL INDS     COMMON STOCK   03793910    507      46100 SH
SOLE          46100     0     0
APEX PC SOLUTIONS INC       COMMON STOCK   03794510   3128     224400 SH
SOLE         224400     0     0
APPLIED DIGITAL ACCESS      COMMON STOCK   03818110     52      23100 SH
SOLE          23100     0     0
APPLIED MICRO CIRCUITS CP   COMMON STOCK   03822W10  11282     263900 SH
SOLE         263900     0     0
APPLIED MATERIALS INC       COMMON STOCK   03822210 113585    1841300 SH
SOLE        1841300     0     0
APPLIED POWER INC CL A      COMMON STOCK   03822510    313      11500 SH
SOLE          11500     0     0
ARCH CHEMICALS INC          COMMON STOCK   03937R10    838      50000 SH
SOLE          50000     0     0
ARCHER-DANIELS-MIDLAND CO   COMMON STOCK   03948310  28434    1935909 SH
SOLE        1935909     0     0
ARMSTRONG WORLD INDS        COMMON STOCK   04247610  10524     232900 SH
SOLE         232900     0     0
ARNOLD INDUSTRIES           COMMON STOCK   04259510   2145     144200 SH
SOLE         144200     0     0
ARROW ELECTRONICS           COMMON STOCK   04273510  12856     857050 SH
SOLE         857050     0     0
ARVIN INDUSTRIES            COMMON STOCK   04333910   5430     161200 SH
SOLE         161200     0     0
ASA HOLDINGS INC            COMMON STOCK   04338Q10    299       8900 SH
SOLE           8900     0     0
ASARCO INC                  COMMON STOCK   04341310   1327      96100 SH
SOLE          96100     0     0
ASCEND COMMUNICATIONS INC   COMMON STOCK   04349110  63010     752925 SH
SOLE         752925     0     0
ASHLAND INC                 COMMON STOCK   04420410  15208     371500 SH
SOLE         371500     0     0
ASSOCIATED BANC-CORP        COMMON STOCK   04548710  13631     426800 SH
SOLE         426800     0     0
AT HOME CORP-SER A          COMMON STOCK   04591910   1166       7400 SH
SOLE           7400     0     0
ASSOC FIRST CAPITAL-CL A    COMMON STOCK   04600810 160326    3562810 SH
SOLE        3562810     0     0
ASTORIA FINANCIAL CORP      COMMON STOCK   04626510  18685     373700 SH
SOLE         373700     0     0
ASTRA AB-SPONS ADR CL A     COMMON STOCK   04629810   9290     405000 SH
SOLE         405000     0     0
ASYST TECHNOLOGIES INC      COMMON STOCK   04648X10    333      24200 SH
SOLE          24200     0     0
ATLANTIC RICHFIELD CO       COMMON STOCK   04882510  75056    1026400 SH
SOLE        1026400     0     0
ATMEL CORP                  COMMON STOCK   04951310   8894     585600 SH
SOLE         585600     0     0
AU BON PAIN CO CL A         COMMON STOCK   05010310   1322     251800 SH
SOLE         251800     0     0
AUTOBYTEL.COM INC           COMMON STOCK   05275N10     92       2200 SH
SOLE           2200     0     0
AUTODESK INC                COMMON STOCK   05276910  16996     420300 SH
SOLE         420300     0     0
AUTOMATIC DATA PROCESSING   COMMON STOCK   05301510  81856    1978400 SH
SOLE        1978400     0     0
AUTOZONE INC                COMMON STOCK   05333210  15570     512600 SH
SOLE         512600     0     0
AVADO BRANDS INC            COMMON STOCK   05336P10    337      56800 SH
SOLE          56800     0     0
AVALONBAY COMMUNITIES INC   COMMON STOCK   05348410    459      14400 SH
SOLE          14400     0     0
AVANT! CORP                 COMMON STOCK   05348710   2283     128600 SH
SOLE         128600     0     0
AVERY DENNISON CORP         COMMON STOCK   05361110  23299     405200 SH
SOLE         405200     0     0
AVIATION SALES COMPANY      COMMON STOCK   05367210   3026      68000 SH
SOLE          68000     0     0
AVNET INC                    COMMON STOCK   05380710  14983     407700 SH
SOLE         407700     0     0
AVON PRODUCTS INC           COMMON STOCK   05430310 110990    2358350 SH
SOLE        2358350     0     0
AWARE INC                   COMMON STOCK   05453N10   4296      91400 SH
SOLE          91400     0     0
BB&T CORPORATION            COMMON STOCK   05493710  34581     955600 SH
SOLE         955600     0     0
BCE INC                     COMMON STOCK   05534B10   6204     140000 SH
SOLE         140000     0     0
BISYS GROUP (THE)           COMMON STOCK   05547210   5918     105200 SH
SOLE         105200     0     0
BJ'S WHOLESALE CLUB INC     COMMON STOCK   05548J10  17319     658200 SH
SOLE         658200     0     0
BJ SERVICES CO              COMMON STOCK   05548210  10239     440400 SH
SOLE         440400     0     0
BP AMOCO PLC-ADR            FOREIGN STOCK  05562210  21526     213125 SH
SOLE         213125     0     0
BMC SOFTWARE INC            COMMON STOCK   05592110  29158     786724 SH
SOLE         786724     0     0
BACOU USA INC               COMMON STOCK   05643910    469      35700 SH
SOLE          35700     0     0
BAKER HUGHES INC            COMMON STOCK   05722410  41695    1714960 SH
SOLE        1714960     0     0
BALL CORP                   COMMON STOCK   05849810   6435     137100 SH
SOLE         137100     0     0
BALLARD MEDICAL PRODUCTS    COMMON STOCK   05856610    878      36000 SH
SOLE          36000     0     0
BALTIMORE GAS & ELECTRIC    COMMON STOCK   05916510  15656     617000 SH
SOLE         617000     0     0
BANCO SANTANDER PUERT RIC   COMMON STOCK   05964610    506      25300 SH
SOLE          25300     0     0
BANCO SANTANDER CHILE ADR   FOREIGN STOCK  05965F10    774      51600 SH
SOLE          51600     0     0
BANCWEST CORP               COMMON STOCK   05979010    425      10000 SH
SOLE          10000     0     0
BANDAG INC                  COMMON STOCK   05981510   4200     147700 SH
SOLE         147700     0     0
BANK OF NEW YORK            COMMON STOCK   06405710 106968    2976500 SH
SOLE        2976500     0     0
BANK ONE CORP               COMMON STOCK   06423A10 240240    4363044 SH
SOLE        4363044     0     0
BANK UNITED CORP-CL A       COMMON STOCK   06541210   4419     108100 SH
SOLE         108100     0     0
BANKAMERICA CORP            COMMON STOCK   06605F10 555499    7865475 SH
SOLE        7865475     0     0
BANKBOSTON CORP             COMMON STOCK   06605R10  82558    1906100 SH
SOLE        1906100     0     0
BANKERS TRUST NEW YORK CP   COMMON STOCK   06636510  28655     324700 SH
SOLE         324700     0     0
BANTA CORP                  COMMON STOCK   06682110   3245     170800 SH
SOLE         170800     0     0
BARD (C R) INC              COMMON STOCK   06738310   8721     172900 SH
SOLE         172900     0     0
BARNES & NOBLE INC          COMMON STOCK   06777410  14090     438600 SH
SOLE         438600     0     0
BARNES GROUP INC            COMMON STOCK   06780610    129       6900 SH
SOLE           6900     0     0
BARRICK GOLD CORP           COMMON STOCK   06790110  27322    1601300 SH
SOLE        1601300     0     0
BARR LABORATORIES INC       COMMON STOCK   06830610   1516      49700 SH
SOLE          49700     0     0
BATTLE MOUNTAIN GOLD CO     COMMON STOCK   07159310   1585     576500 SH
SOLE         576500     0     0
BAUSCH & LOMB INC           COMMON STOCK   07170710  16523     254200 SH
SOLE         254200     0     0
BAXTER INTERNATIONAL INC    COMMON STOCK   07181310  77042    1167300 SH
SOLE        1167300     0     0
BE AEROSPACE INC            COMMON STOCK   07330210    168      11400 SH
SOLE          11400     0     0
BEAR STEARNS COMPANIES      COMMON STOCK   07390210  18301     409530 SH
SOLE         409530     0     0
BEBE STORES INC             COMMON STOCK   07557110    816      19900 SH
SOLE          19900     0     0
BECKMAN COULTER INC         COMMON STOCK   07581110   7792     176100 SH
SOLE         176100     0     0
BECTON DICKINSON            COMMON STOCK   07588710  54358    1418800 SH
SOLE        1418800     0     0
BED BATH & BEYOND INC       COMMON STOCK   07589610  37080    1015900 SH
SOLE        1015900     0     0
BELL & HOWELL CO            COMMON STOCK   07785210    959      32700 SH
SOLE          32700     0     0
BELL ATLANTIC CORP          COMMON STOCK   07785310 287840    5568844 SH
SOLE        5568844     0     0
BELLSOUTH CORP              COMMON STOCK   07986010 252436    6301056 SH
SOLE        6301056     0     0
BELO (A H) CORP SER A       COMMON STOCK   08055510  13976     765800 SH
SOLE         765800     0     0
BEMIS COMPANY               COMMON STOCK   08143710   5747     185000 SH
SOLE         185000     0     0
BERGEN BRUNSWIG CL A        COMMON STOCK   08373910  16424     821192 SH
SOLE         821192     0     0
BERKSHIRE HATHAWAY CL A     COMMON STOCK   08467010  30345        425 SH
SOLE            425     0     0
BERKSHIRE HATHAWAY CL B     COMMON STOCK   08467020  32014      13617 SH
SOLE          13617     0     0
BEST BUY CO INC             COMMON STOCK   08651610  74251    1427900 SH
SOLE        1427900     0     0
BEST SOFTWARE INC           COMMON STOCK   08657910    995      73700 SH
SOLE          73700     0     0
BESTFOODS                   COMMON STOCK   08658U10  66580    1416600 SH
SOLE        1416600     0     0
BETHLEHEM STEEL CORP        COMMON STOCK   08750910   3160     383000 SH
SOLE         383000     0     0
BEVERLY ENTERPRISES         COMMON STOCK   08785130   3207     625800 SH
SOLE         625800     0     0
BINDLEY WESTERN IND         COMMON STOCK   09032410   1899      66500 SH
SOLE          66500     0     0
BINDVIEW DEVELOPMENT CORP   COMMON STOCK   09032710   5076     163100 SH
SOLE         163100     0     0
BIOGEN INC                  COMMON STOCK   09059710  62060     542900 SH
SOLE         542900     0     0
BIOMET INC                  COMMON STOCK   09061310  15940     380100 SH
SOLE         380100     0     0
BIORELIANCE CORP            COMMON STOCK   09095110    439      67500 SH
SOLE          67500     0     0
BLACK & DECKER CORP         COMMON STOCK   09179710  15689     283000 SH
SOLE         283000     0     0
BLACK HILLS CORP            COMMON STOCK   09211310   2945     138200 SH
SOLE         138200     0     0
E.W. BLANCH HLDG            COMMON STOCK   09321010   2520      48000 SH
SOLE          48000     0     0
BLOCK H & R INC             COMMON STOCK   09367110  14421     304400 SH
SOLE         304400     0     0
BLYTH INDUSTRIES INC        COMMON STOCK   09643P10   5485     232150 SH
SOLE         232150     0     0
BOB EVANS FARMS             COMMON STOCK   09676110   5123     256132 SH
SOLE         256132     0     0
BOEING CO                   COMMON STOCK   09702310 162402    4776522 SH
SOLE        4776522     0     0
BOISE CASCADE CORP          COMMON STOCK   09738310   7797     241773 SH
SOLE         241773     0     0
BORDERS GROUP INC           COMMON STOCK   09970910   6884     489500 SH
SOLE         489500     0     0
BORG WARNER AUTOMOTIVE      COMMON STOCK   09972410   7674     160500 SH
SOLE         160500     0     0
BOSTON SCIENTIFIC CORP      COMMON STOCK   10113710  51733    1273436 SH
SOLE        1273436     0     0
BOWATER INC                 COMMON STOCK   10218310  14867     375200 SH
SOLE         375200     0     0
BOWNE & CO                  COMMON STOCK   10304310    272      23300 SH
SOLE          23300     0     0
BRIGGS & STRATTON           COMMON STOCK   10904310   4857      98500 SH
SOLE          98500     0     0
BRIGHAM EXPLORATION CO      COMMON STOCK   10917810    126      45950 SH
SOLE          45950     0     0
BRIGHT HORIZON FAMILY SOL   COMMON STOCK   10919510    766      35000 SH
SOLE          35000     0     0
BRINKER INTERNATIONAL INC   COMMON STOCK   10964110  19357     746299 SH
SOLE         746299     0     0
BRISTOL-MYERS SQUIBB CO     COMMON STOCK   11012210 534950    8342300 SH
SOLE        8342300     0     0
BRITISH AIRWAYS-SPONS ADR   COMMON STOCK   11041930  12517     182400 SH
SOLE         182400     0     0
BRITISH PETROLEUM-ADR       FOREIGN STOCK  11088940   1212      12000 SH
SOLE          12000     0     0
BROADVISION INC             COMMON STOCK   11141210   3812      63800 SH
SOLE          63800     0     0
BROKEN HILL PROPRIETARY     FOREIGN STOCK  11216960   1556      90200 SH
SOLE          90200     0     0
BROOKS AUTOMATION INC       COMMON STOCK   11434A10   2034      90900 SH
SOLE          90900     0     0
BROWN FORMAN-CL B           COMMON STOCK   11563720  12752     221300 SH
SOLE         221300     0     0
BROWNING-FERRIS INDS        COMMON STOCK   11588510  21710     562979 SH
SOLE         562979     0     0
BRUNSWICK CORP              COMMON STOCK   11704310   4829     253300 SH
SOLE         253300     0     0
BUFFETS INC                 COMMON STOCK   11988210   2520     255200 SH
SOLE         255200     0     0
BUILDING ONE SERVICES CP    COMMON STOCK   12011410   1727     100500 SH
SOLE         100500     0     0
BURLINGTON INDS INC         COMMON STOCK   12169310   2663     401900 SH
SOLE         401900     0     0
BURLINGTON NO SANTA FE      COMMON STOCK   12189T10  53773    1635692 SH
SOLE        1635692     0     0
BURLINGTON RESOURCES INC    COMMON STOCK   12201410  29723     744240 SH
SOLE         744240     0     0
BURR-BROWN CORP             COMMON STOCK   12257410   3532     150300 SH
SOLE         150300     0     0
BUSINESS OBJECTS SA-ADR     COMMON STOCK   12328X10   1214      40900 SH
SOLE          40900     0     0
CCB FIN'L CORP              COMMON STOCK   12487510  14035     259600 SH
SOLE         259600     0     0
CBRL GROUP INC              COMMON STOCK   12489V10   6962     386775 SH
SOLE         386775     0     0
CBS CORP                    COMMON STOCK   12490K10 127288    3118837 SH
SOLE        3118837     0     0
MONEY MKT FD FOR EBT        FOREIGN STOCK  12498990      2       1662 SH
SOLE           1662     0     0
CDW COMPUTER CENTERS        COMMON STOCK   12512910   2356      34150 SH
SOLE          34150     0     0
CEC ENTERTAINMENT INC       COMMON STOCK   12513710   5080     141600 SH
SOLE         141600     0     0
CFI PROSERVICES INC         COMMON STOCK   12525N10    628      51800 SH
SOLE          51800     0     0
CIGNA CORP                  COMMON STOCK   12550910  62432     744900 SH
SOLE         744900     0     0
C I T GROUP INC-CLA         COMMON STOCK   12557710    458      15000 SH
SOLE          15000     0     0
CLECO CORPORATION           COMMON STOCK   12561M10   4360     147800 SH
SOLE         147800     0     0
CMAC INVESTMENT CORP        COMMON STOCK   12566210   4680     120000 SH
SOLE         120000     0     0
CMP GROUP INC               COMMON STOCK   12588710   3745     203800 SH
SOLE         203800     0     0
CMS ENERGY CORP             COMMON STOCK   12589610  32973     819200 SH
SOLE         819200     0     0
CNET INC                    COMMON STOCK   12594510   1585      17200 SH
SOLE          17200     0     0
CNF TRANSPORTATION INC      COMMON STOCK   12612W10  11733     310300 SH
SOLE         310300     0     0
CSG SYSTEMS INTL INC        COMMON STOCK   12634910  11989     304000 SH
SOLE         304000     0     0
CSX CORP                    COMMON STOCK   12640810  28588     734200 SH
SOLE         734200     0     0
CVS CORP                    COMMON STOCK   12665010  59453    1251648 SH
SOLE        1251648     0     0
CABLE & WIRELESS-SP ADR     FOREIGN STOCK  12683020  10357     280400 SH
SOLE         280400     0     0
CABLEVISION SYSTEMS CORP    COMMON STOCK   12686C10   4003      54000 SH
SOLE          54000     0     0
CABLETRON SYSTEMS           COMMON STOCK   12692010   4084     498800 SH
SOLE         498800     0     0
CABLE DESIGN TECHNOLOGIES   COMMON STOCK   12692410    293      26600 SH
SOLE          26600     0     0
CABOT CORP                  COMMON STOCK   12705510   9237     434700 SH
SOLE         434700     0     0
CADENCE DESIGN SYSTEMS      COMMON STOCK   12738710  54465    2115150 SH
SOLE        2115150     0     0
CALGON CARBON CORP          COMMON STOCK   12960310   1123     216400 SH
SOLE         216400     0     0
CALLAWAY GOLF               COMMON STOCK   13119310   5057     496400 SH
SOLE         496400     0     0
CALPINE CORPORATION         COMMON STOCK   13134710   3323      91200 SH
SOLE          91200     0     0
CAMBRIDGE TECH PARTNERS     COMMON STOCK   13252410   4966     357900 SH
SOLE         357900     0     0
CAMPBELL SOUP CO            COMMON STOCK   13442910  61214    1504500 SH
SOLE        1504500     0     0
CANADIAN PACIFIC LTD        COMMON STOCK   13592310  15846     810000 SH
SOLE         810000     0     0
CANANDAIGUA BRANDS-CL A     COMMON STOCK   13721920   7607     151000 SH
SOLE         151000     0     0
CAPITAL ONE FINANCIAL       COMMON STOCK   14040H10  30880     204500 SH
SOLE         204500     0     0
CAPITAL SENIOR LIVING CP    COMMON STOCK   14047510    588      83200 SH
SOLE          83200     0     0
CARAUSTAR INDUSTRIES INC    COMMON STOCK   14090910    196       8500 SH
SOLE           8500     0     0
CARDINAL HEALTH INC         COMMON STOCK   14149Y10  62112     941098 SH
SOLE         941098     0     0
CAREY INTL INC              COMMON STOCK   14175010    393      24200 SH
SOLE          24200     0     0
CARLISLE COMPANIES INC      COMMON STOCK   14233910  10865     232400 SH
SOLE         232400     0     0
CARNIVAL CORP               COMMON STOCK   14365810 121523    2502400 SH
SOLE        2502400     0     0
CARRIAGE SVC INC CL A       COMMON STOCK   14390510    585      38700 SH
SOLE          38700     0     0
CAROLINA POWER & LIGHT      COMMON STOCK   14414110  21375     565300 SH
SOLE         565300     0     0
CARPENTER TECHNOLOGY        COMMON STOCK   14428510   3841     148100 SH
SOLE         148100     0     0
CARREKER-ANTINORI INC       COMMON STOCK   14443310    380      55800 SH
SOLE          55800     0     0
