NEW YORK STATE COMMON RETIREMENT FUND
13F-HR, 2000-11-21
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549

FORM 13F
FORM 13F COVER PAGE

Report for the Quarter Ended:  September 30, 2000

Check here if Amendment  |_|;  Amendment Number: ____

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

Name of Institutional Investment Manager Filing this Report:
Name:    New York State Common Retirement Fund
Address: Office of the State Comptroller
AE Smith State Office Bldg., 6th Floor, Albany, NY 12236

13F File Number: 28-01892

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:

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

Signature, Place, and Date of Signing:

John E. Hull   Albany, NY   November 16, 2000

Report Type ( Check only one):

[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:         1,470

Form 13F Information Table Value Total: $  54,807,398 (Thousands)

<PAGE>

<TABLE>
<CAPTION>
ITEM 1                      ITEM 2         ITEM 3    ITEM 4      ITEM 5                        ITEM 8
Name of Issuer              Title of Class CUSIP     Fair Market Shares of
                                           Number    value       Principal

<S>                         <C>            <C>       <C>         <C>           <C>   <C>       <C>         <C>    <C>
3COM CORP                   COMMON STOCK   885535104       51028       2659425 SH    SOLE          2659425      0      0
A T & T CORP                COMMON STOCK   001957109      347717      11837187 SH    SOLE         11837187      0      0
A T & T WIRELESS GROUP      COMMON STOCK   001957406        1472         70498 SH    SOLE            70498      0      0
A.F.P. PROVIDA ADR          FOREIGN STOCK  00709P108         394         18800 SH    SOLE            18800      0      0
ABBOTT LABORATORIES         COMMON STOCK   002824100      222530       4678688 SH    SOLE          4678688      0      0
ABERCROMBIE FITCH CO CL A   COMMON STOCK   002896207       15031        788500 SH    SOLE           788500      0      0
ABIOMED INC                 COMMON STOCK   003654100        5382         79000 SH    SOLE            79000      0      0
ABOUT.COM INC               COMMON STOCK   003736105         719         22200 SH    SOLE            22200      0      0
ACACIA RESEARCH CORP        COMMON STOCK   003881109         997         28600 SH    SOLE            28600      0      0
ACCLAIM ENTERTAINMENT INC   COMMON STOCK   004325205         173         98833 SH    SOLE            98833      0      0
ACE LTD                     COMMON STOCK   G0070K103       12933        329500 SH    SOLE           329500      0      0
ACLARA BIOSCIENCES INC      COMMON STOCK   00461P106         541         17800 SH    SOLE            17800      0      0
ACNIELSEN CORP              COMMON STOCK   004833109       10485        440300 SH    SOLE           440300      0      0
ACT MANUFACTURING INC       COMMON STOCK   000973107       10851        205700 SH    SOLE           205700      0      0
ACTEL CORP                  COMMON STOCK   004934105        7748        215600 SH    SOLE           215600      0      0
ACTUANT CORP CLASS A        COMMON STOCK   00508X104        5820       1478000 SH    SOLE          1478000      0      0
ACTUATE SOFTWARE CORP       COMMON STOCK   00508B102       24514        709600 SH    SOLE           709600      0      0
ACUSON CORP                 COMMON STOCK   005113105        6023        264750 SH    SOLE           264750      0      0
ACXIOM CORP                 COMMON STOCK   005125109       28096        884900 SH    SOLE           884900      0      0
ADAPTEC INC                 COMMON STOCK   00651F108        4122        206100 SH    SOLE           206100      0      0
ADC TELECOMMUNICATIONS      COMMON STOCK   000886101       51894       1929800 SH    SOLE          1929800      0      0
ADELPHIA COM CL A           COMMON STOCK   006848105        1499         54400 SH    SOLE            54400      0      0
ADOBE SYSTEMS               COMMON STOCK   00724F101       55114        355000 SH    SOLE           355000      0      0
ADTRAN INC                  COMMON STOCK   00738A106       12819        301300 SH    SOLE           301300      0      0
ADVANCED ENERGY IND INC     COMMON STOCK   007973100        9313        282200 SH    SOLE           282200      0      0
ADVANCED MICRO DEVICES      COMMON STOCK   007903107       30859       1306200 SH    SOLE          1306200      0      0
ADVANCED POWER TECHNOLOGY   COMMON STOCK   00761E108         795         24000 SH    SOLE            24000      0      0
ADVENT SOFTWARE INC         COMMON STOCK   007974108       44796        641094 SH    SOLE           641094      0      0
ADVO INC                    COMMON STOCK   007585102        1917         58100 SH    SOLE            58100      0      0
AEROFLEX INC                COMMON STOCK   007768104        9726        200025 SH    SOLE           200025      0      0
AES CORP                    COMMON STOCK   00130H105      187973       2744129 SH    SOLE          2744129      0      0
AETNA INC                   COMMON STOCK   008117103       31582        543926 SH    SOLE           543926      0      0
AFFILIATED COMPUTER SVC A   COMMON STOCK   008190100       18339        367700 SH    SOLE           367700      0      0
AFFILIATED MANAGERS GROUP   COMMON STOCK   008252108        2796         49100 SH    SOLE            49100      0      0
AFFYMETRIX INC              COMMON STOCK   00826T108        2693         54000 SH    SOLE            54000      0      0
AFLAC INC                   COMMON STOCK   001055102      119057       1858450 SH    SOLE          1858450      0      0
AGCO CORP                   COMMON STOCK   001084102        5180        436200 SH    SOLE           436200      0      0
AGILENT TECHNOLOGIES INC    COMMON STOCK   00846U101       73045       1492613 SH    SOLE          1492613      0      0
AGL RESOURCES INC           COMMON STOCK   001204106        7927        395100 SH    SOLE           395100      0      0
AIR PRODUCTS & CHEMICALS    COMMON STOCK   009158106       42282       1174500 SH    SOLE          1174500      0      0
AIRBORNE FREIGHT            COMMON STOCK   009266107        3680        361200 SH    SOLE           361200      0      0
AIRGAS INC                  COMMON STOCK   009363102        4583        672800 SH    SOLE           672800      0      0
AIRGATE PCS INC             COMMON STOCK   009367103        2998         66800 SH    SOLE            66800      0      0
AK STEEL HOLDING CORP       COMMON STOCK   001547108        7601        810800 SH    SOLE           810800      0      0
ALAMOSA PCS HOLDINGS INC    COMMON STOCK   011593100        1012         62500 SH    SOLE            62500      0      0
ALASKA AIRGROUP INC         COMMON STOCK   011659109        4860        202500 SH    SOLE           202500      0      0
ALBANY INTL CORP-CL A       COMMON STOCK   012348108        2519        209931 SH    SOLE           209931      0      0
ALBANY MOLECULAR RESEARCH   COMMON STOCK   012423109       24093        428800 SH    SOLE           428800      0      0
ALBEMARLE CORP              COMMON STOCK   012653101        7080        350700 SH    SOLE           350700      0      0
ALBERTO-CULVER CO-CL B      COMMON STOCK   013068101        3094        107400 SH    SOLE           107400      0      0
ALBERTSONS INC              COMMON STOCK   013104104       28181       1341954 SH    SOLE          1341954      0      0
ALCAN ALUMINUM LTD          COMMON STOCK   013716105       15250        527000 SH    SOLE           527000      0      0
ALCATEL ALSTHOLM CGE        FOREIGN STOCK  013904305        9014        143363 SH    SOLE           143363      0      0
ALCOA INC                   COMMON STOCK   013817101      107730       4255988 SH    SOLE          4255988      0      0
ALDILA INC                  COMMON STOCK   014384101         812        351300 SH    SOLE           351300      0      0
ALEXANDER & BALDWIN         COMMON STOCK   014482103        8323        320100 SH    SOLE           320100      0      0
ALEXION PHARMACEUTICALS     COMMON STOCK   015351109        1853         16250 SH    SOLE            16250      0      0
ALLEGHENY ENERGY INC        COMMON STOCK   017361106       31516        825300 SH    SOLE           825300      0      0
ALLEGHENY TECHNOLOGIES      COMMON STOCK   01741R102        3315        182908 SH    SOLE           182908      0      0
ALLEGIANCE TELECOM INC      COMMON STOCK   01747T102        1274         34200 SH    SOLE            34200      0      0
ALLERGAN INC                COMMON STOCK   018490102       30862        365500 SH    SOLE           365500      0      0
ALLETE                      COMMON STOCK   018522102       12487        563900 SH    SOLE           563900      0      0
ALLIANT ENERGY CORP         COMMON STOCK   018802108       17443        593800 SH    SOLE           593800      0      0
ALLIED WASTE INDUSTRIES     COMMON STOCK   019589308        3617        393700 SH    SOLE           393700      0      0
ALLMERICA FINANCIAL CP      COMMON STOCK   019754100       26035        407200 SH    SOLE           407200      0      0
ALLSTATE CORP               COMMON STOCK   020002101      109202       3142510 SH    SOLE          3142510      0      0
ALLTEL CORP                 COMMON STOCK   020039103       42692        818045 SH    SOLE           818045      0      0
ALPHARMA INC-CL A           COMMON STOCK   020813101       16363        267700 SH    SOLE           267700      0      0
ALTEON WEBSYSTEMS INC       COMMON STOCK   02145A109        1019          9400 SH    SOLE             9400      0      0
ALTERA CORP                 COMMON STOCK   021441100      110097       2305700 SH    SOLE          2305700      0      0
ALZA CORP                   COMMON STOCK   022615108       34081        394000 SH    SOLE           394000      0      0
AMBAC FINANCIAL GROUP INC   COMMON STOCK   023139108       46038        628500 SH    SOLE           628500      0      0
AMDOCS LTD                  COMMON STOCK   G02602103       24364        390600 SH    SOLE           390600      0      0
AMER ELECTRIC POWER         COMMON STOCK   025537101       36253        926600 SH    SOLE           926600      0      0
AMER HOME PRODUCTS          COMMON STOCK   026609107      247693       4379100 SH    SOLE          4379100      0      0
AMER INTERNATIONAL GROUP    COMMON STOCK   026874107      725104       7577831 SH    SOLE          7577831      0      0
AMER POWER CONVERSION       COMMON STOCK   029066107       14510        756200 SH    SOLE           756200      0      0
AMER SUPERCONDUCTOR CORP    COMMON STOCK   030111108        2438         49600 SH    SOLE            49600      0      0
AMERADA HESS CORP           COMMON STOCK   023551104       21621        323000 SH    SOLE           323000      0      0
AMERCREDIT CORP             COMMON STOCK   03060R101       14081        488700 SH    SOLE           488700      0      0
AMEREN CORPORATION          COMMON STOCK   023608102       18798        448900 SH    SOLE           448900      0      0
AMERICA ONLINE INC          COMMON STOCK   02364J104      383335       7131817 SH    SOLE          7131817      0      0
AMERICA WEST HOLDGS-CL B    COMMON STOCK   023657208         769         63100 SH    SOLE            63100      0      0
AMERICAN CAPITAL STRATEG    COMMON STOCK   024937104        1424         60100 SH    SOLE            60100      0      0
AMERICAN EAGLE OUTFITTERS   COMMON STOCK   02553E106       17287        548800 SH    SOLE           548800      0      0
AMERICAN EXPRESS CO         COMMON STOCK   025816109      226044       3720884 SH    SOLE          3720884      0      0
AMERICAN FINANCIAL GROUP    COMMON STOCK   025932104       10569        455800 SH    SOLE           455800      0      0
AMERICAN GENERAL CORP       COMMON STOCK   026351106       78854       1010955 SH    SOLE          1010955      0      0