CARRIER ACCESS CORP         COMMON STOCK   14446010   8806     113900 SH
SOLE         113900     0     0
CARTER-WALLACE INC          COMMON STOCK   14628510   4705     261400 SH
SOLE         261400     0     0
CASE CORP                   COMMON STOCK   14743R10   6349     250200 SH
SOLE         250200     0     0
CASELLA WASTE SYSTEMS-CLA   COMMON STOCK   14744810   1230      54500 SH
SOLE          54500     0     0
CASEY'S GENERAL STORES      COMMON STOCK   14752810   1948     132100 SH
SOLE         132100     0     0
CATALINA MARKETING CORP     COMMON STOCK   14886710   1426      16600 SH
SOLE          16600     0     0
CATERPILLAR INC             COMMON STOCK   14912310  94397    2054900 SH
SOLE        2054900     0     0
CENDANT CORP                COMMON STOCK   15131310  48270    3028719 SH
SOLE        3028719     0     0
CENTEX CORP                 COMMON STOCK   15231210   9238     276800 SH
SOLE         276800     0     0
CENTOCOR INC                COMMON STOCK   15234210  16330     442100 SH
SOLE         442100     0     0
CENTRAL & SOUTH WEST CORP   COMMON STOCK   15235710  19005     810900 SH
SOLE         810900     0     0
CENTRAL PARKING CORP        COMMON STOCK   15478510    576      16700 SH
SOLE          16700     0     0
CENTURY TELEPHONE ENTPR     COMMON STOCK   15668610  58094     826962 SH
SOLE         826962     0     0
CERIDIAN CORP               COMMON STOCK   15677T10  17009     465200 SH
SOLE         465200     0     0
CERNER CORP                 COMMON STOCK   15678210    814      50700 SH
SOLE          50700     0     0
CHAMPION ENTERPRISES        COMMON STOCK   15849610   6200     320000 SH
SOLE         320000     0     0
CHAMPION INTERNATIONAL      COMMON STOCK   15852510  13813     336400 SH
SOLE         336400     0     0
CHANCELOR MEDIA CORP        COMMON STOCK   15891510  36390     772200 SH
SOLE         772200     0     0
CHARTER ONE FINANCIAL       COMMON STOCK   16090310  33870    1173612 SH
SOLE        1173612     0     0
CHASE MANHATTAN CORP        COMMON STOCK   16161A10 263277    3235352 SH
SOLE        3235352     0     0
CHEESECAKE FACTORY (THE)       COMMON STOCK   16307210   2312      97350 SH
SOLE          97350     0     0
CHESAPEAKE CORP             COMMON STOCK   16515910   4291     158200 SH
SOLE         158200     0     0
CHEVRON CORP                COMMON STOCK   16675110 212343    2392600 SH
SOLE        2392600     0     0
CHILDRENS PLACE             COMMON STOCK   16890510    391      14500 SH
SOLE          14500     0     0
CHIREX INC                  COMMON STOCK   17003810   1093      44600 SH
SOLE          44600     0     0
CHIRON CORP                 COMMON STOCK   17004010  27079    1234364 SH
SOLE        1234364     0     0
CHRIS-CRAFT INDUSTRIES      COMMON STOCK   17052010   9670     211941 SH
SOLE         211941     0     0
CHUBB CORP                  COMMON STOCK   17123210  44314     756700 SH
SOLE         756700     0     0
CHURCH & DWIGHT CO          COMMON STOCK   17134010   4792     117600 SH
SOLE         117600     0     0
CINCINNATI BELL INC         COMMON STOCK   17187010  18996     846600 SH
SOLE         846600     0     0
CINCINNATI FINANCIAL CP     COMMON STOCK   17206210  29445     808097 SH
SOLE         808097     0     0
CINERGY CORP                COMMON STOCK   17247410  23439     852316 SH
SOLE         852316     0     0
CIRCUIT CITY STORES         COMMON STOCK   17273710  71515     933307 SH
SOLE         933307     0     0
CISCO SYSTEMS INC           COMMON STOCK   17275R10 690800    6305075 SH
SOLE        6305075     0     0
CIRRUS LOGIC INC            COMMON STOCK   17275510   2811     440900 SH
SOLE         440900     0     0
CITADEL COMMUNICATIONS CP   COMMON STOCK   17285320   6018     181000 SH
SOLE         181000     0     0
CINTAS CORP                 COMMON STOCK   17290810  47286     723300 SH
SOLE         723300     0     0
CIRCUS CIRCUS ENTERPR       COMMON STOCK   17290910   9639     548850 SH
SOLE         548850     0     0
CITIGROUP INC               COMMON STOCK   17296710 738530   11562118 SH
SOLE       11562118     0     0
CITRIX SYSTEMS INC          COMMON STOCK   17737610  22532     591000 SH
SOLE         591000     0     0
CITY NATIONAL CORP          COMMON STOCK   17856610   9060     293433 SH
SOLE         293433     0     0
CLAIRES STORES INC          COMMON STOCK   17958410   9266     307575 SH
SOLE         307575     0     0
CLARIFY INC                 COMMON STOCK   18049210   2922     109500 SH
SOLE         109500     0     0
CLAYTON HOMES INC           COMMON STOCK   18419010   9545     862810 SH
SOLE         862810     0     0
CLEAR CHANNEL COMMUNICA     COMMON STOCK   18450210  65104     970800 SH
SOLE         970800     0     0
CLEVELAND-CLIFFS INC        COMMON STOCK   18589610   2299      67500 SH
SOLE          67500     0     0
CLOROX CO                   COMMON STOCK   18905410  52727     449935 SH
SOLE         449935     0     0
CLOSURE MEDICAL CORP        COMMON STOCK   18909310    589      15500 SH
SOLE          15500     0     0
COACH USA INC               COMMON STOCK   18975L10   5693     207000 SH
SOLE         207000     0     0
COASTAL CORP                COMMON STOCK   19044110  24776     750800 SH
SOLE         750800     0     0
COCA-COLA COMPANY           COMMON STOCK   19121610 523437    8528500 SH
SOLE        8528500     0     0
COCA-COLA ENTERPRISES       COMMON STOCK   19121910  83880    2772900 SH
SOLE        2772900     0     0
COGNEX CORP                 COMMON STOCK   19242210   8419     355400 SH
SOLE         355400     0     0
COGNIZANT TECH SOLUTIONS    COMMON STOCK   19244610   3111     112100 SH
SOLE         112100     0     0
COLGATE-PALMOLIVE CO        COMMON STOCK   19416210 104963    1140900 SH
SOLE        1140900     0     0
COLONIAL BANCGROUP INC      COMMON STOCK   19549330     43       3600 SH
SOLE           3600     0     0
COLTEC INDUSTRIES INC       COMMON STOCK   19687910    175       9600 SH
SOLE           9600     0     0
COLUMBIA ENERGY GROUP       COMMON STOCK   19764810  19766     378300 SH
SOLE         378300     0     0
COLUMBIA HCA HEALTHCARE     COMMON STOCK   19767710  45108    2381916 SH
SOLE        2381916     0     0
COMAIR HOLDINGS INC         COMMON STOCK   19978910   8765     371000 SH
SOLE         371000     0     0
COMCAST CORP CL A           COMMON STOCK   20030010   1531      24900 SH
SOLE          24900     0     0
COMCAST CORP-SPECIAL CL A   COMMON STOCK   20030020  83128    1320798 SH
SOLE        1320798     0     0
COMDISCO INC                COMMON STOCK   20033610  17984    1006110 SH
SOLE        1006110     0     0
COMERICA INC                COMMON STOCK   20034010  32563     521524 SH
SOLE         521524     0     0
COMMERCE BANCORP INC        COMMON STOCK   20051910    793      19216 SH
SOLE          19216     0     0
COMMERCE BANCSHARES INC     COMMON STOCK   20052510   3454      89725 SH
SOLE          89725     0     0
COMMERCIAL FEDERAL CORP     COMMON STOCK   20164710   3246     140000 SH
SOLE         140000     0     0
COMMERCIAL METALS CO        COMMON STOCK   20172310    282      14100 SH
SOLE          14100     0     0
COMMONWEALTH ENERGY SYS     COMMON STOCK   20280010    551      14500 SH
SOLE          14500     0     0
COMMSCOPE INC               COMMON STOCK   20337210   3601     172000 SH
SOLE         172000     0     0
CIA CERVECERIA UNIDAS-ADR   FOREIGN STOCK  20442910    724      33200 SH
SOLE          33200     0     0
CIA TELECOM CHILE-ADR NEW   FOREIGN STOCK  20444930   1847      78400 SH
SOLE          78400     0     0
COMPASS BANCSHARES INC      COMMON STOCK   20449H10    545      15800 SH
SOLE          15800     0     0
COMPAQ COMPUTER CORP        COMMON STOCK   20449310 272103    8587090 SH
SOLE        8587090     0     0
COMPLETE BUSINESS SOLUT     COMMON STOCK   20452F10   8655     441000 SH
SOLE         441000     0     0
COMPUTER ASSOCIATES INTL    COMMON STOCK   20491210 107717    3028962 SH
SOLE        3028962     0     0
COMPUTER NETWORK TECH CP    COMMON STOCK   20492510   3525     218600 SH
SOLE         218600     0     0
COMPUSA INC                 COMMON STOCK   20493210   4524     646300 SH
SOLE         646300     0     0
COMPUTER SCIENCES CORP      COMMON STOCK   20536310  28355     513800 SH
SOLE         513800     0     0
COMPUWARE CORP              COMMON STOCK   20563810  34540    1446700 SH
SOLE        1446700     0     0
COMSAT CORPORATION          COMMON STOCK   20564D10   9957     344100 SH
SOLE         344100     0     0
COMVERSE TECHNOLOGY INC     COMMON STOCK   20586240  29019     341400 SH
SOLE         341400     0     0
CONAGRA INC                 COMMON STOCK   20588710  42427    1655700 SH
SOLE        1655700     0     0
CONCENTRA MANAGED CARE      COMMON STOCK   20589T10   3816     263200 SH
SOLE         263200     0     0
CONCORD COMMUNICATIONS      COMMON STOCK   20618610   8077     141700 SH
SOLE         141700     0     0
CONCORD EFS INC             COMMON STOCK   20619710  29441    1068137 SH
SOLE        1068137     0     0
CONCURRENT COMPUTER CORP    COMMON STOCK   20671020   1277     319200 SH
SOLE         319200     0     0
CONECTIV INC                COMMON STOCK   20682910  12855     663475 SH
SOLE         663475     0     0
CONEXANT SYSTEMS INC        COMMON STOCK   20714210   6626     239300 SH
SOLE         239300     0     0
CONOCO INC-CL A             COMMON STOCK   20825130   3127     127300 SH
SOLE         127300     0     0
CONSECO INC                 COMMON STOCK   20846410  73627    2384676 SH
SOLE        2384676     0     0
CONSOLIDATED EDISON INC     COMMON STOCK   20911510  33817     746300 SH
SOLE         746300     0     0
CONSOLIDATED NATURAL GAS    COMMON STOCK   20961510  16982     348800 SH
SOLE         348800     0     0
CONSOLIDATED PAPERS         COMMON STOCK   20975910  13310     566400 SH
SOLE         566400     0     0
CONSOLIDATED STORES         COMMON STOCK   21014910  13369     441051 SH
SOLE         441051     0     0
CONTINENTAL AIRLINES-CL B   COMMON STOCK   21079530   2398      63100 SH
SOLE          63100     0     0
CONVERGYS CORP              COMMON STOCK   21248510  21846    1275700 SH
SOLE        1275700     0     0
COOPER CAMERON CORP         COMMON STOCK   21664010    254       7500 SH
SOLE           7500     0     0
COOPER INDUSTRIES INC       COMMON STOCK   21666910  15959     374400 SH
SOLE         374400     0     0
COOPER TIRE & RUBBER        COMMON STOCK   21683110   3877     211000 SH
SOLE         211000     0     0
COORS (ADOLPH) CL B         COMMON STOCK   21701610   5400     100000 SH
SOLE         100000     0     0
CORDANT TECHNOLOGIES INC    COMMON STOCK   21841210   9396     236000 SH
SOLE         236000     0     0
CORNELL CORRECTIONS INC     COMMON STOCK   21914110    779      44500 SH
SOLE          44500     0     0
CORNING INC                 COMMON STOCK   21935010  43410     723500 SH
SOLE         723500     0     0
CORPORATE EXPRESS           COMMON STOCK   21988810    641     123600 SH
SOLE         123600     0     0
CORRECTIONAL PROPERT TRST   COMMON STOCK   22025E10   1077      71800 SH
SOLE          71800     0     0
COST PLUS INC               COMMON STOCK   22148510    771      26250 SH
SOLE          26250     0     0
COSTCO COMPANIES INC        COMMON STOCK   22160Q10  73121     798595 SH
SOLE         798595     0     0
COULTER PHARMACEUTICAL      COMMON STOCK   22211610    394      18100 SH
SOLE          18100     0     0
COUNTRYWIDE CREDIT IND      COMMON STOCK   22237210  27128     723400 SH
SOLE         723400     0     0
COVAD COMMUNICATIONS GRP    COMMON STOCK   22281420    296       4500 SH
SOLE           4500     0     0
COVANCE INC                 COMMON STOCK   22281610  11517     459525 SH
SOLE         459525     0     0
COX COMMUNICATIONS-CL A     COMMON STOCK   22404410   2881      38100 SH
SOLE          38100     0     0
CRANE COMPANY               COMMON STOCK   22439910  12404     512825 SH
SOLE         512825     0     0
CREDENCE SYSTEMS CORP       COMMON STOCK   22530210   1567      73100 SH
SOLE          73100     0     0
CRITICAL PATH INC           COMMON STOCK   22674V10    599       7780 SH
SOLE           7780     0     0
CROMPTON & KNOWLES CORP     COMMON STOCK   22711110   6793     431300 SH
SOLE         431300     0     0
CROSS TIMBERS OIL CO        COMMON STOCK   22757310    707     100075 SH
SOLE         100075     0     0
CROWN CORK & SEAL CO INC    COMMON STOCK   22825510  10797     378000 SH
SOLE         378000     0     0
CUMMINS ENGINE              COMMON STOCK   23102110   6266     176200 SH
SOLE         176200     0     0
CUMULUS MEDIA INC-CL A      COMMON STOCK   23108210    585      49800 SH
SOLE          49800     0     0
CUTTER & BUCK INC           COMMON STOCK   23221710    544      17000 SH
SOLE          17000     0     0
CYPRESS SEMICONDUCTOR       COMMON STOCK   23280610   4380     486700 SH
SOLE         486700     0     0
CYPRUS AMAX MINERALS CO     COMMON STOCK   23280910   3664     302200 SH
SOLE         302200     0     0
CYTEC INDUSTRIES INC        COMMON STOCK   23282010   5734     257000 SH
SOLE         257000     0     0
CYTYC CORP                  COMMON STOCK   23294610    125       9000 SH
SOLE           9000     0     0
D P L INC                   COMMON STOCK   23329310  18505    1121500 SH
SOLE        1121500     0     0
DST SYSTEMS INC             COMMON STOCK   23332610   4325      72000 SH
SOLE          72000     0     0
DTE ENERGY CO               COMMON STOCK   23333110  22348     581400 SH
SOLE         581400     0     0
DALLAS SEMICONDUCTOR        COMMON STOCK   23520410    294       7600 SH
SOLE           7600     0     0
DANA CORP                   COMMON STOCK   23581110  24322     640060 SH
SOLE         640060     0     0
DANAHER CORP                COMMON STOCK   23585110  24589     470600 SH
SOLE         470600     0     0
DARDEN RESTAURANTS INC      COMMON STOCK   23719410  10630     515400 SH
SOLE         515400     0     0
DATA GENERAL CORP           COMMON STOCK   23768810   1164     115000 SH
SOLE         115000     0     0
DATASTREAM SYSTEMS INC      COMMON STOCK   23812410   1010     117100 SH
SOLE         117100     0     0
DAYTON HUDSON CORP          COMMON STOCK   23975310 108246    1624700 SH
SOLE        1624700     0     0
DEAN FOODS CO               COMMON STOCK   24236110   9097     255350 SH
SOLE         255350     0     0
DEERE & CO                  COMMON STOCK   24419910  46875    1213600 SH
SOLE        1213600     0     0
DELL COMPUTER CORP          COMMON STOCK   24702510 415552   10166400 SH
SOLE       10166400     0     0
DELPHI AUTOMOTIVE SYSTEMS   COMMON STOCK   24712610   9058     510300 SH
SOLE         510300     0     0
DELPHI FINACIAL GP-CL A     COMMON STOCK   24713110   2203      65033 SH
SOLE          65033     0     0
DELTA AIR LINES INC         COMMON STOCK   24736110  33624     483800 SH
SOLE         483800     0     0
DELUXE CORP                 COMMON STOCK   24801910   7328     251600 SH
SOLE         251600     0     0
DENDRITE INTL INC           COMMON STOCK   24823910   1702      76300 SH
SOLE          76300     0     0
DENTSPLY INTERNATIONAL      COMMON STOCK   24903010   9470     407300 SH
SOLE         407300     0     0
DESWELL INDUSTRIES INC      COMMON STOCK   25063910   1394     172900 SH
SOLE         172900     0     0
DEUTSCHE BK AG              FOREIGN STOCK  25152530     31        600 SH
SOLE            600     0     0
DEVRY INC                   COMMON STOCK   25189310   1728      59600 SH
SOLE          59600     0     0
DEXTER CORP                 COMMON STOCK   25216510   5021     159400 SH
SOLE         159400     0     0
DIAGEO PLC-SPON ADR         FOREIGN STOCK  25243Q20  43463     950000 SH
SOLE         950000     0     0
DIAGNOSTIC PRODUCTS CORP    COMMON STOCK   25245010   2037      84000 SH
SOLE          84000     0     0
DIAL CORP                   COMMON STOCK   25247D10  23454     682300 SH
SOLE         682300     0     0
DIAMOND OFFSHORE DRILLING   COMMON STOCK   25271C10    357      11300 SH
SOLE          11300     0     0
DIAMOND TECH PARTNERS INC   COMMON STOCK   25276210   7380     320000 SH
SOLE         320000     0     0
DIEBOLD INC                 COMMON STOCK   25365110  11653     485530 SH
SOLE         485530     0     0
DIGI INTERNATIONAL INC      COMMON STOCK   25379810    549      81400 SH
SOLE          81400     0     0
DIGITAL RIVER INC           COMMON STOCK   25388B10   1188      29700 SH
SOLE          29700     0     0
DILLARDS INC-CL A           COMMON STOCK   25406710  11561     455600 SH
SOLE         455600     0     0
DIME BANCORP INC            COMMON STOCK   25429Q10  17254     744100 SH
SOLE         744100     0     0
WALT DISNEY CO (THE)        COMMON STOCK   25468710 213954    6874021 SH
SOLE        6874021     0     0
DIST Y SERVICIO ADR         FOREIGN STOCK  25475310    238      19300 SH
SOLE          19300     0     0
DOCUMENTUM INC              COMMON STOCK   25615910    251      14500 SH
SOLE          14500     0     0
DOLE FOOD CO                COMMON STOCK   25660510  11538     384600 SH
SOLE         384600     0     0
DOLLAR GENERAL CORP         COMMON STOCK   25666910  23054     678045 SH
SOLE         678045     0     0
DOLLAR TREE STORES INC      COMMON STOCK   25674710  15274     493700 SH
SOLE         493700     0     0
DOMINION RESOURCES INC      COMMON STOCK   25747010  37942    1027200 SH
SOLE        1027200     0     0
DONALDSON CO INC            COMMON STOCK   25765110   5627     312600 SH
SOLE         312600     0     0
DONNELLEY (R R) & SONS      COMMON STOCK   25786710  42137    1309100 SH
SOLE        1309100     0     0
DORAL FINANCIAL CORP        COMMON STOCK   25811P10    643      35000 SH
SOLE          35000     0     0
DOVER CORP                  COMMON STOCK   26000310  70086    2131900 SH
SOLE        2131900     0     0
DOW CHEMICAL CO             COMMON STOCK   26054310 105637    1133600 SH
SOLE        1133600     0     0
DOW JONES & CO INC          COMMON STOCK   26056110  14085     298500 SH
SOLE         298500     0     0
DREYERS GRAND ICE CREAM     COMMON STOCK   26187810   1969     152200 SH
SOLE         152200     0     0
DUPONT (E I) DE NEMOURS     COMMON STOCK   26353410 293854    5061000 SH
SOLE        5061000     0     0
DUANE READE INC             COMMON STOCK   26357810   1174      42100 SH
SOLE          42100     0     0
DUKE ENERGY CORP            COMMON STOCK   26439910  63740    1162868 SH
SOLE        1162868     0     0
DUN & BRADSTREET INC        COMMON STOCK   26483B10  18329     514500 SH
SOLE         514500     0     0
DURA PHARMACEUTICALS INC    COMMON STOCK   26632S10    703      49800 SH
SOLE          49800     0     0
EEX CORPORATION             COMMON STOCK   26842V20    364      74699 SH
SOLE          74699     0     0
EG&G INC                    COMMON STOCK   26845710   6391     242300 SH
SOLE         242300     0     0
EMC CORPORATION             COMMON STOCK   26864810 232416    1819300 SH
SOLE        1819300     0     0
ENSCO INTERNATIONAL INC     COMMON STOCK   26874Q10  11087     832800 SH
SOLE         832800     0     0
ENI SPA - ADR               COMMON STOCK   26874R10   1042      16500 SH
SOLE          16500     0     0
E TRADE GROUP, INC          COMMON STOCK   26924610  29098     499000 SH
SOLE         499000     0     0
EAGLE USA AIRFEIGHT INC     COMMON STOCK   27001810   7560     232600 SH
SOLE         232600     0     0
EARTHLINK NETWORK INC       COMMON STOCK   27032210   2460      41000 SH
SOLE          41000     0     0
EASTERN ENTERPRISES         COMMON STOCK   27637F10   2688      73900 SH
SOLE          73900     0     0
EASTMAN CHEMICAL CO         COMMON STOCK   27743210  11182     265850 SH
SOLE         265850     0     0
EASTMAN KODAK CO            COMMON STOCK   27746110  77991    1221000 SH
SOLE        1221000     0     0
EATON CORP                  COMMON STOCK   27805810  17918     250600 SH
SOLE         250600     0     0
ECHOSTAR COMMUN CL A        COMMON STOCK   27876210  19247     235800 SH
SOLE         235800     0     0
ECLIPSYS CORP               COMMON STOCK   27885610   3112     147300 SH
SOLE         147300     0     0
ECOLAB INC                  COMMON STOCK   27886510  28535     803800 SH
SOLE         803800     0     0
EDISON INTERNATIONAL        COMMON STOCK   28102010  26542    1192900 SH
SOLE        1192900     0     0
EDUCATION MANAGEMENT CORP   COMMON STOCK   28139T10    412      13400 SH
SOLE          13400     0     0
EDWARDS (A G) INC           COMMON STOCK   28176010  22294     682029 SH
SOLE         682029     0     0
EL PASO ENERGY CORP         COMMON STOCK   28390510  64927    1986306 SH
SOLE        1986306     0     0
ELAN CORP PLC - ADR         COMMON STOCK   28413120   7994     114610 SH
SOLE         114610     0     0
ELECTRONIC ARTS INC         COMMON STOCK   28551210  18649     392600 SH
SOLE         392600     0     0
ELECTRONIC DATA SYSTEMS     COMMON STOCK   28566110  78070    1603500 SH
SOLE        1603500     0     0
EMBOTELLADORA ANDINA S A    FOREIGN STOCK  29081P20    330      21700 SH
SOLE          21700     0     0
EMERSON ELECTRIC CO         COMMON STOCK   29101110  98533    1861300 SH
SOLE        1861300     0     0
EMMIS COMMUNICATIONS-CL A   COMMON STOCK   29152510   7125     142500 SH
SOLE         142500     0     0
EMPRESA NACL DE ELEC ADR    FOREIGN STOCK  29244T10   1659     118000 SH
SOLE         118000     0     0
ENERGY EAST CORPORATION     COMMON STOCK   29266M10  22113     420700 SH
SOLE         420700     0     0
ENERSIS ADS                 FOREIGN STOCK  29274F10   1577      58800 SH
SOLE          58800     0     0
ENGELHARD CORP              COMMON STOCK   29284510   8228     485812 SH
SOLE         485812     0     0
ENGINEERING ANIMATION INC   COMMON STOCK   29287210    939      22300 SH
SOLE          22300     0     0
ENESCO GROUP INC            COMMON STOCK   29297310   2214     122600 SH
SOLE         122600     0     0
ENRON CORP                  COMMON STOCK   29356110  88118    1371492 SH
SOLE        1371492     0     0
ENTERGY CORP                COMMON STOCK   29364G10  25405     923800 SH
SOLE         923800     0     0
ENTRUST TECHNOLOGIES INC    COMMON STOCK   29384810   4584     135817 SH
SOLE         135817     0     0
EQUANT NV-NY REG SHR        COMMON STOCK   29440910   4515      60000 SH
SOLE          60000     0     0
EQUIFAX INC                 COMMON STOCK   29442910  18769     546000 SH
SOLE         546000     0     0
EQUITABLE COMPANIES INC     COMMON STOCK   29444G10   3304      47200 SH
SOLE          47200     0     0
ERICSSON L M TEL CO - ADR   FOREIGN STOCK  29482140   4105     172372 SH
SOLE         172372     0     0
ETHAN ALLEN INTERIORS INC   COMMON STOCK   29760210   2386      57400 SH
SOLE          57400     0     0
ETHYL CORP                  COMMON STOCK   29765910   1962     461700 SH
SOLE         461700     0     0
EVEREST REINSURANCE HLDGS   COMMON STOCK   29980810  16511     529400 SH
SOLE         529400     0     0
EXPRESS SCRIPTS CL A        COMMON STOCK   30218210  14566     169500 SH
SOLE         169500     0     0
EXTENDED STAY AMERICA INC   COMMON STOCK   30224P10     69       6800 SH
SOLE           6800     0     0
EXXON CORP                  COMMON STOCK   30229010 593487    8410800 SH
SOLE        8410800     0     0
FLIR SYSTEMS INC            COMMON STOCK   30244510   1381      76204 SH
SOLE          76204     0     0
FMC CORP                    COMMON STOCK   30249130   5792     117300 SH
SOLE         117300     0     0
FPL GROUP INC               COMMON STOCK   30257110  34820     653900 SH
SOLE         653900     0     0
FAIR ISAAC & CO INC         COMMON STOCK   30325010   2139      57700 SH
SOLE          57700     0     0
FAIRCHILD CORP (THE)-CL A   COMMON STOCK   30369810    524      51400 SH
SOLE          51400     0     0
FAMILY DOLLAR STORES        COMMON STOCK   30700010  26174    1138000 SH
SOLE        1138000     0     0
FASTENAL CO                 COMMON STOCK   31190010   9111     259850 SH
SOLE         259850     0     0
FDX CORPORATION             COMMON STOCK   31304N10  44391     477320 SH
SOLE         477320     0     0
FEDERAL HOME LN MTG CORP    COMMON STOCK   31340030 193195    3370900 SH
SOLE        3370900     0     0
FEDERAL-MOGUL CORP          COMMON STOCK   31354910  35243     824400 SH
SOLE         824400     0     0
FANNIE MAE                  COMMON STOCK   31358610 256163    3699100 SH
SOLE        3699100     0     0
FEDERAL SIGNAL CORP         COMMON STOCK   31385510   6008     287800 SH
SOLE         287800     0     0
FEDERATED DEPT STORES       COMMON STOCK   31410H10  33625     838000 SH
SOLE         838000     0     0
FERRO CORP                  COMMON STOCK   31540510   5907     238650 SH
SOLE         238650     0     0
FIFTH THIRD BANCORP         COMMON STOCK   31677310  57818     876862 SH
SOLE         876862     0     0
FINL SECURITY ASSURANCE     COMMON STOCK   31769P10    466       9400 SH
SOLE           9400     0     0
FINOVA GROUP INC            COMMON STOCK   31792810  19137     368900 SH
SOLE         368900     0     0
FIRST AMER CORP             COMMON STOCK   31890010    789      21400 SH
SOLE          21400     0     0
FIRST DATA CORP             COMMON STOCK   31996310 114289    2673426 SH
SOLE        2673426     0     0
FIRST HEALTH GROUP CORP     COMMON STOCK   32096010   5950     370400 SH
SOLE         370400     0     0
FIRST SECURITY CORP         COMMON STOCK   33629410  22557    1167982 SH
SOLE        1167982     0     0
FIRST TENNESSEE NATL CORP   COMMON STOCK   33716210  33406     912100 SH
SOLE         912100     0     0
FIRST UNION CORP            COMMON STOCK   33735810 184021    3443677 SH
SOLE        3443677     0     0
FIRST VIRGINIA BANKS INC    COMMON STOCK   33747710  15296     334800 SH
SOLE         334800     0     0
FIRSTAR CORP                COMMON STOCK   33763V10  72636     811576 SH
SOLE         811576     0     0
FISERV INC                  COMMON STOCK   33773810  31031     578675 SH
SOLE         578675     0     0
FIRSTMERIT CORP             COMMON STOCK   33791510    417      16200 SH
SOLE          16200     0     0
FIRSTENERGY CORP            COMMON STOCK   33793210  21652     773300 SH
SOLE         773300     0     0
FLEET FINANCIAL GROUP INC   COMMON STOCK   33891510  74010    1967048 SH
SOLE        1967048     0     0
FLEXIINTL SOFTWARE INC      COMMON STOCK   33892310     97      90900 SH
SOLE          90900     0     0
FLEETWOOD ENTERPRISES       COMMON STOCK   33909910   4008     140000 SH
SOLE         140000     0     0
FLORIDA EAST COAST INDUS    COMMON STOCK   34063210    213       7100 SH
SOLE           7100     0     0
FLORIDA PROGRESS CORP       COMMON STOCK   34110910  27256     722000 SH
SOLE         722000     0     0
FLOW INTERNATIONAL CORP     COMMON STOCK   34346810   1129     114300 SH
SOLE         114300     0     0
FLOWERS INDUSTRIES INC      COMMON STOCK   34349610  15211     617725 SH
SOLE         617725     0     0
FLOWSERVE CORP              COMMON STOCK   34354P10   3572     229500 SH
SOLE         229500     0     0
FLUOR CORP                  COMMON STOCK   34386110   9801     363000 SH
SOLE         363000     0     0
FOCAL INC                   COMMON STOCK   34390910    189      27000 SH
SOLE          27000     0     0
FOAMEX INTERNATIONAL INC    COMMON STOCK   34412310    635     112900 SH
SOLE         112900     0     0
FOOTSTAR INC                COMMON STOCK   34491210    867      27100 SH
SOLE          27100     0     0
FORD MOTOR COMPANY          COMMON STOCK   34537010 251080    4429200 SH
SOLE        4429200     0     0
FORE SYSTEMS INC            COMMON STOCK   34544910  13034     689400 SH
SOLE         689400     0     0
FOREST LABORATORIES INC     COMMON STOCK   34583810  43916     779000 SH
SOLE         779000     0     0
FORRESTER RESEARCH INC      COMMON STOCK   34656310     91       3000 SH
SOLE           3000     0     0
FORT JAMES CORP             COMMON STOCK   34747110  38469    1214000 SH
SOLE        1214000     0     0
FORTUNE BRANDS INC          COMMON STOCK   34963110  20501     532500 SH
SOLE         532500     0     0
FOSSIL INC                  COMMON STOCK   34988210   1188      39850 SH
SOLE          39850     0     0
FOSTER WHEELER CORP         COMMON STOCK   35024410    557      45900 SH
SOLE          45900     0     0
FOUNDATION HEALTH SYS CLA   COMMON STOCK   35040410   8902     730440 SH
SOLE         730440     0     0
FOX ENTERTAINMNT GRP-CL A   COMMON STOCK   35138T10   9477     349400 SH
SOLE         349400     0     0
FRANCHISE MTG ACCEPTANCE    COMMON STOCK   35181D10   1276     176000 SH
SOLE         176000     0     0
FRANKLIN RESOURCES INC      COMMON STOCK   35461310  24649     876400 SH
SOLE         876400     0     0
FREEPORT-MCMORAN COPPER A   COMMON STOCK   35671D10    297      29000 SH
SOLE          29000     0     0
FREEPORT-MCMORAN COPPER B   COMMON STOCK   35671D85   5311     488391 SH
SOLE         488391     0     0
FREMONT GENERAL CORP        COMMON STOCK   35728810   1045      54800 SH
SOLE          54800     0     0
FRITZ COMPANIES INC         COMMON STOCK   35884610    344      50000 SH
SOLE          50000     0     0
FRONTIER CORP               COMMON STOCK   35906P10  29299     564800 SH
SOLE         564800     0     0
FULLER H B CO               COMMON STOCK   35969410   5687      96500 SH
SOLE          96500     0     0
FURNITURE BRANDS INTL INC   COMMON STOCK   36092110   8624     389800 SH
SOLE         389800     0     0
G & K SERVICES INC-CL A     COMMON STOCK   36126810    610      13200 SH
SOLE          13200     0     0
GATX CORP                   COMMON STOCK   36144810   9980     303000 SH
SOLE         303000     0     0
GPU INC                     COMMON STOCK   36225X10  16100     431500 SH
SOLE         431500     0     0
GTE CORP                    COMMON STOCK   36232010 242200    4003300 SH
SOLE        4003300     0     0
GADZOOKS INC                COMMON STOCK   36255310    739      99400 SH
SOLE          99400     0     0
GALILEO INTERNATIONAL INC   COMMON STOCK   36354710    808      16700 SH
SOLE          16700     0     0
GANNETT CO                  COMMON STOCK   36473010  75424    1197200 SH
SOLE        1197200     0     0
GAP INC                     COMMON STOCK   36476010 139882    2078100 SH
SOLE        2078100     0     0
GARDEN RIDGE CORP           COMMON STOCK   36541P10   1666     244550 SH
SOLE         244550     0     0
GARTNER GROUP INC CL A      COMMON STOCK   36665110   3610     160000 SH
SOLE         160000     0     0
GATEWAY 2000 INC            COMMON STOCK   36783310  46794     682500 SH
SOLE         682500     0     0
GENCORP INC                 COMMON STOCK   36868210   5051     280600 SH
SOLE         280600     0     0
GENERAL DYNAMICS CORP       COMMON STOCK   36955010  26227     408200 SH
SOLE         408200     0     0
GENERAL ELECTRIC CO         COMMON STOCK   369604101325044   11977800 SH
SOLE       11977800     0     0
GENERAL INSTRUMENT CORP     COMMON STOCK   37012010  18245     601900 SH
SOLE         601900     0     0
GENERAL MILLS INC           COMMON STOCK   37033410  48866     646700 SH
SOLE         646700     0     0
GENERAL MOTORS CORP         COMMON STOCK   37044210 223338    2567100 SH
SOLE        2567100     0     0
GENERAL MOTORS-CL H         COMMON STOCK   37044283   2431      48200 SH
SOLE          48200     0     0
GENERAL NUTRITION COS       COMMON STOCK   37047F10   6710     479300 SH
SOLE         479300     0     0
GENERAL SEMICONDUCTOR INC   COMMON STOCK   37078710   1052     145100 SH
SOLE         145100     0     0
GENRAD INC                  COMMON STOCK   37244710   2703     188000 SH
SOLE         188000     0     0
GENUINE PARTS CO            COMMON STOCK   37246010  18137     629500 SH
SOLE         629500     0     0
GENZYME CORP-GENL DIV       COMMON STOCK   37291710  29793     590700 SH
SOLE         590700     0     0
GEORGIA GULF CORP           COMMON STOCK   37320020   2116     189100 SH
SOLE         189100     0     0
GEORGIA PACIFIC CORP        COMMON STOCK   37329810  24740     333200 SH
SOLE         333200     0     0
GEORGIA-PACIFIC (TIMBER)    COMMON STOCK   37329870  13213     588900 SH
SOLE         588900     0     0
GILEAD SCIENCES INC         COMMON STOCK   37555810   6816     149800 SH
SOLE         149800     0     0
GILLETTE COMPANY            COMMON STOCK   37576610 228995    3852700 SH
SOLE        3852700     0     0
GLATFELTER (P H) CO         COMMON STOCK   37731610   2668     238500 SH
SOLE         238500     0     0
GLAXO WELLCOME PLC-SP ADR   FOREIGN STOCK  37733W10  12430     185700 SH
SOLE         185700     0     0
GLENAYRE TECHNOLOGIES INC   COMMON STOCK   37789910    343      99900 SH
SOLE          99900     0     0
GLOBAL DIRECTMAIL CORP      COMMON STOCK   37932110    769      45900 SH
SOLE          45900     0     0
GLOBAL INDUSTRIES LTD       COMMON STOCK   37933610    405      40000 SH
SOLE          40000     0     0
GLOBAL MARINE INC           COMMON STOCK   37935240  12956    1102600 SH
SOLE        1102600     0     0
GLOBAL TELESYSTEMS GROUP    COMMON STOCK   37936U10  23800     425477 SH
SOLE         425477     0     0
GOLDEN STATE BANCORP        COMMON STOCK   38119710    903      40600 SH
SOLE          40600     0     0
GOLDEN WEST FINANCIAL CP     COMMON STOCK   38131710  18479     193500 SH
SOLE         193500     0     0
GOODRICH (B F) CO           COMMON STOCK   38238810   8387     244430 SH
SOLE         244430     0     0
GOODYEAR TIRE & RUBBER CO   COMMON STOCK   38255010  31820     638800 SH
SOLE         638800     0     0
W R GRACE & CO              COMMON STOCK   38388F10   2797     230700 SH
SOLE         230700     0     0
GRAINGER (W W) INC          COMMON STOCK   38480210  14646     340100 SH
SOLE         340100     0     0
GRANITE CONSTRUCTION INC    COMMON STOCK   38732810   4170     178400 SH
SOLE         178400     0     0
GREAT ATLANTIC & PACIFIC    COMMON STOCK   39006410   3897     129900 SH
SOLE         129900     0     0
GREAT LAKES CHEMICAL CORP   COMMON STOCK   39056810   7324     199300 SH
SOLE         199300     0     0
GREATER BAY BANCORP         COMMON STOCK   39164810    493      17000 SH
SOLE          17000     0     0
GREENPORT FINANCIAL CORP    COMMON STOCK   39538410  21517     619200 SH
SOLE         619200     0     0
GTECH HOLDINGS CORP         COMMON STOCK   40051810   6533     268000 SH
SOLE         268000     0     0
GUCCI GROUP                 COMMON STOCK   40156610   3864      48000 SH
SOLE          48000     0     0
GUIDANT CORP                COMMON STOCK   40169810  71535    1182400 SH
SOLE        1182400     0     0
GUILFORD MILLS INC          COMMON STOCK   40179410    189      21600 SH
SOLE          21600     0     0
GULFSTREAM AEROSPACE CORP   COMMON STOCK   40273410  29846     688100 SH
SOLE         688100     0     0
HCIA INC                    COMMON STOCK   40390810    364      80800 SH
SOLE          80800     0     0
HMT TECHNOLOGY CORP         COMMON STOCK   40391710     55      15800 SH
SOLE          15800     0     0
HCR MANOR CARE              COMMON STOCK   40413410   9695     425000 SH