AMERICAN GREETINGS-CL A     COMMON STOCK   026375105        6577        375800 SH    SOLE           375800      0      0
AMERICAN ITALIAN PASTA      COMMON STOCK   027070101        1128         58800 SH    SOLE            58800      0      0
AMERICAN SOFTWARE-CL A      COMMON STOCK   029683109        2614        767400 SH    SOLE           767400      0      0
AMERICAN STANDARD CO INC    COMMON STOCK   029712106       25476        573300 SH    SOLE           573300      0      0
AMERICAN TOWER CORP-CL A    COMMON STOCK   029912201        5208        138200 SH    SOLE           138200      0      0
AMERICAN WATER WORKS CO     COMMON STOCK   030411102       20446        741800 SH    SOLE           741800      0      0
AMERISOURCE HEALTH CL A     COMMON STOCK   03071P102        1462         31100 SH    SOLE            31100      0      0
AMETEK INC                  COMMON STOCK   031100100        5138        242500 SH    SOLE           242500      0      0
AMGEN INC                   COMMON STOCK   031162100      210474       3014173 SH    SOLE          3014173      0      0
AMKOR TECHNOLOGIES INC      COMMON STOCK   031652100        2874        110000 SH    SOLE           110000      0      0
AMR CORP                    COMMON STOCK   001765106       42507       1300400 SH    SOLE          1300400      0      0
AMSOUTH BANCORP             COMMON STOCK   032165102       13938       1115000 SH    SOLE          1115000      0      0
ANADARKO PETROLEUM          COMMON STOCK   032511107       54984        827326 SH    SOLE           827326      0      0
ANALOG DEVICES              COMMON STOCK   032654105       98456       1192500 SH    SOLE          1192500      0      0
ANAREN MICROWAVE INC        COMMON STOCK   032744104       16268        119950 SH    SOLE           119950      0      0
ANCHOR GAMING               COMMON STOCK   033037102         517          6500 SH    SOLE             6500      0      0
ANDREW CORP                 COMMON STOCK   034425108        8339        318450 SH    SOLE           318450      0      0
ANDRX CORP-ANDRX GROUP      COMMON STOCK   034553107        2232         23900 SH    SOLE            23900      0      0
ANHEUSER BUSCH              COMMON STOCK   035229103      112003       2647054 SH    SOLE          2647054      0      0
ANIXTER INTERNATIONAL INC   COMMON STOCK   035290105        1887         64800 SH    SOLE            64800      0      0
ANNTAYLOR STORES            COMMON STOCK   036115103       14341        373100 SH    SOLE           373100      0      0
ANNUITY AND LIFE RE(HLDG)   COMMON STOCK   G03910109        3812        158000 SH    SOLE           158000      0      0
ANTEC CORP                  COMMON STOCK   03664P105       14721        499000 SH    SOLE           499000      0      0
AON CORP                    COMMON STOCK   037389103       32440        826487 SH    SOLE           826487      0      0
APACHE CORP                 COMMON STOCK   037411105       23272        393600 SH    SOLE           393600      0      0
APOLLO GROUP INC-CL A       COMMON STOCK   037604105       24336        610300 SH    SOLE           610300      0      0
APPLE COMPUTER INC          COMMON STOCK   037833100       25771       1000800 SH    SOLE          1000800      0      0
APPLIED ANALYTICAL INDS     COMMON STOCK   037939105        3998        515900 SH    SOLE           515900      0      0
APPLIED MATERIALS INC       COMMON STOCK   038222105      183335       3091000 SH    SOLE          3091000      0      0
APPLIED MICRO CIRCUITS CP   COMMON STOCK   03822W109       57129        275900 SH    SOLE           275900      0      0
APRIA HEALTHCARE GROUP      COMMON STOCK   037933108        5339        383100 SH    SOLE           383100      0      0
APW LIMITED                 COMMON STOCK   G04397108       13986        286900 SH    SOLE           286900      0      0
ARCHER-DANIELS-MIDLAND CO   COMMON STOCK   039483102       21348       2475088 SH    SOLE          2475088      0      0
ARENA PHARMACEUTICALS INC   COMMON STOCK   040047102        3281         76300 SH    SOLE            76300      0      0
ARIBA INC                   COMMON STOCK   04033V104         860          6000 SH    SOLE             6000      0      0
ARMSTRONG HOLDINGS INC      COMMON STOCK   042384107          51          4300 SH    SOLE             4300      0      0
ARNOLD INDUSTRIES           COMMON STOCK   042595108        3127        185300 SH    SOLE           185300      0      0
ARROW ELECTRONICS           COMMON STOCK   042735100       48081       1411550 SH    SOLE          1411550      0      0
ART TECHNOLOGY GROUP INC    COMMON STOCK   04289L107         957         10100 SH    SOLE            10100      0      0
ARTESYN TECHNOLOGIES INC    COMMON STOCK   043127109         868         29800 SH    SOLE            29800      0      0
ARTHROCARE CORP             COMMON STOCK   043136100        2682        138000 SH    SOLE           138000      0      0
ARVINMERITOR INC            COMMON STOCK   043353101        7795        530750 SH    SOLE           530750      0      0
ASHLAND INC                 COMMON STOCK   044204105        9577        284300 SH    SOLE           284300      0      0
ASM LITHOGRAPHY HLDG NV     COMMON STOCK   N07059111       27046        837000 SH    SOLE           837000      0      0
ASPEN TECHNOLOGY INC        COMMON STOCK   045327103       14824        328500 SH    SOLE           328500      0      0
ASSOC FIRST CAPITAL-CL A    COMMON STOCK   046008108      183590       4831310 SH    SOLE          4831310      0      0
ASSOCIATED BANC-CORP        COMMON STOCK   045487105       13656        520240 SH    SOLE           520240      0      0
ASTORIA FINANCIAL CORP      COMMON STOCK   046265104       14894        385600 SH    SOLE           385600      0      0
ASTRAZENECA PLC-SP ADR      COMMON STOCK   046353108       55502       1055922 SH    SOLE          1055922      0      0
ASYST TECHNOLOGIES INC      COMMON STOCK   04648X107        1175         58000 SH    SOLE            58000      0      0