SOLE         425000     0     0
HNC SOFTWARE INC            COMMON STOCK   40425P10    802      24500 SH
SOLE          24500     0     0
HSB GROUP INC               COMMON STOCK   40428N10   6721     181050 SH
SOLE         181050     0     0
HUBCO INC                   COMMON STOCK   40438210    650      19364 SH
SOLE          19364     0     0
HA-LO INDUSTRIES INC        COMMON STOCK   40442910    674      54750 SH
SOLE          54750     0     0
HALLIBURTON CO              COMMON STOCK   40621610  53369    1386200 SH
SOLE        1386200     0     0
HANDLEMAN CO                COMMON STOCK   41025210    155      11600 SH
SOLE          11600     0     0
HANNA (M A) CO              COMMON STOCK   41052210   3738     291775 SH
SOLE         291775     0     0
HANNAFORD BROTHERS CO       COMMON STOCK   41055010  12523     275600 SH
SOLE         275600     0     0
HARCOURT GENERAL INC        COMMON STOCK   41163G10  10493     236800 SH
SOLE         236800     0     0
HARLEY DAVIDSON INC         COMMON STOCK   41282210 111586    1944850 SH
SOLE        1944850     0     0
HARLEYSVILLE GROUP INC      COMMON STOCK   41282410    194      10000 SH
SOLE          10000     0     0
HARMAN INTL IND INCP        COMMON STOCK   41308610    316       8600 SH
SOLE           8600     0     0
HARNISCHFEGER INDUSTRIES    COMMON STOCK   41334510    744     130800 SH
SOLE         130800     0     0
HARRAHS ENTERTAINMENT INC   COMMON STOCK   41361910   8747     458850 SH
SOLE         458850     0     0
HARRIS CORP                 COMMON STOCK   41387510  11310     395100 SH
SOLE         395100     0     0
HARSCO CORP                 COMMON STOCK   41586410   7289     289400 SH
SOLE         289400     0     0
HARTFORD FINANCIAL SVCS     COMMON STOCK   41651510  47978     844500 SH
SOLE         844500     0     0
HARTFORD LIFE INC-CL A      COMMON STOCK   41659210   1744      31700 SH
SOLE          31700     0     0
HASBRO INC                  COMMON STOCK   41805610  45307    1565675 SH
SOLE        1565675     0     0
HAWAIIAN ELECTRIC INDS      COMMON STOCK   41987010   7184     204900 SH
SOLE         204900     0     0
HEALTHSOUTH CORP            COMMON STOCK   42192410  15190    1464133 SH
SOLE        1464133     0     0
HEALTH MGMT ASSOC-CL A      COMMON STOCK   42193310  22929    1881337 SH
SOLE        1881337     0     0
HEALTHCARE FINANCIAL PTRS   COMMON STOCK   42219W10   1949      74600 SH
SOLE          74600     0     0
HEALTHWORLD CORP            COMMON STOCK   42222E10    285      21100 SH
SOLE          21100     0     0
HEILIG-MEYERS CO            COMMON STOCK   42289310   1782     343512 SH
SOLE         343512     0     0
HEINZ (H J) CO              COMMON STOCK   42307410  82958    1751100 SH
SOLE        1751100     0     0
HELLER FINANCIAL INC        COMMON STOCK   42332810   3610     153600 SH
SOLE         153600     0     0
HELMERICH & PAYNE           COMMON STOCK   42345210   3961     174600 SH
SOLE         174600     0     0
HERCULES INC                COMMON STOCK   42705610  29267    1159100 SH
SOLE        1159100     0     0
HERSHEY FOODS CORP          COMMON STOCK   42786610  27123     483800 SH
SOLE         483800     0     0
HEWLETT-PACKARD CO          COMMON STOCK   42823610 233592    3444672 SH
SOLE        3444672     0     0
HIBERNIA CORP-CL A          COMMON STOCK   42865610  15212    1153500 SH
SOLE        1153500     0     0
HILLENBRAND INDUSTRIES      COMMON STOCK   43157310  20142     436100 SH
SOLE         436100     0     0
HILTON HOTELS CORP          COMMON STOCK   43284810  13461     957200 SH
SOLE         957200     0     0
HINDALCO INDS LTD           FOREIGN STOCK  43306410    359      29900 SH
SOLE          29900     0     0
HOLLINGER INTL INC          COMMON STOCK   43556910   6020     443900 SH
SOLE         443900     0     0
HOME DEPOT INC              COMMON STOCK   43707610 371555    5968758 SH
SOLE        5968758     0     0
HOMESTAKE MINING CO         COMMON STOCK   43761410   5894     683339 SH
SOLE         683339     0     0
HOMESTEAD VILLAGE INC       COMMON STOCK   43785110   1513     620600 SH
SOLE         620600     0     0
HON INDUSTRIES INC          COMMON STOCK   43809210   8385     382200 SH
SOLE         382200     0     0
HONEYWELL INC               COMMON STOCK   43850610  31856     420200 SH
SOLE         420200     0     0
HONG KONG TELECOMMUNICAT    FOREIGN STOCK  43857920   3328     170129 SH
SOLE         170129     0     0
HORACE MANN EDUCATORS       COMMON STOCK   44032710   7464     321900 SH
SOLE         321900     0     0
HORMEL FOODS CORP           COMMON STOCK   44045210  16612     466300 SH
SOLE         466300     0     0
HOUGHTON MIFFLIN CO         COMMON STOCK   44156010  11048     235700 SH
SOLE         235700     0     0
HOUSEHOLD INTERNATIONAL     COMMON STOCK   44181510 172740    3786074 SH
SOLE        3786074     0     0
HUBBELL INC-CL B            COMMON STOCK   44351020  17229     430720 SH
SOLE         430720     0     0
HUGHES SUPPLY INC           COMMON STOCK   44448210    259      11400 SH
SOLE          11400     0     0
HUMANA INC                  COMMON STOCK   44485910  10222     592600 SH
SOLE         592600     0     0
HUMAN GENOME SCIENCES INC   COMMON STOCK   44490310    139       4000 SH
SOLE           4000     0     0
HUNT (J B) TRANSPORT SVC    COMMON STOCK   44565810   5252     250100 SH
SOLE         250100     0     0
HUNTINGTON BANKSHARES INC   COMMON STOCK   44615010  21627     699050 SH
SOLE         699050     0     0
HUSSMAN INTERNATIONAL INC   COMMON STOCK   44811010   1909     130000 SH
SOLE         130000     0     0
ICN PHARMACEUTICALS INC     COMMON STOCK   44892410  13024     518350 SH
SOLE         518350     0     0
HYPERION SOLUTIONS CORP     COMMON STOCK   44914M10   1843     127090 SH
SOLE         127090     0     0
IBP INC                     COMMON STOCK   44922310  12902     692700 SH
SOLE         692700     0     0
ICG COMMUNICATIONS INC      COMMON STOCK   44924610  11084     554200 SH
SOLE         554200     0     0
IDEC PHARMACEUTICALS CORP   COMMON STOCK   44937010   7994     155600 SH
SOLE         155600     0     0
IHOP CORP                   COMMON STOCK   44962310   1307      33300 SH
SOLE          33300     0     0
IMC GLOBAL INC              COMMON STOCK   44966910  15937     779800 SH
SOLE         779800     0     0
IMS HEALTH INC              COMMON STOCK   44993410  35818    1081300 SH
SOLE        1081300     0     0
ITC DELTACOM INC            COMMON STOCK   45031T10   4363     200000 SH
SOLE         200000     0     0
ITT EDUCATIONAL SERVICES    COMMON STOCK   45068B10   2258      60100 SH
SOLE          60100     0     0
ITT INDUSTRIES INC          COMMON STOCK   45091110  13715     387700 SH
SOLE         387700     0     0
IDACORP INC                 COMMON STOCK   45110710   6933     235500 SH
SOLE         235500     0     0
IDEXX LABORATORIES INC      COMMON STOCK   45168D10    804      33600 SH
SOLE          33600     0     0
IKON OFFICE SOLUTIONS INC   COMMON STOCK   45171310   4770     372300 SH
SOLE         372300     0     0
ILLINOIS TOOL WORKS         COMMON STOCK   45230810  63057    1019100 SH
SOLE        1019100     0     0
ILLINOVA CORP               COMMON STOCK   45231710   9960     470100 SH
SOLE         470100     0     0
IMATION CORP                COMMON STOCK   45245A10   3834     232350 SH
SOLE         232350     0     0
IMMUNEX CORP                COMMON STOCK   45252810   1482      17800 SH
SOLE          17800     0     0
IMPERIAL CHEM INDS ADR      FOREIGN STOCK  45270450  10217     285300 SH
SOLE         285300     0     0
INCO LTD                    COMMON STOCK   45325840  10999     826200 SH
SOLE         826200     0     0
INCYTE PHARMACEUTICALS      COMMON STOCK   45337C10    361      18000 SH
SOLE          18000     0     0
INDIANA ENERGY INC          COMMON STOCK   45470710   3306     174600 SH
SOLE         174600     0     0
INFORMATION HOLDINGS        COMMON STOCK   45672710   1491      83400 SH
SOLE          83400     0     0
INFORMIX CORP               COMMON STOCK   45677910   8016    1086900 SH
SOLE        1086900     0     0
INFOUSA INC-CL B            COMMON STOCK   45681810    132      29400 SH
SOLE          29400     0     0
INFOUSA INC-CL A            COMMON STOCK   45681820    125      29400 SH
SOLE          29400     0     0
INGERSOLL-RAND CO           COMMON STOCK   45686610  28185     567950 SH
SOLE         567950     0     0
INFORMATION RESOURCES INC   COMMON STOCK   45690510   1013     157421 SH
SOLE         157421     0     0
INLAND STEEL INDUSTRIES     COMMON STOCK   45747210   1953     133000 SH
SOLE         133000     0     0
INSIGHT ENTERPRISES INC     COMMON STOCK   45765U10   9358     378112 SH
SOLE         378112     0     0
INSIGNIA FINANCIAL GROUP    COMMON STOCK   45767A10    920      65400 SH
SOLE          65400     0     0
INTEGRATED DEV TEC          COMMON STOCK   45811810   2867     530400 SH
SOLE         530400     0     0
INTEGRATED PROCESS EQUIP    COMMON STOCK   45812K10    124      13750 SH
SOLE          13750     0     0
INTEL CORP                  COMMON STOCK   45814010 776253    6529990 SH
SOLE        6529990     0     0
INTL BUSINESS MACHINES      COMMON STOCK   45920010 595985    3362400 SH
SOLE        3362400     0     0
INTL FLAVORS & FRAGRANCES   COMMON STOCK   45950610  13417     357200 SH
SOLE         357200     0     0
INTL GAME TECHNOLOGY        COMMON STOCK   45990210  10735     734000 SH
SOLE         734000     0     0
INTL MULTIFOODS CORP        COMMON STOCK   46004310   2547     109250 SH
SOLE         109250     0     0
INTL NETWORK SERVICES       COMMON STOCK   46005310  10637     152100 SH
SOLE         152100     0     0
INTERNATIONAL PAPER CO      COMMON STOCK   46014610  42327    1003300 SH
SOLE        1003300     0     0
INTERPUBLIC GROUP COS       COMMON STOCK   46069010  42781     549350 SH
SOLE         549350     0     0
INTERSTATE BAKERIES         COMMON STOCK   46072H10   9932     460600 SH
SOLE         460600     0     0
INTERSTATE ENERGY CORP      COMMON STOCK   46084510  12825     481700 SH
SOLE         481700     0     0
INTERVOICE INC              COMMON STOCK   46114210   6354     577600 SH
SOLE         577600     0     0
INTIMATE BRANDS INC         COMMON STOCK   46115610   3200      66500 SH
SOLE          66500     0     0
INTUIT INC                  COMMON STOCK   46120210  40191     395000 SH
SOLE         395000     0     0
IPALCO ENTERPRISES INC      COMMON STOCK   46261310  12983     591800 SH
SOLE         591800     0     0
IRKUTSKENERGO-SPON ADR      FOREIGN STOCK  46271410    130      54100 SH
SOLE          54100     0     0
IVAX CORP                   COMMON STOCK   46582310   8468     716850 SH
SOLE         716850     0     0
IVEX PACKAGING CORP         COMMON STOCK   46585510    923      60800 SH
SOLE          60800     0     0
SURGUTNEFTEGAZ-SPON ADR     FOREIGN STOCK  46625F10   1065     169600 SH
SOLE         169600     0     0
JABIL CIRCUIT INC           COMMON STOCK   46631310   5306     131000 SH
SOLE         131000     0     0
JACOBS ENGINEERING GROUP    COMMON STOCK   46981410   6637     168300 SH
SOLE         168300     0     0
JEFFERSON-PILOT CORP        COMMON STOCK   47507010  24357     359512 SH
SOLE         359512     0     0
JOHNSON & JOHNSON           COMMON STOCK   47816010 462098    4942222 SH
SOLE        4942222     0     0
JOHNSON CONTROLS INC        COMMON STOCK   47836610  19268     308900 SH
SOLE         308900     0     0
JONES APPAREL GROUP INC     COMMON STOCK   48007410  30566    1094100 SH
SOLE        1094100     0     0
JOSTENS INC                 COMMON STOCK   48108810   8974     422300 SH
SOLE         422300     0     0
JUNO LIGHTING INC           COMMON STOCK   48204710   1342      59800 SH
SOLE          59800     0     0
KLA-TENCOR CORP             COMMON STOCK   48248010  32294     665000 SH
SOLE         665000     0     0
KMART CORP                  COMMON STOCK   48258410  30567    1818100 SH
SOLE        1818100     0     0
KN ENERGY INC               COMMON STOCK   48262010  12704     637200 SH
SOLE         637200     0     0
K SWISS                     COMMON STOCK   48268610   2740     108500 SH
SOLE         108500     0     0
KV PHARMACEUTICAL CO-CL A   COMMON STOCK   48274020   1552     107062 SH
SOLE         107062     0     0
KANSAS CITY POWER & LIGHT   COMMON STOCK   48513410   9641     391500 SH
SOLE         391500     0     0
KANSAS CITY SOUTHERN INDS   COMMON STOCK   48517010  41975     736400 SH
SOLE         736400     0     0
KAUFMAN & BROAD HOME CORP   COMMON STOCK   48616810   4052     179600 SH
SOLE         179600     0     0
KAYDON CORP                 COMMON STOCK   48658710   6007     207600 SH
SOLE         207600     0     0
KEANE INC                   COMMON STOCK   48666510  10603     497500 SH
SOLE         497500     0     0
KEEBLER FOODS CO            COMMON STOCK   48725610   3909     107100 SH
SOLE         107100     0     0
KELLOGG CO                  COMMON STOCK   48783610  54252    1604500 SH
SOLE        1604500     0     0
KELLSTROM INCS INC          COMMON STOCK   48803510   1868     117700 SH
SOLE         117700     0     0
KELLWOOD CO                 COMMON STOCK   48804410    254      11500 SH
SOLE          11500     0     0
KELLY SERVICES INC CL A     COMMON STOCK   48815220   7538     271625 SH
SOLE         271625     0     0
KEMET CORPORATION           COMMON STOCK   48836010   1331     115700 SH
SOLE         115700     0     0
KENDLE INTERNATIONAL INC    COMMON STOCK   48880L10   4663     231700 SH
SOLE         231700     0     0
KENNAMETAL INC              COMMON STOCK   48917010   3952     224200 SH
SOLE         224200     0     0
KENT ELECTRONICS CORP       COMMON STOCK   49055310    572      57600 SH
SOLE          57600     0     0
KERR MCGEE CORP             COMMON STOCK   49238610   8459     257799 SH
SOLE         257799     0     0
KEYCORP                     COMMON STOCK   49326710  47486    1566560 SH
SOLE        1566560     0     0
KEYSPAN ENERGY              COMMON STOCK   49337K10  24712     983550 SH
SOLE         983550     0     0
KEYSTONE FINANCIAL INC      COMMON STOCK   49348210  10010     310400 SH
SOLE         310400     0     0
KIMBERLY-CLARK CORP         COMMON STOCK   49436810 164385    3429152 SH
SOLE        3429152     0     0
KING WORLD PRODUCTIONS      COMMON STOCK   49566710   8356     273400 SH
SOLE         273400     0     0
KNIGHT-RIDDER INC           COMMON STOCK   49904010  18555     371100 SH
SOLE         371100     0     0
KOHLS CORP                  COMMON STOCK   50025510  76800    1083600 SH
SOLE        1083600     0     0
KROGER COMPANY              COMMON STOCK   50104410  79424    1326500 SH
SOLE        1326500     0     0
KROLL-O'GARA COMPANY        COMMON STOCK   50105010   3640     134200 SH
SOLE         134200     0     0
KULICKE & SOFFA IND INC     COMMON STOCK   50124210   2333      92400 SH
SOLE          92400     0     0
LJL BIOSYSTEMS INC          COMMON STOCK   50187310    191      45000 SH
SOLE          45000     0     0
LG&E ENERGY CORP            COMMON STOCK   50191710  16852     809700 SH
SOLE         809700     0     0
LSI LOGIC CORP              COMMON STOCK   50216110  14212     455700 SH
SOLE         455700     0     0
L-3 COMMUNICATIONS HLDGS    COMMON STOCK   50242410   4829     104400 SH
SOLE         104400     0     0
LAIDLAW INC                 COMMON STOCK   50730K50   9974    1715900 SH
SOLE        1715900     0     0
LAKES GAMING INC            COMMON STOCK   51206P10     33       4050 SH
SOLE           4050     0     0
LAM RESEARCH CORP           COMMON STOCK   51280710   2465      85000 SH
SOLE          85000     0     0
LANCASTER COLONY CORP       COMMON STOCK   51384710   6961     261463 SH
SOLE         261463     0     0
LANCE INC                   COMMON STOCK   51460610   2764     170100 SH
SOLE         170100     0     0
LANDS END INC               COMMON STOCK   51508610   7437     214800 SH
SOLE         214800     0     0
LANDSTAR SYSTEM INC         COMMON STOCK   51509810    113       3400 SH
SOLE           3400     0     0
LATTICE SEMICONDUCTOR       COMMON STOCK   51841510   1344      29500 SH
SOLE          29500     0     0
LAWTER INTERNATIONAL INC    COMMON STOCK   52078610   1124     160533 SH
SOLE         160533     0     0
LEAR CORPORATION            COMMON STOCK   52186510  21984     515000 SH
SOLE         515000     0     0
LEARNING COMPANY INC        COMMON STOCK   52200810   1476      50900 SH
SOLE          50900     0     0
LEE ENTERPRISES             COMMON STOCK   52376810   8413     290100 SH
SOLE         290100     0     0
LEGATO SYSTEMS INC          COMMON STOCK   52465110  21517     416800 SH
SOLE         416800     0     0
LEGGETT & PLATT INC         COMMON STOCK   52466010  31090    1554500 SH
SOLE        1554500     0     0
LEHMAN BROTHERS HLDGS INC   COMMON STOCK   52490810  30407     508900 SH
SOLE         508900     0     0
LEVEL 3 COMMUNICATIONS      COMMON STOCK   52729N10   4726      64900 SH
SOLE          64900     0     0
LEXMARK INTL GROUP CL A     COMMON STOCK   52977110  55792     498700 SH
SOLE         498700     0     0
LIBBEY INC                  COMMON STOCK   52989810    174       5600 SH
SOLE           5600     0     0
LILLY (ELI) & CO            COMMON STOCK   53245710 312022    3676250 SH
SOLE        3676250     0     0
LIMITED INC                 COMMON STOCK   53271610  29519     744965 SH
SOLE         744965     0     0
LINCARE HOLDINGS INC        COMMON STOCK   53279110  11090     394300 SH
SOLE         394300     0     0
LINCOLN NATIONAL CORP       COMMON STOCK   53418710  33301     336800 SH
SOLE         336800     0     0
LINEAR TECHNOLOGY           COMMON STOCK   53567810  50953     994200 SH
SOLE         994200     0     0
LINENS'N THINGS INC         COMMON STOCK   53567910   4356      96000 SH
SOLE          96000     0     0
LITTON INDUSTRIES INC       COMMON STOCK   53802110  21797     375400 SH
SOLE         375400     0     0
LIZ CLAIBORNE INC           COMMON STOCK   53932010   7429     227700 SH
SOLE         227700     0     0
LOCKHEED MARTIN CORP        COMMON STOCK   53983010 106912    2832114 SH
SOLE        2832114     0     0
LOEWS CORP                  COMMON STOCK   54042410  26447     354400 SH
SOLE         354400     0     0
LONE STAR INDUSTRIES INC    COMMON STOCK   54229040    149       4800 SH
SOLE           4800     0     0
LONE-STAR STEAKHOUSE        COMMON STOCK   54230710   2368     231000 SH
SOLE         231000     0     0
LONGS DRUG STORES INC       COMMON STOCK   54316210   3512     115400 SH
SOLE         115400     0     0
LONGVIEW FIBRE CO           COMMON STOCK   54321310   3387     292900 SH
SOLE         292900     0     0
LOUISIANA-PACIFIC CORP      COMMON STOCK   54634710   6500     348980 SH
SOLE         348980     0     0
LOWES COMPANIES             COMMON STOCK   54866110  95657    1581100 SH
SOLE        1581100     0     0
LUBRIZOL CORP               COMMON STOCK   54927110   7949     353300 SH
SOLE         353300     0     0
LUCENT TECHNOLOGIES INC     COMMON STOCK   54946310 547169    5066381 SH
SOLE        5066381     0     0
LYONDELL CHEMICAL CO        COMMON STOCK   55207810   6762     494000 SH
SOLE         494000     0     0
M & T BANK CORP             COMMON STOCK   55261F10  19256      40200 SH
SOLE          40200     0     0
MBIA INC                    COMMON STOCK   55262C10  20143     347300 SH
SOLE         347300     0     0
MBNA CORP                   COMMON STOCK   55262L10 138467    5799650 SH
SOLE        5799650     0     0
MCN ENERGY GROUP INC        COMMON STOCK   55267J10   9080     565300 SH
SOLE         565300     0     0
MCI WORLDCOM INC            COMMON STOCK   55268B10 634026    7159079 SH
SOLE        7159079     0     0
MFC BANCORP LIMITED         COMMON STOCK   55271X10   1312     194350 SH
SOLE         194350     0     0
MGIC INVESTMENT CORP        COMMON STOCK   55284810  12626     360100 SH
SOLE         360100     0     0
MGM GRAND INC               COMMON STOCK   55295310    155       4600 SH
SOLE           4600     0     0
MKS INSTRUMENTS INC         COMMON STOCK   55306N10    667      49900 SH
SOLE          49900     0     0
MACK-CALI REALTY CORP       COMMON STOCK   55448910    370      12600 SH
SOLE          12600     0     0
MACROMEDIA INC              COMMON STOCK   55610010   8890     196200 SH
SOLE         196200     0     0
MAGNETEK INC                COMMON STOCK   55942410   1497     178700 SH
SOLE         178700     0     0
MAIL-WELL INC               COMMON STOCK   56032120   3195     238900 SH
SOLE         238900     0     0
MALLINCKRODT INC            COMMON STOCK   56123210   6092     228800 SH
SOLE         228800     0     0
MANPOWER INC                COMMON STOCK   56418H10  11683     499800 SH
SOLE         499800     0     0
MAPICS INC                  COMMON STOCK   56491010    394      51200 SH
SOLE          51200     0     0
MANUGISTICS GROUP INC       COMMON STOCK   56501110    498      75100 SH
SOLE          75100     0     0
MARCAM SOLUTIONS            COMMON STOCK   56614A10     54      19550 SH
SOLE          19550     0     0
MARCUS CORP                 COMMON STOCK   56633010   2400     200000 SH
SOLE         200000     0     0
MARK IV INDUSTRIES INC      COMMON STOCK   57038710   4169     320709 SH
SOLE         320709     0     0
MARSH & MCLENNAN COS        COMMON STOCK   57174810  64293     865900 SH
SOLE         865900     0     0
MARSHALL & ILSLEY CORP      COMMON STOCK   57183410  43069     776900 SH
SOLE         776900     0     0
MARRIOTT INTL CLASS A       COMMON STOCK   57190320  25427     756200 SH
SOLE         756200     0     0
MARTIN MARIETTA MATERIALS   COMMON STOCK   57328410  17992     315300 SH
SOLE         315300     0     0
MASCO CORP                  COMMON STOCK   57459910  29493    1044000 SH
SOLE        1044000     0     0
MATRIX PHARMACEUTICAL INC   COMMON STOCK   57684410    114      54362 SH
SOLE          54362     0     0
MATTEL INC                  COMMON STOCK   57708110  51482    2064434 SH
SOLE        2064434     0     0
MAXIM INTEGRATED PROD       COMMON STOCK   57772K10  49914     922200 SH
SOLE         922200     0     0
MAY DEPARTMENT STORES CO    COMMON STOCK   57777810 118879    3038450 SH
SOLE        3038450     0     0
MAXXAM INC                  COMMON STOCK   57791310   2302      45700 SH
SOLE          45700     0     0
MAYTAG CORP                 COMMON STOCK   57859210  19187     317800 SH
SOLE         317800     0     0
MCCORMICK & CO-NON VOTING   COMMON STOCK   57978020  13505     465700 SH
SOLE         465700     0     0
MCDERMOTT INTERNATIONAL     COMMON STOCK   58003710   5106     201700 SH
SOLE         201700     0     0
MCDONALDS CORP              COMMON STOCK   58013510 298686    6591700 SH
SOLE        6591700     0     0
MCGRAW-HILL COMPANIES INC   COMMON STOCK   58064510  64670    1186600 SH
SOLE        1186600     0     0
MCKESSON CORP HBOC INC      COMMON STOCK   58155Q10  87901    1331838 SH
SOLE        1331838     0     0
MCLEODUSA INC-CL A          COMMON STOCK   58226610   6216     148000 SH
SOLE         148000     0     0
MEAD CORP                   COMMON STOCK   58283410  16620     540500 SH
SOLE         540500     0     0
MEDIAONE GROUP INC          COMMON STOCK   58440J10 139093    2192600 SH
SOLE        2192600     0     0
MEDIA GENERAL INC-CL A      COMMON STOCK   58440410   7919     170300 SH
SOLE         170300     0     0
MEDIALINK WORLDWIDE INC     COMMON STOCK   58445P10    899      71185 SH
SOLE          71185     0     0
MEDICAL MANAGER CORP        COMMON STOCK   58461C10   4912     212400 SH
SOLE         212400     0     0
MEDICIS PHARMACEUT CL A     COMMON STOCK   58469030   6682     222725 SH
SOLE         222725     0     0
MEDIMMUNE INC               COMMON STOCK   58469910   6665     112600 SH
SOLE         112600     0     0
MEDQUIST INC                COMMON STOCK   58494910   5829     194300 SH
SOLE         194300     0     0
MEDPARTNERS INC             COMMON STOCK   58503X10    429      90400 SH
SOLE          90400     0     0
MEDTRONIC INC               COMMON STOCK   58505510 219312    3051300 SH
SOLE        3051300     0     0
MELLON BANK CORP            COMMON STOCK   58550910  77021    1094442 SH
SOLE        1094442     0     0
MEMBERWORKS INC             COMMON STOCK   58600210   5075     140000 SH
SOLE         140000     0     0
MENTOR CORP                 COMMON STOCK   58718810   2644     180000 SH
SOLE         180000     0     0
MENTOR GRAPHICS CORP        COMMON STOCK   58720010   4945     366300 SH
SOLE         366300     0     0
MERCANTILE BANCORPORATION   COMMON STOCK   58734210  24654     519025 SH
SOLE         519025     0     0
MERCANTILE BANKSHARES       COMMON STOCK   58740510  17330     468375 SH
SOLE         468375     0     0
MERCK & CO INC              COMMON STOCK   58933110 640816    7997704 SH
SOLE        7997704     0     0
MERCURY GENERAL CORP        COMMON STOCK   58940010    534      15300 SH
SOLE          15300     0     0
MERCURY INTERACTIVE CORP    COMMON STOCK   58940510  12052     338300 SH
SOLE         338300     0     0
MEREDITH CORP               COMMON STOCK   58943310  18199     578900 SH
SOLE         578900     0     0
MERITOR AUTOMOTIVE INC      COMMON STOCK   59000G10   6820     440000 SH
SOLE         440000     0     0
MERRILL LYNCH & CO          COMMON STOCK   59018810 124670    1408700 SH
SOLE        1408700     0     0
MESA AIR GROUP INC          COMMON STOCK   59047910    523      83600 SH
SOLE          83600     0     0
METAMOR WORLDWIDE INC       COMMON STOCK   59133P10   2920     208600 SH
SOLE         208600     0     0
METHANEX CORP               COMMON STOCK   59151K10   1333     410000 SH
SOLE         410000     0     0
METRIS COMPANIES            COMMON STOCK   59159810    258       6400 SH
SOLE           6400     0     0
METRO INFORMATION SVCS      COMMON STOCK   59162P10   3359     184700 SH
SOLE         184700     0     0
METROMEDIA FIBER NETW CLA   COMMON STOCK   59168910   3523      68000 SH
SOLE          68000     0     0
FRED MEYER INC              COMMON STOCK   59290710  35609     604830 SH
SOLE         604830     0     0
MICROSOFT CORP              COMMON STOCK   594918101612130   17987500 SH
SOLE       17987500     0     0
MICROSOFT CORP RESTRICTED   COMMON STOCK   59491899   1411      15746 SH
SOLE          15746     0     0
MICRO WAREHOUSE INC         COMMON STOCK   59501B10   4726     293100 SH
SOLE         293100     0     0
MICROCHIP TECHNOLOGY INC    COMMON STOCK   59501710  13847     399900 SH
SOLE         399900     0     0
MICRON TECHNOLOGY           COMMON STOCK   59511210  47229     980100 SH
SOLE         980100     0     0
MIDAMERICAN ENERGY HLDGS    COMMON STOCK   59562V10  12762     455800 SH
SOLE         455800     0     0
MIDWAY GAMES INC            COMMON STOCK   59814810    513      59100 SH
SOLE          59100     0     0
MILACRON INC                COMMON STOCK   59870910   1854     117700 SH
SOLE         117700     0     0
MILLER (HERMAN) INC         COMMON STOCK   60054410   9961     545800 SH
SOLE         545800     0     0
AMERICAN SATTELLITE WTS     COMMON STOCK   60081397      0       1500 SH
SOLE           1500     0     0
MILLIPORE CORP              COMMON STOCK   60107310   3327     137900 SH
SOLE         137900     0     0
MINDSPRING ENTERPRISES      COMMON STOCK   60268310   3959      46000 SH
SOLE          46000     0     0
MINERALS TECH               COMMON STOCK   60315810   6984     145500 SH
SOLE         145500     0     0
MINNESOTA MINING & MFG CO   COMMON STOCK   60405910 164706    2328000 SH
SOLE        2328000     0     0
MINNESOTA POWER & LIGHT     COMMON STOCK   60411010   8461     428400 SH
SOLE         428400     0     0
MIRAGE RESORTS INC          COMMON STOCK   60462E10  11868     558500 SH
SOLE         558500     0     0
MISSISSIPPI CHEMICAL CORP   COMMON STOCK   60528820    128      13600 SH
SOLE          13600     0     0
MOBIL CORP                  COMMON STOCK   60705910 281556    3199500 SH
SOLE        3199500     0     0
MODINE MANUFACTURING CO     COMMON STOCK   60782810   4950     176400 SH
SOLE         176400     0     0
MODIS PROFESSIONAL SVCS     COMMON STOCK   60783010   6311     696435 SH
SOLE         696435     0     0
MOLECULAR DIVICES CORP      COMMON STOCK   60851C10   3748     138800 SH
SOLE         138800     0     0
MOLEX INC                   COMMON STOCK   60855410  31695    1078963 SH
SOLE        1078963     0     0
ROBERT MONDAVI A            COMMON STOCK   60920010    876      24500 SH
SOLE          24500     0     0
MONSANTO CO                 COMMON STOCK   61166210 156656    3410200 SH
SOLE        3410200     0     0
MONTANA POWER CO            COMMON STOCK   61208510  26902     365700 SH
SOLE         365700     0     0
MOORE CORP LTD              COMMON STOCK   61578510   2882     291800 SH
SOLE         291800     0     0
MORGAN J P & COMPANY        COMMON STOCK   61688010  79034     640600 SH
SOLE         640600     0     0
MORGAN ST DEAN WITTER       COMMON STOCK   61744644 234750    2348970 SH
SOLE        2348970     0     0
MORTON INTERNATIONAL INC    COMMON STOCK   61933510  13836     376500 SH
SOLE         376500     0     0
MOSAIX INC                  COMMON STOCK   61945410    658      78600 SH
SOLE          78600     0     0
MOTIVEPOWER INDUSTRIES      COMMON STOCK   61980K10   6794     270400 SH
SOLE         270400     0     0
MOTOROLA INC                COMMON STOCK   62007610 232810    3178300 SH
SOLE        3178300     0     0
MURPHY OIL CORP             COMMON STOCK   62671710  18094     436000 SH
SOLE         436000     0     0
MYLAN LABORATORIES          COMMON STOCK   62853010  28310    1031800 SH
SOLE        1031800     0     0
MYLEX CORP                  COMMON STOCK   62854610    455      70000 SH
SOLE          70000     0     0
NCH CORP                    COMMON STOCK   62885010   1676      35100 SH
SOLE          35100     0     0
NCR CORPORATION             COMMON STOCK   62886E10  37472     749444 SH
SOLE         749444     0     0
NAC RE CORP                 COMMON STOCK   62890710   4537      84500 SH
SOLE          84500     0     0
NFO WORLDWIDE INC           COMMON STOCK   62910N10   1541     154100 SH
SOLE         154100     0     0
NIPSCO INDUSTRIES INC       COMMON STOCK   62914010  21506     796500 SH
SOLE         796500     0     0
NABISCO HOLDINGS-CL A       COMMON STOCK   62952610   7490     180200 SH
SOLE         180200     0     0
NABORS INDUSTRIES INC       COMMON STOCK   62956810  12193     670400 SH
SOLE         670400     0     0
NACCO INDUSTRIES-CL A       COMMON STOCK   62957910   2066      27900 SH
SOLE          27900     0     0
NALCO CHEMICAL CO           COMMON STOCK   62985310   5358     201700 SH
SOLE         201700     0     0
NATIONAL CITY CORP          COMMON STOCK   63540510  75418    1136240 SH
SOLE        1136240     0     0
NATL COMMERCE BANCORP       COMMON STOCK   63544910    402      17600 SH
SOLE          17600     0     0
NATIONAL COMPUTER SYS INC   COMMON STOCK   63551910    407      16600 SH
SOLE          16600     0     0
NATIONAL DATA CORP          COMMON STOCK   63562110   3360      80000 SH
SOLE          80000     0     0
NATL EQUIPMENT SERVICES     COMMON STOCK   63584710    731      79000 SH
SOLE          79000     0     0
NATIONAL FUEL GAS CO        COMMON STOCK   63618010  10001     254800 SH
SOLE         254800     0     0
NATIONAL SEMICONDUCTOR      COMMON STOCK   63764010   5127     550600 SH
SOLE         550600     0     0
NATIONAL SERVICE INDS INC   COMMON STOCK   63765710   4752     139500 SH
SOLE         139500     0     0
NAVISTAR INTERNATIONAL CP   COMMON STOCK   63934E10   8584     213600 SH
SOLE         213600     0     0
NETWORK ASSOCIATES INC      COMMON STOCK   64093810  29669     966803 SH
SOLE         966803     0     0
NETEGRITY INC               COMMON STOCK   64110P10    126      11242 SH
SOLE          11242     0     0
NETGRAVITY INC              COMMON STOCK   64111410   2549      61600 SH
SOLE          61600     0     0
NETWORK APPLIANCE INC       COMMON STOCK   64120L10  15431     304800 SH
SOLE         304800     0     0
NEVADA POWER CO             COMMON STOCK   64142310   7658     309400 SH
SOLE         309400     0     0
NEW CENTURY ENERGIES INC    COMMON STOCK   64352U10  13094     384425 SH
SOLE         384425     0     0
NEW ENGLAND ELECTRIC SYS    COMMON STOCK   64400110  20098     414400 SH
SOLE         414400     0     0
NEW ERA NETWORKS INC        COMMON STOCK   64431210  13584     200500 SH
SOLE         200500     0     0
NEW YORK TIMES-CL A         COMMON STOCK   65011110  18469     648040 SH
SOLE         648040     0     0
NEWBRIDGE NETWORKS CP F+    COMMON STOCK   65090110  13230     420000 SH
SOLE         420000     0     0
NEWELL RUBBERMAID INC       COMMON STOCK   65122910  81986    1726018 SH
SOLE        1726018     0     0
NEWMONT MINING CORP         COMMON STOCK   65163910   9465     540844 SH
SOLE         540844     0     0
NEWPORT CORP                COMMON STOCK   65182410    223      18000 SH
SOLE          18000     0     0
NEWPORT NEWS SHIPBUILDING   COMMON STOCK   65222810   7199     227200 SH
SOLE         227200     0     0
NEWS CORP LTD-ADR           FOREIGN STOCK  65248770  10905     369660 SH
SOLE         369660     0     0
NEWS CORP LTD-SP ADR PFD    FOREIGN STOCK  65248780  29288    1065000 SH
SOLE        1065000     0     0
NEXTEL COMMUNICATIONS-CLA   COMMON STOCK   65332V10  41928    1144782 SH
SOLE        1144782     0     0
NIAGARA MOHAWK HOLDINGS     COMMON STOCK   65352010   7893     587400 SH
SOLE         587400     0     0
NIELSEN MEDIA RESEARCH      COMMON STOCK   65392930   2295      92966 SH
SOLE          92966     0     0
NICOR INC                   COMMON STOCK   65408610   5829     162200 SH
SOLE         162200     0     0
NIKE INC-CL B               COMMON STOCK   65410610  59407    1029800 SH
SOLE        1029800     0     0
NINE WEST GROUP INC         COMMON STOCK   65440D10   5157     208900 SH
SOLE         208900     0     0
NOBLE AFFILIATES            COMMON STOCK   65489410  10240     353100 SH
SOLE         353100     0     0
NOKIA CORP ADR CL A         FOREIGN STOCK  65490220  35495     227900 SH
SOLE         227900     0     0
NOBLE DRILLING CORP         COMMON STOCK   65504210  35626    2050400 SH
SOLE        2050400     0     0
NORDSON CORP                COMMON STOCK   65566310   5709     102400 SH
SOLE         102400     0     0
NORDSTROM INC               COMMON STOCK   65566410  18835     460800 SH
SOLE         460800     0     0
NORFOLK SOUTHERN            COMMON STOCK   65584410  32919    1248100 SH
SOLE        1248100     0     0
NORTH FORK BANCORPORATION   COMMON STOCK   65942410  21490    1017300 SH
SOLE        1017300     0     0
NORTHEAST UTILITIES         COMMON STOCK   66439710  11580     834600 SH
SOLE         834600     0     0
NORTHERN STATES POWER CO    COMMON STOCK   66577210  11995     517300 SH
SOLE         517300     0     0
NORTHERN TELECOM LTD        COMMON STOCK   66581510 132613    2134613 SH
SOLE        2134613     0     0