AT & T CORP LIBERTY MEDIA   COMMON STOCK   001957208      109492       6082890 SH    SOLE          6082890      0      0
ATLAS AIR INC               COMMON STOCK   049164106       17872        423000 SH    SOLE           423000      0      0
ATMEL CORP                  COMMON STOCK   049513104       54306       3575700 SH    SOLE          3575700      0      0
AUDIBLE INC                 COMMON STOCK   05069A104         104         87350 SH    SOLE            87350      0      0
AURORA BIOSCIENCES CORP     COMMON STOCK   051920106       13600        200000 SH    SOLE           200000      0      0
AUTODESK INC                COMMON STOCK   052769106       17486        689100 SH    SOLE           689100      0      0
AUTOMATIC DATA PROCESSING   COMMON STOCK   053015103      128895       1927400 SH    SOLE          1927400      0      0
AUTONATION INC              COMMON STOCK   05329W102        6114       1019000 SH    SOLE          1019000      0      0
AUTOZONE INC                COMMON STOCK   053332102        8095        356800 SH    SOLE           356800      0      0
AVADO BRANDS INC            COMMON STOCK   05336P108         128        170100 SH    SOLE           170100      0      0
AVANT IMMUNOTHERAPEUTICS    COMMON STOCK   053491106        3331        308086 SH    SOLE           308086      0      0
AVERY DENNISON CORP         COMMON STOCK   053611109       19876        428600 SH    SOLE           428600      0      0
AVNET INC                   COMMON STOCK   053807103       28120        991000 SH    SOLE           991000      0      0
AVOCENT CORP                COMMON STOCK   053893103       27751        503424 SH    SOLE           503424      0      0
AVON PRODUCTS INC           COMMON STOCK   054303102       46328       1133400 SH    SOLE          1133400      0      0
AVX CORP                    COMMON STOCK   002444107       10037        385100 SH    SOLE           385100      0      0
AXA FINANCIAL INC           COMMON STOCK   002451102        7712        151400 SH    SOLE           151400      0      0
AXT INC                     COMMON STOCK   00246W103        6418        153500 SH    SOLE           153500      0      0
BAKER HUGHES INC            COMMON STOCK   057224107       54776       1475460 SH    SOLE          1475460      0      0
BALL CORP                   COMMON STOCK   058498106        2906         91700 SH    SOLE            91700      0      0
BANCO SANTANDER CHILE ADR   FOREIGN STOCK  05965F108         886         60600 SH    SOLE            60600      0      0
BANDAG INC                  COMMON STOCK   059815100        5642        157000 SH    SOLE           157000      0      0
BANK OF AMERICA CORP        COMMON STOCK   060505104      335875       6412887 SH    SOLE          6412887      0      0
BANK OF NEW YORK            COMMON STOCK   064057102      118355       2111119 SH    SOLE          2111119      0      0
BANK ONE CORP               COMMON STOCK   06423A103      162272       4201226 SH    SOLE          4201226      0      0
BANK UNITED CORP-CL A       COMMON STOCK   065412108        8495        167600 SH    SOLE           167600      0      0
BANKNORTH GROUP INC         COMMON STOCK   06646R107       20079       1123300 SH    SOLE          1123300      0      0
BANTA CORP                  COMMON STOCK   066821109        5957        244400 SH    SOLE           244400      0      0
BARD (C R) INC              COMMON STOCK   067383109        8074        191100 SH    SOLE           191100      0      0
BARNES & NOBLE INC          COMMON STOCK   067774109        9192        466900 SH    SOLE           466900      0      0
BARR LABORATORIES INC       COMMON STOCK   068306109       11141        168000 SH    SOLE           168000      0      0
BARRETT RESOURCES CORP      COMMON STOCK   068480201        1906         50400 SH    SOLE            50400      0      0
BARRICK GOLD CORP           COMMON STOCK   067901108       15419       1011100 SH    SOLE          1011100      0      0
BAUSCH & LOMB INC           COMMON STOCK   071707103        5218        134000 SH    SOLE           134000      0      0
BAXTER INTERNATIONAL INC    COMMON STOCK   071813109       59325        743300 SH    SOLE           743300      0      0
BB&T CORPORATION            COMMON STOCK   054937107       29788        988800 SH    SOLE           988800      0      0
BCE INC                     COMMON STOCK   05534B109        5157        220600 SH    SOLE           220600      0      0
BE AEROSPACE INC            COMMON STOCK   073302101        1038         64400 SH    SOLE            64400      0      0
BEA SYSTEMS INC             COMMON STOCK   073325102       23750        304972 SH    SOLE           304972      0      0
BEAR STEARNS COMPANIES      COMMON STOCK   073902108       33386        529936 SH    SOLE           529936      0      0
BECKMAN COULTER INC         COMMON STOCK   075811109       20847        270300 SH    SOLE           270300      0      0
BECTON DICKINSON            COMMON STOCK   075887109       36399       1376800 SH    SOLE          1376800      0      0
BED BATH & BEYOND INC       COMMON STOCK   075896100       19405        795600 SH    SOLE           795600      0      0
BELLSOUTH CORP              COMMON STOCK   079860102      202564       5032656 SH    SOLE          5032656      0      0
BELO (A H) CORP SER A       COMMON STOCK   080555105       16173        877200 SH    SOLE           877200      0      0
BEMIS COMPANY               COMMON STOCK   081437105        4192        130500 SH    SOLE           130500      0      0
BENCHMARK ELECTRONICS INC   COMMON STOCK   08160H101        2486         47800 SH    SOLE            47800      0      0
BERGEN BRUNSWIG CL A        COMMON STOCK   083739102       11267        963992 SH    SOLE           963992      0      0
BERKSHIRE HATHAWAY CL A     COMMON STOCK   084670108       24214           376 SH    SOLE              376      0      0
BERKSHIRE HATHAWAY CL B     COMMON STOCK   084670207       23909         11550 SH    SOLE            11550      0      0