NORTHERN TRUST CORP         COMMON STOCK   66585910  33695     379400 SH
SOLE         379400     0     0
NORTHROP GRUMMAN CORP       COMMON STOCK   66680710  15496     258800 SH
SOLE         258800     0     0
NOVA CORP                   COMMON STOCK   66978410  18438     702400 SH
SOLE         702400     0     0
NOVARTIS AG ADR             FOREIGN STOCK  66987V10   5866      72640 SH
SOLE          72640     0     0
NOVELL INC                  COMMON STOCK   67000610  28434    1128900 SH
SOLE        1128900     0     0
NOVELLUS SYSTEMS INC        COMMON STOCK   67000810   2467      44750 SH
SOLE          44750     0     0
NOVOSTE CORP                COMMON STOCK   67010C10    372      15500 SH
SOLE          15500     0     0
NUCOR CORP                  COMMON STOCK   67034610  12333     279900 SH
SOLE         279900     0     0
OEA INC                     COMMON STOCK   67082610    966     117100 SH
SOLE         117100     0     0
OGE ENERGY CORP             COMMON STOCK   67083710  11626     515300 SH
SOLE         515300     0     0
OAK INDUSTRIES INC          COMMON STOCK   67140050   5448     171600 SH
SOLE         171600     0     0
OAKWOOD HOMES               COMMON STOCK   67409810   4085     291800 SH
SOLE         291800     0     0
OCCIDENTAL PETROLEUM CORP   COMMON STOCK   67459910  20147    1119300 SH
SOLE        1119300     0     0
OCEAN ENERGY INC            COMMON STOCK   67481E10   6726     987300 SH
SOLE         987300     0     0
OCWEN FINANCIAL CORP        COMMON STOCK   67574610     23       2600 SH
SOLE           2600     0     0
OFFICEMAX INC               COMMON STOCK   67622M10   6581     763000 SH
SOLE         763000     0     0
OFFICE DEPOT INC            COMMON STOCK   67622010  73231    1956075 SH
SOLE        1956075     0     0
OGDEN CORP                  COMMON STOCK   67634610   7520     312500 SH
SOLE         312500     0     0
OHIO CASUALTY CORP          COMMON STOCK   67724010     70       1800 SH
SOLE           1800     0     0
LUKOIL HOLDING-SPON ADR     COMMON STOCK   67786210    704      26300 SH
SOLE          26300     0     0
OLD KENT FINANCIAL CORP     COMMON STOCK   67983310  30545     721900 SH
SOLE         721900     0     0
OLD REPUBLIC INTL CORP      COMMON STOCK   68022310  16639     911725 SH
SOLE         911725     0     0
OLIN CORP                   COMMON STOCK   68066520   4793     476300 SH
SOLE         476300     0     0
OLSTEN CORP                 COMMON STOCK   68138510   2823     456250 SH
SOLE         456250     0     0
OMNICARE INC                COMMON STOCK   68190410  12051     632200 SH
SOLE         632200     0     0
OMNICOM GROUP INC           COMMON STOCK   68191910  57875     724000 SH
SOLE         724000     0     0
OMEGA RESEARCH INC          COMMON STOCK   68211E10    403      37700 SH
SOLE          37700     0     0
ONEMAIN.COM INC             COMMON STOCK   68267P10    457      12600 SH
SOLE          12600     0     0
ONEOK INC                   COMMON STOCK   68268010   3289     132900 SH
SOLE         132900     0     0
OPTICAL COATING LABORATOR   COMMON STOCK   68382910   5626     117200 SH
SOLE         117200     0     0
ORACLE CORPORATION          COMMON STOCK   68389X10 128695    4879437 SH
SOLE        4879437     0     0
OREGON STEEL MILLS INC      COMMON STOCK   68607910   1322     126700 SH
SOLE         126700     0     0
ORIENTAL FINANCIAL GROUP    COMMON STOCK   68618W10    350      12533 SH
SOLE          12533     0     0
ORION CAPITAL CORP          COMMON STOCK   68626810    172       5500 SH
SOLE           5500     0     0
OSTEOTECH INC               COMMON STOCK   68858210   4218     122700 SH
SOLE         122700     0     0
OUTBACK STEAKHOUSE INC      COMMON STOCK   68989910  17547     535800 SH
SOLE         535800     0     0
OVERSEAS SHIPHOLDING        COMMON STOCK   69036810   2592     222980 SH
SOLE         222980     0     0
OWENS CORNING               COMMON STOCK   69073F10   6652     209100 SH
SOLE         209100     0     0
OWENS-ILLINOIS INC          COMMON STOCK   69076840  12275     491000 SH
SOLE         491000     0     0
OXFORD HEALTH PLANS         COMMON STOCK   69147110   7828     501000 SH
SOLE         501000     0     0
PC CONNECTION INC           COMMON STOCK   69318J10   2269     130600 SH
SOLE         130600     0     0
PECO ENERGY CO              COMMON STOCK   69330410  33245     718800 SH
SOLE         718800     0     0
P G & E CORP                COMMON STOCK   69331C10  40187    1293738 SH
SOLE        1293738     0     0
PIMCO ADVISORS HLDGS LP     COMMON STOCK   69338P10    569      18100 SH
SOLE          18100     0     0
PMC-SIERRA INC              COMMON STOCK   69344F10   1253      17600 SH
SOLE          17600     0     0
THE PMI GROUP INC           COMMON STOCK   69344M10  10495     226300 SH
SOLE         226300     0     0
PNC BANK CORP               COMMON STOCK   69347510  58641    1055400 SH
SOLE        1055400     0     0
P P & L RESOURCES INC       COMMON STOCK   69349910  11019     445200 SH
SOLE         445200     0     0
PPG INDUSTRIES              COMMON STOCK   69350610  39719     775000 SH
SOLE         775000     0     0
PRI AUTOMATION INC          COMMON STOCK   69357H10   3095     147400 SH
SOLE         147400     0     0
PSS WORLD MEDICAL INC       COMMON STOCK   69366A10   5670     643400 SH
SOLE         643400     0     0
PACCAR INC                  COMMON STOCK   69371810  11689     283790 SH
SOLE         283790     0     0
PACIFIC CENTURY FINL CORP   COMMON STOCK   69405810  10703     512730 SH
SOLE         512730     0     0
PACIFICARE HEALTH-CL A      COMMON STOCK   69511210   6019     100000 SH
SOLE         100000     0     0
PACIFICARE HEALTH SYS-CLB   COMMON STOCK   69511220  26227     384283 SH
SOLE         384283     0     0
PACIFICORP                  COMMON STOCK   69511410  16510     957100 SH
SOLE         957100     0     0
PACKAGED ICE INC            COMMON STOCK   69514810    151      24600 SH
SOLE          24600     0     0
PAGING NETWORK INC          COMMON STOCK   69554210   1256     268000 SH
SOLE         268000     0     0
PAINE WEBBER GROUP INC      COMMON STOCK   69562910  43712    1096225 SH
SOLE        1096225     0     0
PALL CORP                   COMMON STOCK   69642930   6708     405033 SH
SOLE         405033     0     0
PAPA JOHN'S INTL INC        COMMON STOCK   69881310  14163     320975 SH
SOLE         320975     0     0
PARAMETRIC TECHNOLOGY CP    COMMON STOCK   69917310  16803     850800 SH
SOLE         850800     0     0
PARKER DRILLING CO          COMMON STOCK   70108110   1537     431500 SH
SOLE         431500     0     0
PARKER HANNIFIN CORP        COMMON STOCK   70109410  13767     401950 SH
SOLE         401950     0     0
PATTERSON DENTAL CO         COMMON STOCK   70341210    519      12000 SH
SOLE          12000     0     0
PAYCHEX INC                 COMMON STOCK   70432610  26543     559533 SH
SOLE         559533     0     0
PAYLESS SHOESOURCE INC      COMMON STOCK   70437910  10225     219888 SH
SOLE         219888     0     0
PEGASUS SYSTEMS INC         COMMON STOCK   70590610   4438     111300 SH
SOLE         111300     0     0
PENNEY (J C) CO INC         COMMON STOCK   70816010  42752    1055600 SH
SOLE        1055600     0     0
PENNZOIL-QUAKER STATE CO    COMMON STOCK   70932310   5194     419735 SH
SOLE         419735     0     0
PENTAIR INC                 COMMON STOCK   70963110   8066     239000 SH
SOLE         239000     0     0
PEOPLES ENERGY CORP         COMMON STOCK   71103010   4621     143000 SH
SOLE         143000     0     0
PEOPLES HERITAGE FIN'L GP   COMMON STOCK   71114710    423      23500 SH
SOLE          23500     0     0
PEOPLESOFT INC              COMMON STOCK   71271310  26081    1783300 SH
SOLE        1783300     0     0
PEP BOYS MANNY MO JK        COMMON STOCK   71327810   2230     146200 SH
SOLE         146200     0     0
PEPSICO INC                 COMMON STOCK   71344810 206124    5259954 SH
SOLE        5259954     0     0
PERCLOSE INC                COMMON STOCK   71361C10   2449      79000 SH
SOLE          79000     0     0
PEREGRINE SYSTEMS INC       COMMON STOCK   71366Q10  10541     313500 SH
SOLE         313500     0     0
PERFORMANCE FOOD GROUP      COMMON STOCK   71375510   1376      52400 SH
SOLE          52400     0     0
PERKIN-ELMER CORP           COMMON STOCK   71404110  16986     175000 SH
SOLE         175000     0     0
PERRIGO COMPANY             COMMON STOCK   71429010   3157     435500 SH
SOLE         435500     0     0
PERSONNEL GROUP OF AMER     COMMON STOCK   71533810   1124     156400 SH
SOLE         156400     0     0
PETROLEUM GEO-SVCS ADR      COMMON STOCK   71659710   1575     103300 SH
SOLE         103300     0     0
PETSMART                    COMMON STOCK   71676810    398      49500 SH
SOLE          49500     0     0
PHARMACIA & UPJOHN INC      COMMON STOCK   71694110 129175    2070935 SH
SOLE        2070935     0     0
PFIZER INC                  COMMON STOCK   71708110 715530    5156975 SH
SOLE        5156975     0     0
PHARMACEUTICAL PRODUCT      COMMON STOCK   71712410   2752      82000 SH
SOLE          82000     0     0
PHARMACOPEIA INC            COMMON STOCK   71713B10    438      60400 SH
SOLE          60400     0     0
PHELPS DODGE CORP           COMMON STOCK   71726510  10086     204800 SH
SOLE         204800     0     0
PHILIP MORRIS COMPANIES     COMMON STOCK   71815410 310741    8831000 SH
SOLE        8831000     0     0
PHILLIPS PETROLEUM          COMMON STOCK   71850710  42842     906700 SH
SOLE         906700     0     0
PHOENIX INVT PARTNERS       COMMON STOCK   71908510    838      97200 SH
SOLE          97200     0     0
PHOTRONICS INC              COMMON STOCK   71940510    373      20000 SH
SOLE          20000     0     0
PIER 1 IMPORTS INC          COMMON STOCK   72027910    619      76200 SH
SOLE          76200     0     0
PINNACLE SYSTEMS INC        COMMON STOCK   72348110   8722     191700 SH
SOLE         191700     0     0
PINNACLE WEST CAPITAL CP    COMMON STOCK   72348410  20192     555100 SH
SOLE         555100     0     0
PIONEER HI-BRED INTL        COMMON STOCK   72368610  27700     736200 SH
SOLE         736200     0     0
PIONEER NATURAL RESOURCES   COMMON STOCK   72378710   6280     810300 SH
SOLE         810300     0     0
PIRELLI S P A - ADR         FOREIGN STOCK  72425820   5743    2015000 SH
SOLE        2015000     0     0
PITNEY-BOWES INC            COMMON STOCK   72447910  90997    1427400 SH
SOLE        1427400     0     0
PITTSTON BRINKS GROUP       COMMON STOCK   72570110   6040     257000 SH
SOLE         257000     0     0
PLACER DOME INC             COMMON STOCK   72590610   8882     793900 SH
SOLE         793900     0     0
PLATINUM TECHNOLOGY INC     COMMON STOCK   72764T10  14619     573300 SH
SOLE         573300     0     0
PLAYERS INTERNATIONAL INC   COMMON STOCK   72790310    406      64900 SH
SOLE          64900     0     0
POGO PRODUCING CO           COMMON STOCK   73044810    615      47300 SH
SOLE          47300     0     0
POLAROID CORP               COMMON STOCK   73109510   5080     251653 SH
SOLE         251653     0     0
POLICY MGMT SYSTEMS         COMMON STOCK   73110810   7920     258600 SH
SOLE         258600     0     0
POLYCOM INC                 COMMON STOCK   73172K10   4669     249000 SH
SOLE         249000     0     0
POLYMER GROUP INC           COMMON STOCK   73174510    431      46600 SH
SOLE          46600     0     0
POPULAR INC                 COMMON STOCK   73317410    299       9700 SH
SOLE           9700     0     0
POST PROPERTIES INC         COMMON STOCK   73746410    979      27000 SH
SOLE          27000     0     0
POTLATCH CORP               COMMON STOCK   73762810   3601     106100 SH
SOLE         106100     0     0
POTOMAC ELECTRIC POWER      COMMON STOCK   73767910  17240     743500 SH
SOLE         743500     0     0
POWER INTEGRATIONS INC      COMMON STOCK   73927610   4661     146800 SH
SOLE         146800     0     0
POWERWAVE TECHNOLOGIES      COMMON STOCK   73936310    752      26500 SH
SOLE          26500     0     0
PRAXAIR INC                 COMMON STOCK   74005P10  23239     644400 SH
SOLE         644400     0     0
PREPAID LEGAL SERVICES      COMMON STOCK   74006510   1262      51500 SH
SOLE          51500     0     0
PRECISION CASTPARTS         COMMON STOCK   74018910   6142     152600 SH
SOLE         152600     0     0
PRECISION RESPONSE CORP     COMMON STOCK   74031410    240      73800 SH
SOLE          73800     0     0
PREMARK INTERNATIONAL       COMMON STOCK   74045910  12757     387300 SH
SOLE         387300     0     0
PREMIER PARKS INC           COMMON STOCK   74054020   5260     141200 SH
SOLE         141200     0     0
PRESIDENTIAL LIFE CORP      COMMON STOCK   74088410    535      29800 SH
SOLE          29800     0     0
PRICE (T ROWE) ASSOC        COMMON STOCK   74147710  31219     908200 SH
SOLE         908200     0     0
PRIMARK CORP                COMMON STOCK   74190310   2053      96600 SH
SOLE          96600     0     0
PROCTER & GAMBLE CO         COMMON STOCK   74271810 477367    4874200 SH
SOLE        4874200     0     0
PROFESSIONAL DETAILING      COMMON STOCK   74312N10   4915     187700 SH
SOLE         187700     0     0
PROGRESS SOFTWARE CORP      COMMON STOCK   74331210   1525      44700 SH
SOLE          44700     0     0
PROGRESSIVE CORP            COMMON STOCK   74331510  33120     230800 SH
SOLE         230800     0     0
PROJECT SOFTWARE & DEVLOP   COMMON STOCK   74339P10    642      26200 SH
SOLE          26200     0     0
PROLOGIS TRUST              COMMON STOCK   74341010   8471     413200 SH
SOLE         413200     0     0
PROMUS HOTEL CORP           COMMON STOCK   74342P10  20747     570354 SH
SOLE         570354     0     0
PROTECTIVE LIFE CORP        COMMON STOCK   74367410  23528     621200 SH
SOLE         621200     0     0
PROVIDENT COMPANIES INC     COMMON STOCK   74386210  15650     452800 SH
SOLE         452800     0     0
PROVIDENT FINANCIAL GROUP   COMMON STOCK   74386610  10503     273700 SH
SOLE         273700     0     0
PROVINCE HEALTHCARE CO      COMMON STOCK   74397710   4198     226909 SH
SOLE         226909     0     0
PROVIDIAN FINANCIAL CORP    COMMON STOCK   74406A10  63074     573400 SH
SOLE         573400     0     0
PROXIM INC                  COMMON STOCK   74428410   4071     141600 SH
SOLE         141600     0     0
PUBLIC SERVICE OF N MEX     COMMON STOCK   74449910   4650     273500 SH
SOLE         273500     0     0
PUBLIC SERVICE ENTERPRISE   COMMON STOCK   74457310  28327     741800 SH
SOLE         741800     0     0
PUGET SOUND ENERGY INC      COMMON STOCK   74533210  12391     537300 SH
SOLE         537300     0     0
PULTE CORP                  COMMON STOCK   74586710   4185     201100 SH
SOLE         201100     0     0
QRS CORP                    COMMON STOCK   74726X10   1476      23600 SH
SOLE          23600     0     0
QLOGIC CORP                 COMMON STOCK   74727710  10230     152400 SH
SOLE         152400     0     0
QUADRAMED CORP              COMMON STOCK   74730W10   1694     222100 SH
SOLE         222100     0     0
QUAKER OATS CO              COMMON STOCK   74740210  32059     515000 SH
SOLE         515000     0     0
QUALCOMM INC                COMMON STOCK   74752510  58680     471800 SH
SOLE         471800     0     0
QUANTUM CORP                COMMON STOCK   74790610  22693    1260700 SH
SOLE        1260700     0     0
QUEENS COUNTY BANCORP INC   COMMON STOCK   74824210    560      20750 SH
SOLE          20750     0     0
QUESTAR CORP                COMMON STOCK   74835610   8638     510000 SH
SOLE         510000     0     0
QUIKSILVER INC              COMMON STOCK   74838C10   1162      27500 SH
SOLE          27500     0     0
QUINTILES TRANSNATIONAL     COMMON STOCK   74876710  19275     510600 SH
SOLE         510600     0     0
QUORUM HEALTH GROUP INC     COMMON STOCK   74908410   3797     379700 SH
SOLE         379700     0     0
R & B FALCON CORP           COMMON STOCK   74912E10    158      18300 SH
SOLE          18300     0     0
RJR NABISCO HOLDINGS CORP   COMMON STOCK   74960K87  25240    1009600 SH
SOLE        1009600     0     0
RPM INC                     COMMON STOCK   74968510   9180     689545 SH
SOLE         689545     0     0
RF MICRO DEVICES INC        COMMON STOCK   74994110  20247     211600 SH
SOLE         211600     0     0
RADISYS CORP                COMMON STOCK   75045910   1211      39000 SH
SOLE          39000     0     0
RALSTON-RALSTON PURINA GR   COMMON STOCK   75127730  39770    1490200 SH
SOLE        1490200     0     0
RANGER OIL LTD              COMMON STOCK   75280510   2897     724300 SH
SOLE         724300     0     0
RATIONAL SOFTWARE CORP      COMMON STOCK   75409P20  15401     574400 SH
SOLE         574400     0     0
RAYCHEM CORP                COMMON STOCK   75460310   5810     257500 SH
SOLE         257500     0     0
RAYONIER INC                COMMON STOCK   75490710   7796     194600 SH
SOLE         194600     0     0
RAYTHEON CO-CL A            COMMON STOCK   75511130   6866     118900 SH
SOLE         118900     0     0
RAYTHEON CO-CL B            COMMON STOCK   75511140  66692    1137600 SH
SOLE        1137600     0     0
REEBOK INTERNATIONAL        COMMON STOCK   75811010   2116     133300 SH
SOLE         133300     0     0
REGAL-BELOIT CORP           COMMON STOCK   75875010    164       9100 SH
SOLE           9100     0     0
REGIONS FINANCIAL CORP      COMMON STOCK   75894010  25970     750040 SH
SOLE         750040     0     0
REINSURANCE GRP AMER        COMMON STOCK   75935120   1355      40000 SH
SOLE          40000     0     0
RELIANCE GROUP HLDG         COMMON STOCK   75946410    604      78600 SH
SOLE          78600     0     0
RELIANT ENERGY INC          COMMON STOCK   75952J10  25405     974784 SH
SOLE         974784     0     0
RELIASTAR FINANCIAL CORP    COMMON STOCK   75952U10  28167     660800 SH
SOLE         660800     0     0
REMEDY CORP                 COMMON STOCK   75954810   1834     131000 SH
SOLE         131000     0     0
RENAL CARE GROUP INC        COMMON STOCK   75993010    644      32800 SH
SOLE          32800     0     0
RENT-A-CENTER INC           COMMON STOCK   76009N10   8447     293800 SH
SOLE         293800     0     0
RENTAL SERVICE CORP         COMMON STOCK   76009V10   2970     169700 SH
SOLE         169700     0     0
REPUBLIC INDUSTRIES INC     COMMON STOCK   76051610  11152     901200 SH
SOLE         901200     0     0
REPUBLIC NEW YORK CORP      COMMON STOCK   76071910  16550     358800 SH
SOLE         358800     0     0
REUTERS GRP PLC - ADR       FOREIGN STOCK  76132M10    128       1473 SH
SOLE           1473     0     0
REX STORES CORP             COMMON STOCK   76162410    769      66500 SH
SOLE          66500     0     0
REYNOLDS & REYNOLDS-CL A    COMMON STOCK   76169510   9202     484300 SH
SOLE         484300     0     0
REYNOLDS METALS CO          COMMON STOCK   76176310  13339     276100 SH
SOLE         276100     0     0
RITCHIE BROS AUCTIONEERS    COMMON STOCK   76774410   1206      35800 SH
SOLE          35800     0     0
RITE AID CORP               COMMON STOCK   76775410  21703     868100 SH
SOLE         868100     0     0
ROBERT HALF INTL INC        COMMON STOCK   77032310  20285     618200 SH
SOLE         618200     0     0
ROBERTS PHARMACEUTICAL      COMMON STOCK   77049110   2065      99500 SH
SOLE          99500     0     0
ROCHESTER GAS & ELECTRIC    COMMON STOCK   77136710    320      12500 SH
SOLE          12500     0     0
ROCKWELL INTL CORP          COMMON STOCK   77390310  82146    1935700 SH
SOLE        1935700     0     0
ROGERS COMMUNICATIONS       FOREIGN STOCK  77510920   6427     354600 SH
SOLE         354600     0     0
ROHM & HAAS CO              COMMON STOCK   77537110  20067     597900 SH
SOLE         597900     0     0
ROLLINS INC                 COMMON STOCK   77571110   3233     192300 SH
SOLE         192300     0     0
ROLLINS TRUCKING LEASING    COMMON STOCK   77574110    311      33000 SH
SOLE          33000     0     0
ROSS STORES INC             COMMON STOCK   77829610  14024     320100 SH
SOLE         320100     0     0
ROSTELECOM-SP ADR           FOREIGN STOCK  77852910    323      68900 SH
SOLE          68900     0     0
0ROWAN COMPANIES INC        COMMON STOCK   7793821   3259      256900 SH
SOLE         256900     0     0
ROYAL DUTCH PETRO NY        COMMON STOCK   78025780 396770    7630200 SH
SOLE        7630200     0     0
RUDDICK CORP                COMMON STOCK   78125810   5760     295400 SH
SOLE         295400     0     0
RUSSELL CORP                COMMON STOCK   78235210   1409      70000 SH
SOLE          70000     0     0
RYDER SYSTEM INC            COMMON STOCK   78354910   7066     255800 SH
SOLE         255800     0     0
SBC COMMUNICATIONS INC      COMMON STOCK   78387G10 311760    6606827 SH
SOLE        6606827     0     0
SCI SYSTEM INC              COMMON STOCK   78389010  11809     398600 SH
SOLE         398600     0     0
SFX ENTERTAINMENT CL A      COMMON STOCK   78417810   4649      72000 SH
SOLE          72000     0     0
SLM HOLDING CORP            COMMON STOCK   78442A10  57068    1366900 SH
SOLE        1366900     0     0
SM&A CORP                   COMMON STOCK   78443210    949      82500 SH
SOLE          82500     0     0
SPSS INC                    COMMON STOCK   78462K10   1330      81200 SH
SOLE          81200     0     0
SPX CORPORATION             COMMON STOCK   78463510   9855     195394 SH
SOLE         195394     0     0
SABRATEK CORP               COMMON STOCK   78571U10    353      23500 SH
SOLE          23500     0     0
SABRE GROUP HOLDINGS INC    COMMON STOCK   78590510  13218     291300 SH
SOLE         291300     0     0
SAFECO CORP                 COMMON STOCK   78642910  22402     554000 SH
SOLE         554000     0     0
SAFESKIN CORP               COMMON STOCK   78645410    517      69500 SH
SOLE          69500     0     0
SAFEWAY INC                 COMMON STOCK   78651420 112341    2189350 SH
SOLE        2189350     0     0
ST JOE CORP (THE)           COMMON STOCK   79014810   7275     300000 SH
SOLE         300000     0     0
ST JUDE MEDICAL INC         COMMON STOCK   79084910   6905     283297 SH
SOLE         283297     0     0
ST PAUL COMPANIES           COMMON STOCK   79286010  26759     861460 SH
SOLE         861460     0     0
SAKS INC                    COMMON STOCK   79377W10  52656    2025240 SH
SOLE        2025240     0     0
SANMINA CORP                COMMON STOCK   80090710   3882      60900 SH
SOLE          60900     0     0
SARA LEE CORP               COMMON STOCK   80311110  76505    3091100 SH
SOLE        3091100     0     0
SAVILLE SYSTEMS-SP ADR      COMMON STOCK   80517410   3581     292300 SH
SOLE         292300     0     0
SBARRO INC                  COMMON STOCK   80584410   3112     116900 SH
SOLE         116900     0     0
SCANA CORP                  COMMON STOCK   80589810  14361     662200 SH
SOLE         662200     0     0
HENRY SCHEIN INC            COMMON STOCK   80640710    515      20400 SH
SOLE          20400     0     0
SCHEIN PHARMACEUTICAL INC   COMMON STOCK   80641610    341      26200 SH
SOLE          26200     0     0
SCHERING-PLOUGH CORP        COMMON STOCK   80660510 354816    6422000 SH
SOLE        6422000     0     0
SCHLUMBERGER LTD            COMMON STOCK   80685710 115627    1921116 SH
SOLE        1921116     0     0
SCHOLASTIC CORP             COMMON STOCK   80706610   5347     109400 SH
SOLE         109400     0     0
SCHULMAN (A) INC            COMMON STOCK   80819410   2847     208937 SH
SOLE         208937     0     0
SCHWAB (CHARLES) CORP       COMMON STOCK   80851310 126750    1318600 SH
SOLE        1318600     0     0
SCIENTIFIC-ATLANTA INC      COMMON STOCK   80865510   8475     311000 SH
SOLE         311000     0     0
SCITEX CORP LTD             FOREIGN STOCK  80909010    213      21200 SH
SOLE          21200     0     0
SCOTTS CO (THE) CL A        COMMON STOCK   81018610    729      19500 SH
SOLE          19500     0     0
SEAGATE TECHNOLOGY          COMMON STOCK   81180410  25031     846720 SH
SOLE         846720     0     0
SEAGRAM CO LTD              COMMON STOCK   81185010  74660    1493200 SH
SOLE        1493200     0     0
SEALED AIR CORP             COMMON STOCK   81211K10  18677     379704 SH
SOLE         379704     0     0
SEALED AIR CORP PFD A       COMMON STOCK   81211K20   5396     109000 SH
SOLE         109000     0     0
SEARS ROEBUCK & CO          COMMON STOCK   81238710  63389    1402800 SH
SOLE        1402800     0     0
SECURE COMPUTING CORP       COMMON STOCK   81370510   2634     250854 SH
SOLE         250854     0     0
SECURITY CAPITAL GRP-CL B   COMMON STOCK   81413P20   8293     620000 SH
SOLE         620000     0     0
SECURITY DYNAMICS TECH      COMMON STOCK   81420810    522      28000 SH
SOLE          28000     0     0
SEITEL INC                  COMMON STOCK   81607430   2482     178100 SH
SOLE         178100     0     0
SEMTECH CORP                COMMON STOCK   81685010    784      24600 SH
SOLE          24600     0     0
SEMPRA ENERGY               COMMON STOCK   81685110  15034     783515 SH
SOLE         783515     0     0
SENSORMATIC ELECTRONICS     COMMON STOCK   81726510   8223     865600 SH
SOLE         865600     0     0
SEPRACOR INC                COMMON STOCK   81731510  21103     188000 SH
SOLE         188000     0     0
SEQUA CORP-CL A             COMMON STOCK   81732010   2884      57400 SH
SOLE          57400     0     0
SEQUENT COMPUTER SYSTEMS    COMMON STOCK   81733810   2219     244800 SH
SOLE         244800     0     0
SERVICE CORP INTL           COMMON STOCK   81756510  18092    1269600 SH
SOLE        1269600     0     0
SHARED MEDICAL SYSTEMS      COMMON STOCK   81948610   4862      87300 SH
SOLE          87300     0     0
SHAW INDUSTRIES INC         COMMON STOCK   82028610  25787    1393900 SH
SOLE        1393900     0     0
SHELL TRANS & TRADING-ADR   FOREIGN STOCK  82270360   4591     113000 SH
SOLE         113000     0     0
SHERWIN-WILLIAMS CO         COMMON STOCK   82434810  16383     582500 SH
SOLE         582500     0     0
SHOE CARNIVAL INC           COMMON STOCK   82488910    175      14000 SH
SOLE          14000     0     0
SHOPKO STORES INC           COMMON STOCK   82491110    350      11700 SH
SOLE          11700     0     0
SIEBEL SYSTEMS INC          COMMON STOCK   82617010  29113     612900 SH
SOLE         612900     0     0
SIGMA-ALDRICH CORP          COMMON STOCK   82655210   8880     303600 SH
SOLE         303600     0     0
SILICON GRAPHICS            COMMON STOCK   82705610   8788     530600 SH
SOLE         530600     0     0
SIMON PROPERTY SER B-PFD    COMMON STOCK   82880640   4688     170875 SH
SOLE         170875     0     0
SKYTEL COMMUNICATIONS INC   COMMON STOCK   83087Q10   4323     260000 SH
SOLE         260000     0     0
SMART MODULAR TECHNOLOGIE   COMMON STOCK   83169010    299      20000 SH
SOLE          20000     0     0
SMITH (A O) CORP            COMMON STOCK   83186520    656      34550 SH
SOLE          34550     0     0
SMITH-GARDNER & ASSOC       COMMON STOCK   83205910   2978     210800 SH
SOLE         210800     0     0
SMITH INTERNATIONAL INC     COMMON STOCK   83211010  12592     314800 SH
SOLE         314800     0     0
SMITHFIELD FOODS INC        COMMON STOCK   83224810   9438     416000 SH
SOLE         416000     0     0
SMUCKER (J M) CO            COMMON STOCK   83269610   3760     168500 SH
SOLE         168500     0     0
SMURFIT-STONE CONTAINER     COMMON STOCK   83272710   1037      53700 SH
SOLE          53700     0     0
SNYDER COMMUNICATIONS INC   COMMON STOCK   83291410  16226     582100 SH
SOLE         582100     0     0
SNAP-ON INC                 COMMON STOCK   83303410   6113     210800 SH
SOLE         210800     0     0
QUIMICA Y MINERA ADR        FOREIGN STOCK  83363510    598      18700 SH
SOLE          18700     0     0
SOLA INTERNATIONAL INC      COMMON STOCK   83409210    721      59800 SH
SOLE          59800     0     0
SOLECTRON CORP              COMMON STOCK   83418210 113382    2334760 SH
SOLE        2334760     0     0
SOLUTIA INC                 COMMON STOCK   83437610  15495     891800 SH
SOLE         891800     0     0
SONAT INC                   COMMON STOCK   83541510  12675     422500 SH
SOLE         422500     0     0
SONIC AUTOMOTIVE INC        COMMON STOCK   83545G10   2102     135600 SH
SOLE         135600     0     0
SONOCO PRODUCTS CO          COMMON STOCK   83549510  14537     632024 SH
SOLE         632024     0     0
SONY CORP                   FOREIGN STOCK  83569930   6328      69300 SH
SOLE          69300     0     0
SOTHEBYS  HLDS-CL A         COMMON STOCK   83589810  11373     351300 SH
SOLE         351300     0     0
SOUTHDOWN INC               COMMON STOCK   84129710  14308     266500 SH
SOLE         266500     0     0
SOUTHERN CO                 COMMON STOCK   84258710  56034    2403600 SH
SOLE        2403600     0     0
SOUTHTRUST CORP             COMMON STOCK   84473010  24891     667100 SH
SOLE         667100     0     0
SOUTHWEST AIRLINES CO       COMMON STOCK   84474110  35693    1179925 SH
SOLE        1179925     0     0
SOVEREIGN BANCORP INC       COMMON STOCK   84590510  13994    1142400 SH
SOLE        1142400     0     0
SPORTSLINE USA, INC         COMMON STOCK   84893410    365       8000 SH
SOLE           8000     0     0
SPRINGS INDUSTRIES-CL A     COMMON STOCK   85178310   2449      90500 SH
SOLE          90500     0     0
SPRINT CORP (FON GROUP)     COMMON STOCK   85206110 234794    2392800 SH
SOLE        2392800     0     0
SPRINT CORP (PCS GROUP)     COMMON STOCK   85206150  59824    1350050 SH
SOLE        1350050     0     0
SS&C TECHNOLOGIES INC       COMMON STOCK   85227Q10   2012     162600 SH
SOLE         162600     0     0
STANDARD PRODUCTS CO        COMMON STOCK   85383610    884      54400 SH
SOLE          54400     0     0
STANDARD REGISTER CO        COMMON STOCK   85388710   5477     184500 SH
SOLE         184500     0     0
STANLEY WORKS               COMMON STOCK   85461610   9107     355400 SH
SOLE         355400     0     0
STAPLES INC                 COMMON STOCK   85503010  53142    1616487 SH
SOLE        1616487     0     0
STARBUCKS CORP              COMMON STOCK   85524410  57708    2056400 SH
SOLE        2056400     0     0
STARWOOD HOTELS & RESORTS   COMMON STOCK   85590A20   1639      57400 SH
SOLE          57400     0     0
STATE STREET CORP           COMMON STOCK   85747710  46200     561700 SH
SOLE         561700     0     0
STERIS CORP                 COMMON STOCK   85915210  19359     727100 SH
SOLE         727100     0     0
STERLING COMMERCE INC       COMMON STOCK   85920510  19463     632946 SH
SOLE         632946     0     0
STERLING SOFTWARE INC       COMMON STOCK   85954710  13675     575800 SH
SOLE         575800     0     0
STEWART & STEVENSON SERV    COMMON STOCK   86034210   1339     174200 SH
SOLE         174200     0     0
STEWART ENTERPRISES CL A    COMMON STOCK   86037010  12577     783000 SH
SOLE         783000     0     0
STMICROELECTRONICS NV       FOREIGN STOCK  86101210  13811     142200 SH
SOLE         142200     0     0
STORAGE TECHNOLOGY CORP     COMMON STOCK   86211120  20164     723364 SH
SOLE         723364     0     0
STRUCTURAL DYNAMICS RES     COMMON STOCK   86355510   7519     394463 SH
SOLE         394463     0     0
STRYKER CORP                COMMON STOCK   86366710  34247     679000 SH
SOLE         679000     0     0
SUCCESSORIES INC            COMMON STOCK   86459110    218      87300 SH
SOLE          87300     0     0
SUIZA FOODS CORP            COMMON STOCK   86507710  12234     363155 SH
SOLE         363155     0     0
SUMMIT BANCORP              COMMON STOCK   86600510  33045     847300 SH
SOLE         847300     0     0
SUN MICROSYSTEMS INC        COMMON STOCK   86681010 181978    1455100 SH
SOLE        1455100     0     0
SUNDSTRAND CORP             COMMON STOCK   86732310  26271     378000 SH
SOLE         378000     0     0
SUNGARD DATA SYSTEMS        COMMON STOCK   86736310  32992     824800 SH
SOLE         824800     0     0
SUNOCO INC                  COMMON STOCK   86764P10  12187     337933 SH
SOLE         337933     0     0
SUNRISE ASSISTED LIVING     COMMON STOCK   86768K10    898      19700 SH
SOLE          19700     0     0
SUNTRUST BANKS INC          COMMON STOCK   86791410  75134    1206964 SH
SOLE        1206964     0     0
SUPERIOR INDUSTRIES INC     COMMON STOCK   86816810   4932     212150 SH
SOLE         212150     0     0
SUPERVALU INC               COMMON STOCK   86853610   7200     349100 SH
SOLE         349100     0     0
SYBASE INC                  COMMON STOCK   87113010    667      84000 SH
SOLE          84000     0     0
SYBRON INTL CORP            COMMON STOCK   87114F10  15633     625300 SH
SOLE         625300     0     0
SYMANTEC CORP               COMMON STOCK   87150310   5606     331000 SH
SOLE         331000     0     0
SYMBOL TECHNOLOGIES INC     COMMON STOCK   87150810  18385     408550 SH
SOLE         408550     0     0
SYNBIOTICS CORP             COMMON STOCK   87156610     61      17500 SH
SOLE          17500     0     0
SYNOPSYS INC                COMMON STOCK   87160710  24935     463900 SH
SOLE         463900     0     0
SYNOVUS FINANCIAL CORP      COMMON STOCK   87161C10  17567     856950 SH
SOLE         856950     0     0
SYNTHETECH INC              COMMON STOCK   87162E10    430      98200 SH
SOLE          98200     0     0
SYSCO CO                    COMMON STOCK   87182910  31830    1209700 SH
SOLE        1209700     0     0
TCA CABLE TV INC            COMMON STOCK   87224110  13890     319300 SH
SOLE         319300     0     0
TCF FINANCIAL CORP          COMMON STOCK   87227510  15666     601100 SH
SOLE         601100     0     0
TECO ENERGY                 COMMON STOCK   87237510  18120     911700 SH
SOLE         911700     0     0
TIG HOLDINGS INC            COMMON STOCK   87246910    426      26100 SH
SOLE          26100     0     0
TJX COMPANIES INC           COMMON STOCK   87254010  46179    1358200 SH
SOLE        1358200     0     0
TRW INC                     COMMON STOCK   87264910  18168     399300 SH
SOLE         399300     0     0
TALISMAN ENERGY INC         COMMON STOCK   87425E10   7598     353400 SH
SOLE         353400     0     0
TANDY CORP                  COMMON STOCK   87538210  19716     308968 SH
SOLE         308968     0     0
TARRANT APPAREL GROUP       COMMON STOCK   87628910   4939     117600 SH
SOLE         117600     0     0
TECH DATA CORP              COMMON STOCK   87823710   7354     320600 SH
SOLE         320600     0     0
TECHNE CORP                 COMMON STOCK   87837710   2836      98200 SH
SOLE          98200     0     0
TECUMSEH PRODUCTS-CL A      COMMON STOCK   87889520   7544     148100 SH
SOLE         148100     0     0
TEKTRONIX INC               COMMON STOCK   87913110   3291     130350 SH
SOLE         130350     0     0
TELECOM ITALIA SPA-ADR      FOREIGN STOCK  87927W10  20207     193600 SH
SOLE         193600     0     0
TELECOM CORP NEW ZEALAND    FOREIGN STOCK  87927820   2129      54600 SH