BEST BUY CO INC             COMMON STOCK   086516101       39715        624200 SH    SOLE           624200      0      0
BESTFOODS                   COMMON STOCK   08658U101       59219        814000 SH    SOLE           814000      0      0
BETHLEHEM STEEL CORP        COMMON STOCK   087509105         513        171000 SH    SOLE           171000      0      0
BINDLEY WESTERN IND         COMMON STOCK   090324104        1619         50600 SH    SOLE            50600      0      0
BIOGEN INC                  COMMON STOCK   090597105       23418        383900 SH    SOLE           383900      0      0
BIOMET INC                  COMMON STOCK   090613100       15120        432000 SH    SOLE           432000      0      0
BIORELIANCE CORP            COMMON STOCK   090951104        4305        287000 SH    SOLE           287000      0      0
BIOVAIL CORP                COMMON STOCK   09067J109        1384         17000 SH    SOLE            17000      0      0
BISYS GROUP (THE)           COMMON STOCK   055472104       19893        257300 SH    SOLE           257300      0      0
BJ SERVICES CO              COMMON STOCK   055482103       41638        681200 SH    SOLE           681200      0      0
BJ'S WHOLESALE CLUB INC     COMMON STOCK   05548J106       18892        553600 SH    SOLE           553600      0      0
BLACK & DECKER CORP         COMMON STOCK   091797100        7501        219400 SH    SOLE           219400      0      0
BLACK BOX CORP              COMMON STOCK   091826107        2047         43900 SH    SOLE            43900      0      0
BLACK HILLS CORP            COMMON STOCK   092113109        4333        154400 SH    SOLE           154400      0      0
BLOCK H & R INC             COMMON STOCK   093671105        9536        257300 SH    SOLE           257300      0      0
BLUE MARTINI SOFTWARE INC   COMMON STOCK   095698106         525         15500 SH    SOLE            15500      0      0
BLYTH INDUSTRIES INC        COMMON STOCK   09643P108        8585        366300 SH    SOLE           366300      0      0
BMC SOFTWARE INC            COMMON STOCK   055921100       12344        645424 SH    SOLE           645424      0      0
BOB EVANS FARMS             COMMON STOCK   096761101        5182        280132 SH    SOLE           280132      0      0
BOEING CO                   COMMON STOCK   097023105      183735       2916422 SH    SOLE          2916422      0      0
BOISE CASCADE CORP          COMMON STOCK   097383103        4682        176273 SH    SOLE           176273      0      0
BORDERS GROUP INC           COMMON STOCK   099709107        8218        589600 SH    SOLE           589600      0      0
BORG WARNER AUTOMOTIVE      COMMON STOCK   099724106        6791        205000 SH    SOLE           205000      0      0
BOSTON SCIENTIFIC CORP      COMMON STOCK   101137107       20863       1269236 SH    SOLE          1269236      0      0
BOWATER INC                 COMMON STOCK   102183100       18784        404500 SH    SOLE           404500      0      0
BP AMOCO PLC-SP ADR         FOREIGN STOCK  055622104       79238       1495066 SH    SOLE          1495066      0      0
BRIGGS & STRATTON           COMMON STOCK   109043109        3615         95600 SH    SOLE            95600      0      0
BRINKER INTERNATIONAL INC   COMMON STOCK   109641100       17328        575199 SH    SOLE           575199      0      0
BRISTOL-MYERS SQUIBB CO     COMMON STOCK   110122108      403737       7067600 SH    SOLE          7067600      0      0
BROADBASE SOFTWARE INC      COMMON STOCK   11130R100         591         43600 SH    SOLE            43600      0      0
BROADCOM CORP-CL A          COMMON STOCK   111320107      140839        577800 SH    SOLE           577800      0      0
BROADWING INC               COMMON STOCK   111620100       48881       1912200 SH    SOLE          1912200      0      0
BROCADE COMMUNICATIONS      COMMON STOCK   111621108        3068         13000 SH    SOLE            13000      0      0
BROKEN HILL PROPRIETARY     FOREIGN STOCK  112169602        1849         90200 SH    SOLE            90200      0      0
BROWN (TOM) INC             COMMON STOCK   115660201        1367         55800 SH    SOLE            55800      0      0
BROWN FORMAN-CL B           COMMON STOCK   115637209       10200        186300 SH    SOLE           186300      0      0
BRUNSWICK CORP              COMMON STOCK   117043109        3285        180000 SH    SOLE           180000      0      0
BRUSH WELLMAN INC           COMMON STOCK   117421107         954         44100 SH    SOLE            44100      0      0
BUFFETS INC                 COMMON STOCK   119882108        4238        308200 SH    SOLE           308200      0      0
BURLINGTON NO SANTA FE      COMMON STOCK   12189T104       38858       1802092 SH    SOLE          1802092      0      0
BURLINGTON RESOURCES INC    COMMON STOCK   122014103       20628        560340 SH    SOLE           560340      0      0
C I T GROUP INC-CLA         COMMON STOCK   125577106       27458       1569000 SH    SOLE          1569000      0      0
C P & L ENERGY INC          COMMON STOCK   12614C106       22403        537400 SH    SOLE           537400      0      0
C&D TECHNOLOGIES INC        COMMON STOCK   124661109       10618        187100 SH    SOLE           187100      0      0
CABLE DESIGN TECHNOLOGIES   COMMON STOCK   126924109        3629        149250 SH    SOLE           149250      0      0
CABLETRON SYSTEMS           COMMON STOCK   126920107       13125        446800 SH    SOLE           446800      0      0
CABLEVISION SYSTEMS CL A    COMMON STOCK   12686C109        8183        123400 SH    SOLE           123400      0      0
CABOT CORP                  COMMON STOCK   127055101       15860        500500 SH    SOLE           500500      0      0
CABOT MICROELECTRONICS      COMMON STOCK   12709P103         950         19800 SH    SOLE            19800      0      0