SOLE          54600     0     0
TELEFLEX INC                COMMON STOCK   87936910   7964     233800 SH
SOLE         233800     0     0
TELEPHONE & DATA SYSTEMS    COMMON STOCK   87943310  21744     385700 SH
SOLE         385700     0     0
TELLABS INC                 COMMON STOCK   87966410  59178     605400 SH
SOLE         605400     0     0
TEMPLE-INLAND INC           COMMON STOCK   87986810  11853     188900 SH
SOLE         188900     0     0
TENET HEALTHCARE CORP       COMMON STOCK   88033G10  64747    3419000 SH
SOLE        3419000     0     0
TENNECO INC                 COMMON STOCK   88037E10  26077     933400 SH
SOLE         933400     0     0
TERADYNE INC                COMMON STOCK   88077010  54764    1003700 SH
SOLE        1003700     0     0
TETRA TECH INC              COMMON STOCK   88162G10   6634     314988 SH
SOLE         314988     0     0
TEVA PHARMACEUTICAL-ADR     COMMON STOCK   88162420   7211     152000 SH
SOLE         152000     0     0
TEXACO INC                  COMMON STOCK   88169410 114038    2009472 SH
SOLE        2009472     0     0
TEXAS INDUSTRIES INC        COMMON STOCK   88249110    169       6800 SH
SOLE           6800     0     0
TEXAS INSTRUMENTS INC       COMMON STOCK   88250810 157768    1589600 SH
SOLE        1589600     0     0
TEXAS UTILITIES CO          COMMON STOCK   88284810  55909    1331177 SH
SOLE        1331177     0     0
TEXTRON INC                 COMMON STOCK   88320310  66117     854500 SH
SOLE         854500     0     0
THERMO ELECTRON CORP        COMMON STOCK   88355610   8398     619187 SH
SOLE         619187     0     0
THOMAS & BETTS CORP         COMMON STOCK   88431510  13380     356200 SH
SOLE         356200     0     0
THOMAS GROUP INC            COMMON STOCK   88440210    757      86500 SH
SOLE          86500     0     0
THOMSON CORP (DTC)          FOREIGN STOCK  88490310  20527     735000 SH
SOLE         735000     0     0
3COM CORP                   COMMON STOCK   88553510  28971    1242725 SH
SOLE        1242725     0     0
THREE-FIVE SYSTEMS INC      COMMON STOCK   88554L10    985     114150 SH
SOLE         114150     0     0
TIDEWATER INC               COMMON STOCK   88642310   8924     344900 SH
SOLE         344900     0     0
TIFFANY & CO                COMMON STOCK   88654710  17058     228200 SH
SOLE         228200     0     0
TIME WARNER INC             COMMON STOCK   88731510 434498    6135900 SH
SOLE        6135900     0     0
TIMES MIRROR CO CL A        COMMON STOCK   88736410  15891     293600 SH
SOLE         293600     0     0
TIMKEN CO                   COMMON STOCK   88738910   2602     160100 SH
SOLE         160100     0     0
TORCHMARK CORP              COMMON STOCK   89102710  15401     487000 SH
SOLE         487000     0     0
TOSCO CORP                  COMMON STOCK   89149030  28748    1158600 SH
SOLE        1158600     0     0
TOTAL RENAL CARE HLDGS      COMMON STOCK   89151A10   7464     678566 SH
SOLE         678566     0     0
TOTAL S A-SPONS ADR         FOREIGN STOCK  89151E10  21978     360300 SH
SOLE         360300     0     0
TOYS R US INC               COMMON STOCK   89233510  15741     836750 SH
SOLE         836750     0     0
TRANS WORLD ENTERTAINMENT   COMMON STOCK   89336Q10   3300     300000 SH
SOLE         300000     0     0
TRANSACTION SYS ARCHITECT   COMMON STOCK   89341610   7304     202900 SH
SOLE         202900     0     0
TRANSAMERICA CORP           COMMON STOCK   89348510  28181     396916 SH
SOLE         396916     0     0
TRANSOCEAN OFFSHORE INC     COMMON STOCK   89381710  18005     624900 SH
SOLE         624900     0     0
TRAVELERS PROP CASUAL-CLA   COMMON STOCK   89393910    647      18100 SH
SOLE          18100     0     0
TRANSWITCH CORP             COMMON STOCK   89406510   6204     137100 SH
SOLE         137100     0     0
TRICON GLOBAL RESTAURANTS   COMMON STOCK   89595310  36838     524385 SH
SOLE         524385     0     0
TRIBUNE COMPANY             COMMON STOCK   89604710  26227     400800 SH
SOLE         400800     0     0
TRIGON HEALTHCARE INC       COMMON STOCK   89618L10  14159     413400 SH
SOLE         413400     0     0
TRINITY INDUSTRIES INC      COMMON STOCK   89652210   7943     270400 SH
SOLE         270400     0     0
TRIPOS INC                  COMMON STOCK   89692810    457      52200 SH
SOLE          52200     0     0
TUPPERWARE CORP             COMMON STOCK   89989610   3258     181000 SH
SOLE         181000     0     0
TYCO INTERNATIONAL LTD      COMMON STOCK   90212410 267968    3734744 SH
SOLE        3734744     0     0
TYSON FOODS INC-CL A        COMMON STOCK   90249410  57861    2796930 SH
SOLE        2796930     0     0
UAL CORP                    COMMON STOCK   90254950   3107      39900 SH
SOLE          39900     0     0
UCAR INTERNATIONAL          COMMON STOCK   90262K10   5075     359300 SH
SOLE         359300     0     0
USX-MARATHON GROUP          COMMON STOCK   90290582  31097    1130800 SH
SOLE        1130800     0     0
UST INC                     COMMON STOCK   90291110  15061     576500 SH
SOLE         576500     0     0
U S BANCORP                 COMMON STOCK   90297310  98456    2890453 SH
SOLE        2890453     0     0
USA NETWORKS INC            COMMON STOCK   90298410  15185     424000 SH
SOLE         424000     0     0
UNUM CORP                   COMMON STOCK   90319210  26650     560320 SH
SOLE         560320     0     0
USG CORP                    COMMON STOCK   90329340    308       6000 SH
SOLE           6000     0     0
US FOOD SERVICE INC         COMMON STOCK   90331R10  20883     449100 SH
SOLE         449100     0     0
USX-U S STEEL GROUP INC     COMMON STOCK   90337T10   8090     344240 SH
SOLE         344240     0     0
US XPRESS ENTERPRISES-CLA   COMMON STOCK   90338N10    381      32800 SH
SOLE          32800     0     0
ULTRAMAR DIAMOND SHAMROCK   COMMON STOCK   90400010  13599     628876 SH
SOLE         628876     0     0
UNIFI INC                   COMMON STOCK   90467710   5756     451450 SH
SOLE         451450     0     0
UNIFIED ENERGY SYSTEM-GDR   COMMON STOCK   90468820    448     105300 SH
SOLE         105300     0     0
UNIFIRST CORP               COMMON STOCK   90470810    353      16700 SH
SOLE          16700     0     0
UNILEVER N V - NY OLD       COMMON STOCK   90478450 146329    2202500 SH
SOLE        2202500     0     0
UNICOM CORP                 COMMON STOCK   90491110  26782     732500 SH
SOLE         732500     0     0
UNION CAMP CORP             COMMON STOCK   90553010  32938     490700 SH
SOLE         490700     0     0
UNION CARBIDE CORP          COMMON STOCK   90558110  24017     531500 SH
SOLE         531500     0     0
UNION PACIFIC CORP          COMMON STOCK   90781810  43760     818900 SH
SOLE         818900     0     0
UNION PACIFIC RESOURCES     COMMON STOCK   90783410   9713     817968 SH
SOLE         817968     0     0
UN PLANTERS CORP            COMMON STOCK   90806810  20800     473400 SH
SOLE         473400     0     0
UNIONBANCAL CORP            COMMON STOCK   90890610   2647      77700 SH
SOLE          77700     0     0
UNIPHASE CORP               COMMON STOCK   90914910  10891      94600 SH
SOLE          94600     0     0
UNISOURCE WORLDWIDE INC     COMMON STOCK   90920810   2693     377950 SH
SOLE         377950     0     0
UNISYS CORP                 COMMON STOCK   90921410  24207     874300 SH
SOLE         874300     0     0
UNITED HEALTHCARE CORP      COMMON STOCK   91058110  46226     878400 SH
SOLE         878400     0     0
UNITED PAN-EUROPE           FOREIGN STOCK  91130020     23        600 SH
SOLE            600     0     0
UTD PAYORS & UTD PROVIDER   COMMON STOCK   91131910   5044     218700 SH
SOLE         218700     0     0
UNITED RENTALS INC          COMMON STOCK   91136310   5734     201200 SH
SOLE         201200     0     0
U S FILTER CORP             COMMON STOCK   91184320  38148    1245662 SH
SOLE        1245662     0     0
US AIRWAYS GROUP INC        COMMON STOCK   91190510  14043     287700 SH
SOLE         287700     0     0
U S HOME CORP               COMMON STOCK   91192010    499      15300 SH
SOLE          15300     0     0
US WEST INC                 COMMON STOCK   91273H10 120199    2182960 SH
SOLE        2182960     0     0
UNITED TECHNOLOGIES CORP    COMMON STOCK   91301710 202195    1492900 SH
SOLE        1492900     0     0
UNIVERSAL CORP              COMMON STOCK   91345610   5573     218000 SH
SOLE         218000     0     0
UNIVERSAL ELEC INC          COMMON STOCK   91348310    444      35500 SH
SOLE          35500     0     0
UNIVERSAL FOODS CORP        COMMON STOCK   91353810   6716     325600 SH
SOLE         325600     0     0
UNIVERSAL HEALTH SVC-CL B   COMMON STOCK   91390310   2534      58600 SH
SOLE          58600     0     0
UNOCAL CORP                 COMMON STOCK   91528910  29142     790300 SH
SOLE         790300     0     0
UTILICORP UNITED INC        COMMON STOCK   91800510  14868     653550 SH
SOLE         653550     0     0
VF CORP                     COMMON STOCK   91820410  22577     475300 SH
SOLE         475300     0     0
VALASSIS COMMUNICATIONS     COMMON STOCK   91886610   3224      62300 SH
SOLE          62300     0     0
VALERO ENERGY CORP          COMMON STOCK   91913Y10  10271     412900 SH
SOLE         412900     0     0
VALLEY MEDIA INC            COMMON STOCK   91972C10     16        700 SH
SOLE            700     0     0
VANGUARD CELLULAR SYS-CLA   COMMON STOCK   92202210   6001     219700 SH
SOLE         219700     0     0
VARCO INTERNATIONAL INC     COMMON STOCK   92212610   4134     371600 SH
SOLE         371600     0     0
VARIAN ASSOCIATES INC       COMMON STOCK   92220410   7459     192500 SH
SOLE         192500     0     0
VEECO INSTRUMENTS INC       COMMON STOCK   92241710   1651      44700 SH
SOLE          44700     0     0
VENTANA MEDICAL SYSTEMS     COMMON STOCK   92276H10    537      24000 SH
SOLE          24000     0     0
VENTURE SEISMIC LTD         COMMON STOCK   92327K10      4      17000 SH
SOLE          17000     0     0
VERITAS SOFTWARE CORP       COMMON STOCK   92343610  11381     140937 SH
SOLE         140937     0     0
VERTEX PHARMACEUTICALS      COMMON STOCK   92532F10   1515      60000 SH
SOLE          60000     0     0
VERTICALNET INC             COMMON STOCK   92532L10    457       4400 SH
SOLE           4400     0     0
VETERINARY CTRS OF AMER     COMMON STOCK   92551410    325      23000 SH
SOLE          23000     0     0
VIAD CORP                   COMMON STOCK   92552R10  17547     630900 SH
SOLE         630900     0     0
VIACOM INC-CL B             COMMON STOCK   92552430 118101    1407012 SH
SOLE        1407012     0     0
VIATEL INC                  COMMON STOCK   92552920   5335     187200 SH
SOLE         187200     0     0
VIRAGEN INC                 COMMON STOCK   92763810    139     277400 SH
SOLE         277400     0     0
VISHAY INTERTECHNOLOGY      COMMON STOCK   92829810   5615     387223 SH
SOLE         387223     0     0
VISION TWENTY-ONE INC       COMMON STOCK   92831N10    101      27066 SH
SOLE          27066     0     0
VISUAL NETWORKS INC         COMMON STOCK   92844410    202       5400 SH
SOLE           5400     0     0
VITESSE SEMICONDUCTOR CP    COMMON STOCK   92849710   6672     131800 SH
SOLE         131800     0     0
VLASIC FOODS INTL           COMMON STOCK   92855910   3610     279030 SH
SOLE         279030     0     0
VULCAN MATERIALS            COMMON STOCK   92916010  30538     739200 SH
SOLE         739200     0     0
WPP GROUP PLC-SPONS ADR     COMMON STOCK   92930930  10813     125000 SH
SOLE         125000     0     0
WACHOVIA CORP               COMMON STOCK   92977110  52773     650010 SH
SOLE         650010     0     0
WADDELL & REED FINL CL A    COMMON STOCK   93005910     14        700 SH
SOLE            700     0     0
WADDELL & REED FINL CL B    COMMON STOCK   93005920     64       3200 SH
SOLE           3200     0     0
WAL-MART STORES INC         COMMON STOCK   93114210 757837    8220600 SH
SOLE        8220600     0     0
WALGREEN CO                 COMMON STOCK   93142210  99011    3504800 SH
SOLE        3504800     0     0
WALLACE COMPUTER SERVICES   COMMON STOCK   93227010   5540     279600 SH
SOLE         279600     0     0
WARNACO GROUP INC-CL A      COMMON STOCK   93439010   9591     388500 SH
SOLE         388500     0     0
WARNER-LAMBERT CO           COMMON STOCK   93448810 193536    2921300 SH
SOLE        2921300     0     0
WASHINGTON FEDERAL INC      COMMON STOCK   93882410     57       2700 SH
SOLE           2700     0     0
WASHINGTON GAS LIGHT        COMMON STOCK   93883710   6760     298800 SH
SOLE         298800     0     0
WASHINGTON MUTUAL INC       COMMON STOCK   93932210 102087    2497533 SH
SOLE        2497533     0     0
WASHINGTON POST-CL B        COMMON STOCK   93964010  37861      72600 SH
SOLE          72600     0     0
WASTE CONNECTIONS INC       COMMON STOCK   94105310   5348     224000 SH
SOLE         224000     0     0
WASTE MANAGEMENT INC        COMMON STOCK   94106L10 124705    2810257 SH
SOLE        2810257     0     0
WATERS CORP                 COMMON STOCK   94184810    788       7500 SH
SOLE           7500     0     0
WATSON PHARMACEUTICAL INC   COMMON STOCK   94268310  30579     693000 SH
SOLE         693000     0     0
WATTS INDUSTRIES-CL A       COMMON STOCK   94274910   2055     151500 SH
SOLE         151500     0     0
WAUSAU-MOSINEE PAPER CORP   COMMON STOCK   94331510   5308     379122 SH
SOLE         379122     0     0
WEATHERFORD INTERNATIONAL   COMMON STOCK   94707410  28835    1103737 SH
SOLE        1103737     0     0
WEBB (DEL E) CORP           COMMON STOCK   94742310    202       9300 SH
SOLE           9300     0     0
WELLMAN INC                 COMMON STOCK   94970210   1588     178900 SH
SOLE         178900     0     0
WELLPOINT HEALTH NETWORKS   COMMON STOCK   94973H10   3601      47500 SH
SOLE          47500     0     0
WELLS FARGO COMPANY         COMMON STOCK   94974610 319918    9124230 SH
SOLE        9124230     0     0
WENDY'S INTL INC            COMMON STOCK   95059010  10960     385400 SH
SOLE         385400     0     0
WESTERN DIGITAL CORP        COMMON STOCK   95810210   2260     287000 SH
SOLE         287000     0     0
WESTERN RESOURCES INC       COMMON STOCK   95942510   1281      48000 SH
SOLE          48000     0     0
WESTPOINT STEVENS INC       COMMON STOCK   96123810  10134     366000 SH
SOLE         366000     0     0
WESTVACO CORP               COMMON STOCK   96154810   6135     292150 SH
SOLE         292150     0     0
WEYERHAEUSER CO             COMMON STOCK   96216610  47913     863300 SH
SOLE         863300     0     0
WHIRLPOOL CORP              COMMON STOCK   96332010  18020     331400 SH
SOLE         331400     0     0
WHITMAN CORP OLD            COMMON STOCK   96647K10  10957     637500 SH
SOLE         637500     0     0
WHITTMAN-HART INC           COMMON STOCK   96683410   6321     294000 SH
SOLE         294000     0     0
WHOLE FOODS MARKET INC      COMMON STOCK   96683710   3059      89000 SH
SOLE          89000     0     0
WILLAMETTE INDUSTRIES       COMMON STOCK   96913310  13699     362900 SH
SOLE         362900     0     0
WILLIAMS COMPANIES INC      COMMON STOCK   96945710  87943    2226394 SH
SOLE        2226394     0     0
WILMINGTON TRUST CORP       COMMON STOCK   97180710  12259     214600 SH
SOLE         214600     0     0
WIND RIVER SYSTEMS INC      COMMON STOCK   97314910   1682      94425 SH
SOLE          94425     0     0
WINN-DIXIE STORES INC       COMMON STOCK   97428010  17955     480400 SH
SOLE         480400     0     0
WINSTAR COMMUNICATIONS      COMMON STOCK   97551510   8286     228000 SH
SOLE         228000     0     0
WISCONSIN CTRL TRANSPORT    COMMON STOCK   97659210   6487     489600 SH
SOLE         489600     0     0
WISCONSIN ENERGY CORP       COMMON STOCK   97665710  22578     866300 SH
SOLE         866300     0     0
WITCO CORP                  COMMON STOCK   97738510   4572     362100 SH
SOLE         362100     0     0
WORLD COLOR PRESS INC       COMMON STOCK   98144310    325      15300 SH
SOLE          15300     0     0
WORTHINGTON INDUSTRIES      COMMON STOCK   98181110   3593     305800 SH
SOLE         305800     0     0
WRIGLEY (WM) JR CO          COMMON STOCK   98252610  38771     428700 SH
SOLE         428700     0     0
XILINX INC                  COMMON STOCK   98391910  40206     991200 SH
SOLE         991200     0     0
XIRCOM INC                  COMMON STOCK   98392210    528      21000 SH
SOLE          21000     0     0
XOMED SURGICAL PRODUCTS     COMMON STOCK   98412V10   8470     215800 SH
SOLE         215800     0     0
XEROX CORP                  COMMON STOCK   98412110 148276    2778000 SH
SOLE        2778000     0     0
YAHOO! INC                  COMMON STOCK   98433210   1280       7600 SH
SOLE           7600     0     0
YORK INTERNATIONAL CORP     COMMON STOCK   98667010  11844     335400 SH
SOLE         335400     0     0
ZALE CORP                   COMMON STOCK   98885810   1545      45200 SH
SOLE          45200     0     0
ZEBRA TECHNOLOGIES-CL A     COMMON STOCK   98920710   1969      82900 SH
SOLE          82900     0     0
ZENECA GROUP PLC-ADR        FOREIGN STOCK  98934D10  32450     689500 SH
SOLE         689500     0     0
ZIFF-DAVIS INC              COMMON STOCK   98951120    130       3600 SH
SOLE           3600     0     0
ZION BANCORPORATION         COMMON STOCK   98970110  34354     516600 SH
SOLE         516600     0     0
</TABLE>


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