CADENCE DESIGN SYSTEMS      COMMON STOCK   127387108       65669       2556450 SH    SOLE          2556450      0      0
CAL DIVE INTL INC           COMMON STOCK   127914109        4981         87100 SH    SOLE            87100      0      0
CALIFORNIA AMPLIFIER INC    COMMON STOCK   129900106        2473        107500 SH    SOLE           107500      0      0
CALIFORNIA PIZZA KITCHEN    COMMON STOCK   13054D109        8330        297500 SH    SOLE           297500      0      0
CALLAWAY GOLF               COMMON STOCK   131193104        9972        648600 SH    SOLE           648600      0      0
CALPINE CORPORATION         COMMON STOCK   131347106      128079       1227100 SH    SOLE          1227100      0      0
CAMBREX CORP                COMMON STOCK   132011107        2812         76000 SH    SOLE            76000      0      0
CAMBRIDGE TECH PARTNERS     COMMON STOCK   132524109        1907        435800 SH    SOLE           435800      0      0
CAMINUS CORP                COMMON STOCK   133766105        4881        122800 SH    SOLE           122800      0      0
CAMPBELL SOUP CO            COMMON STOCK   134429109       46262       1787900 SH    SOLE          1787900      0      0
CANADIAN NATL RAILWAY CO    COMMON STOCK   136375102        3992        136200 SH    SOLE           136200      0      0
CANADIAN PACIFIC LTD        COMMON STOCK   135923100       31002       1192400 SH    SOLE          1192400      0      0
CAPITAL ONE FINANCIAL       COMMON STOCK   14040H105       40489        577900 SH    SOLE           577900      0      0
CARDINAL HEALTH INC         COMMON STOCK   14149Y108       74416        843839 SH    SOLE           843839      0      0
CAREMARK RX INC             COMMON STOCK   141705103        2688        238900 SH    SOLE           238900      0      0
CARLISLE COMPANIES INC      COMMON STOCK   142339100       23008        554400 SH    SOLE           554400      0      0
CARNIVAL CORP               COMMON STOCK   143658102       44032       1788100 SH    SOLE          1788100      0      0
CARPENTER TECHNOLOGY        COMMON STOCK   144285103        4657        159900 SH    SOLE           159900      0      0
CARRIER ACCESS CORP         COMMON STOCK   144460102         283         14300 SH    SOLE            14300      0      0
CARTER-WALLACE INC          COMMON STOCK   146285101        8135        332900 SH    SOLE           332900      0      0
CASELLA WASTE SYSTEMS-CLA   COMMON STOCK   147448104         249         24600 SH    SOLE            24600      0      0
CATALINA MARKETING CORP     COMMON STOCK   148867104        3845        102200 SH    SOLE           102200      0      0
CATERPILLAR INC             COMMON STOCK   149123101       55711       1650700 SH    SOLE          1650700      0      0
CBRL GROUP INC              COMMON STOCK   12489V106        5742        399475 SH    SOLE           399475      0      0
CDW COMPUTER CENTERS        COMMON STOCK   125129106       49715        720500 SH    SOLE           720500      0      0
CEC ENTERTAINMENT INC       COMMON STOCK   125137109        3973        124150 SH    SOLE           124150      0      0
CELERITEK INC               COMMON STOCK   150926103        6772        179700 SH    SOLE           179700      0      0
CELGENE CORP                COMMON STOCK   151020104       24029        403850 SH    SOLE           403850      0      0
CELLSTAR CORP               COMMON STOCK   150925105         421        133400 SH    SOLE           133400      0      0
CENDANT CORP                COMMON STOCK   151313103       25875       2379319 SH    SOLE          2379319      0      0
CENTEX CORP                 COMMON STOCK   152312104        9056        281900 SH    SOLE           281900      0      0
CENTRAIS ELETRICAS ADR      FOREIGN STOCK  15234Q207        5567        570600 SH    SOLE           570600      0      0
CENTRAL GARDEN & PET CO     COMMON STOCK   153527106         947        136500 SH    SOLE           136500      0      0
CENTURYTEL INC              COMMON STOCK   156700106       10192        374000 SH    SOLE           374000      0      0
CEPHALON INC                COMMON STOCK   156708109        1125         23200 SH    SOLE            23200      0      0
CERIDIAN CORP               COMMON STOCK   15677T106        9617        342700 SH    SOLE           342700      0      0
CERNER CORP                 COMMON STOCK   156782104        7690        165600 SH    SOLE           165600      0      0
CH ROBINSON WORLD WIDE      COMMON STOCK   12541W100       19078        338500 SH    SOLE           338500      0      0
CHARLES RIVER LABS          COMMON STOCK   159864107        1394         41000 SH    SOLE            41000      0      0
CHARTER COMMUNICATN-CL A    COMMON STOCK   16117M107        6456        396900 SH    SOLE           396900      0      0
CHARTER ONE FINANCIAL       COMMON STOCK   160903100       12970        532101 SH    SOLE           532101      0      0
CHASE MANHATTAN CORP        COMMON STOCK   16161A108      236569       5121928 SH    SOLE          5121928      0      0
CHECKFREE CORP              COMMON STOCK   162813109       33089        789900 SH    SOLE           789900      0      0
CHECKPOINT SYSTEMS          COMMON STOCK   162825103         406         53700 SH    SOLE            53700      0      0
CHEESECAKE FACTORY (THE)    COMMON STOCK   163072101       13562        313575 SH    SOLE           313575      0      0
CHEVRON CORP                COMMON STOCK   166751107      209297       2455100 SH    SOLE          2455100      0      0
CHICO'S FAS INC             COMMON STOCK   168615102        1608         47300 SH    SOLE            47300      0      0
CHIRON CORP                 COMMON STOCK   170040109       61482       1366264 SH    SOLE          1366264      0      0
CHRIS-CRAFT INDUSTRIES      COMMON STOCK   170520100       21969        266701 SH    SOLE           266701      0      0
CHRISTOPHER & BANKS CORP    COMMON STOCK   171046105        8134        209225 SH    SOLE           209225      0      0
CHUBB CORP                  COMMON STOCK   171232101       43970        555700 SH    SOLE           555700      0      0
CHURCH & DWIGHT CO          COMMON STOCK   171340102        6268        341100 SH    SOLE           341100      0      0
CIA CERVECERIA UNIDAS-ADR   FOREIGN STOCK  204429104        1140         50650 SH    SOLE            50650      0      0
CIA TELECOM CHILE-ADR NEW   FOREIGN STOCK  204449300        1468         84500 SH    SOLE            84500      0      0
CIENA CORP                  COMMON STOCK   171779101        6356         51752 SH    SOLE            51752      0      0
CIGNA CORP                  COMMON STOCK   125509109       57681        552500 SH    SOLE           552500      0      0
CIMA LABS INC               COMMON STOCK   171796105       10501        201700 SH    SOLE           201700      0      0
CINCINNATI FINANCIAL CP     COMMON STOCK   172062101       23093        650497 SH    SOLE           650497      0      0
CINERGY CORP                COMMON STOCK   172474108       30749        930016 SH    SOLE           930016      0      0
CINTAS CORP                 COMMON STOCK   172908105       54895       1260150 SH    SOLE          1260150      0      0
CIPHERGEN BIOSYSTEMS        COMMON STOCK   17252Y104         173          5400 SH    SOLE             5400      0      0
CIRCUIT CITY STORES         COMMON STOCK   172737108       12031        523100 SH    SOLE           523100      0      0
CIRRUS LOGIC INC            COMMON STOCK   172755100       23345        579100 SH    SOLE           579100      0      0
CISCO SYSTEMS INC           COMMON STOCK   17275R102     1300308      23534979 SH    SOLE         23534979      0      0
CITIGROUP INC               COMMON STOCK   172967101      897874      16608071 SH    SOLE         16608071      0      0
CITRIX SYSTEMS INC          COMMON STOCK   177376100       11030        549800 SH    SOLE           549800      0      0
CITY NATIONAL CORP          COMMON STOCK   178566105       16629        430533 SH    SOLE           430533      0      0
CLAIRES STORES INC          COMMON STOCK   179584107        6868        381575 SH    SOLE           381575      0      0
CLAYTON HOMES INC           COMMON STOCK   184190106        9865        986510 SH    SOLE           986510      0      0
CLEAR CHANNEL COMMUNICA     COMMON STOCK   184502102      108378       1918188 SH    SOLE          1918188      0      0
CLECO CORPORATION           COMMON STOCK   12561W105        7854        168000 SH    SOLE           168000      0      0
CLEVELAND-CLIFFS INC        COMMON STOCK   185896107        1787         78100 SH    SOLE            78100      0      0
CLOROX CO                   COMMON STOCK   189054109       46461       1174370 SH    SOLE          1174370      0      0
CMGI INC                    COMMON STOCK   125750109         950         34000 SH    SOLE            34000      0      0
CMS ENERGY CORP             COMMON STOCK   125896100       14428        535600 SH    SOLE           535600      0      0
CNA FINANCIAL CORP          COMMON STOCK   126117100        2869         75000 SH    SOLE            75000      0      0
CNET NETWORKS INC           COMMON STOCK   12613R104        5409        222045 SH    SOLE           222045      0      0
CNF TRANSPORTATION INC      COMMON STOCK   12612W104        9127        410200 SH    SOLE           410200      0      0
CNH GLOBAL NV               COMMON STOCK   N20935107        2543        254300 SH    SOLE           254300      0      0
COASTAL CORP                COMMON STOCK   190441105       40606        547800 SH    SOLE           547800      0      0
COCA-COLA COMPANY           COMMON STOCK   191216100      380411       6900874 SH    SOLE          6900874      0      0
COCA-COLA ENTERPRISES       COMMON STOCK   191219104       16098       1010100 SH    SOLE          1010100      0      0
COGNEX CORP                 COMMON STOCK   192422103       10695        271200 SH    SOLE           271200      0      0
COGNIZANT TECH SOLUTIONS    COMMON STOCK   192446102        7983        204700 SH    SOLE           204700      0      0
COLDWATER CREEK INC         COMMON STOCK   193068103         807         29900 SH    SOLE            29900      0      0
COLGATE-PALMOLIVE CO        COMMON STOCK   194162103      117039       2479650 SH    SOLE          2479650      0      0
COLUMBIA ENERGY GROUP       COMMON STOCK   197648108       17349        244350 SH    SOLE           244350      0      0
COMCAST CORP CL A           COMMON STOCK   200300101         960         23600 SH    SOLE            23600      0      0
COMCAST CORP-SPECIAL CL A   COMMON STOCK   200300200      165134       4033796 SH    SOLE          4033796      0      0
COMDISCO INC                COMMON STOCK   200336105       21892       1148410 SH    SOLE          1148410      0      0
COMERICA INC                COMMON STOCK   200340107       26818        458924 SH    SOLE           458924      0      0
COMMERCE BANCSHARES INC     COMMON STOCK   200525103        2737         74341 SH    SOLE            74341      0      0
COMMSCOPE INC               COMMON STOCK   203372107        9489        387300 SH    SOLE           387300      0      0
COMMUNITY HEALTH SYSTEMS    COMMON STOCK   203668108        2564         79800 SH    SOLE            79800      0      0
COMPAQ COMPUTER CORP        COMMON STOCK   204493100      171742       6227040 SH    SOLE          6227040      0      0
COMPASS BANCSHARES INC      COMMON STOCK   20449H109       18297        938300 SH    SOLE           938300      0      0
COMPUCOM SYSTEMS INC        COMMON STOCK   204780100         385        143200 SH    SOLE           143200      0      0
COMPUCREDIT CORP            COMMON STOCK   20478N100       11696        208500 SH    SOLE           208500      0      0
COMPUTER ASSOCIATES INTL    COMMON STOCK   204912109       75917       3014062 SH    SOLE          3014062      0      0
COMPUTER LEARNING CENTERS   COMMON STOCK   205199102           2          1627 SH    SOLE             1627      0      0
COMPUTER SCIENCES CORP      COMMON STOCK   205363104       32284        434800 SH    SOLE           434800      0      0
COMPUWARE CORP              COMMON STOCK   205638109       23163       2765700 SH    SOLE          2765700      0      0
COMVERSE TECHNOLOGY INC     COMMON STOCK   205862402       50933        471600 SH    SOLE           471600      0      0
CONAGRA INC                 COMMON STOCK   205887102       41253       2056240 SH    SOLE          2056240      0      0
CONCORD COMMUNICATIONS      COMMON STOCK   206186108        7852        296300 SH    SOLE           296300      0      0
CONCORD EFS INC             COMMON STOCK   206197105       59949       1687950 SH    SOLE          1687950      0      0
CONCURRENT COMPUTER CORP    COMMON STOCK   206710204        4235        222900 SH    SOLE           222900      0      0
CONECTIV INC                COMMON STOCK   206829103       11779        658975 SH    SOLE           658975      0      0
CONEXANT SYSTEMS INC        COMMON STOCK   207142100       24413        583000 SH    SOLE           583000      0      0
CONOCO INC-CL B             COMMON STOCK   208251405       46504       1726351 SH    SOLE          1726351      0      0
CONSECO INC                 COMMON STOCK   208464107        7565        992126 SH    SOLE           992126      0      0
CONSOLIDATED EDISON INC     COMMON STOCK   209115104       20369        596900 SH    SOLE           596900      0      0
CONSOLIDATED STORES         COMMON STOCK   210149100        3710        274851 SH    SOLE           274851      0      0
CONSTELLATION BRANDS CL A   COMMON STOCK   21036P108        7169        132000 SH    SOLE           132000      0      0
CONSTELLATION ENERGY GRP    COMMON STOCK   210371100       19328        388500 SH    SOLE           388500      0      0
CONTINENTAL AIRLINES-CL B   COMMON STOCK   210795308       26386        580700 SH    SOLE           580700      0      0
CONVERGYS CORP              COMMON STOCK   212485106       19609        504400 SH    SOLE           504400      0      0
COOPER CAMERON CORP         COMMON STOCK   216640102       35481        481500 SH    SOLE           481500      0      0
COOPER INDUSTRIES INC       COMMON STOCK   216669101        9542        270700 SH    SOLE           270700      0      0
COOPER TIRE & RUBBER        COMMON STOCK   216831107        1717        170600 SH    SOLE           170600      0      0
COORS (ADOLPH) CL B         COMMON STOCK   217016104        8050        127400 SH    SOLE           127400      0      0
COPPER MOUNTAIN NETWORK     COMMON STOCK   217510106         934         24900 SH    SOLE            24900      0      0
COR THERAPUTICS INC         COMMON STOCK   217753102        1838         29500 SH    SOLE            29500      0      0
CORDIANT COMM GRP-SP ADR    COMMON STOCK   218514206        1031         54829 SH    SOLE            54829      0      0
CORIXA CORP                 COMMON STOCK   21887F100         578         11500 SH    SOLE            11500      0      0
CORNING INC                 COMMON STOCK   219350105      267341        900139 SH    SOLE           900139      0      0
CORPORATE EXECUTIVE BOARD   COMMON STOCK   21988R102        9225        229200 SH    SOLE           229200      0      0
CORVIS CORP                 COMMON STOCK   221009103         574          9400 SH    SOLE             9400      0      0
COSINE COMMUNICATIONS INC   COMMON STOCK   221222102         150          2700 SH    SOLE             2700      0      0
COST PLUS INC               COMMON STOCK   221485105        7180        238350 SH    SOLE           238350      0      0
COSTAR GROUP INC            COMMON STOCK   22160N109        1493         40360 SH    SOLE            40360      0      0
COSTCO WHOLESALE CORP       COMMON STOCK   22160K105       39273       1124090 SH    SOLE          1124090      0      0
COUNTRYWIDE CREDIT IND      COMMON STOCK   222372104       66909       1772430 SH    SOLE          1772430      0      0
COVANCE INC                 COMMON STOCK   222816100        3196        390325 SH    SOLE           390325      0      0
COX RADIO INC               COMMON STOCK   224051102        1067         61200 SH    SOLE            61200      0      0
CRANE COMPANY               COMMON STOCK   224399105       14470        632575 SH    SOLE           632575      0      0
CREATIVE TECHNOLOGY LTD     COMMON STOCK   Y1775U107        2967        143000 SH    SOLE           143000      0      0
CREDENCE SYSTEMS CORP       COMMON STOCK   225302108       25650        855000 SH    SOLE           855000      0      0
CREE RESEARCH INC           COMMON STOCK   225447101        1430         12300 SH    SOLE            12300      0      0
CRITICAL PATH INC           COMMON STOCK   22674V100        5589         92000 SH    SOLE            92000      0      0
CROMPTON CORPORATION        COMMON STOCK   227116100        6625        841216 SH    SOLE           841216      0      0
CROSS TIMBERS OIL CO        COMMON STOCK   227573102        4559        237587 SH    SOLE           237587      0      0
CROWN CASTLE INTL CORP      COMMON STOCK   228227104        3196        102900 SH    SOLE           102900      0      0
CROWN CORK & SEAL CO INC    COMMON STOCK   228255105        3110        291000 SH    SOLE           291000      0      0
CSG SYSTEMS INTL INC        COMMON STOCK   126349109       11617        400600 SH    SOLE           400600      0      0
CSX CORP                    COMMON STOCK   126408103       14298        655500 SH    SOLE           655500      0      0
CTS CORP                    COMMON STOCK   126501105        1574         31100 SH    SOLE            31100      0      0
CULLEN FROST BANK           COMMON STOCK   229899109        1014         31200 SH    SOLE            31200      0      0
CUMMINS ENGINE              COMMON STOCK   231021106        3877        129500 SH    SOLE           129500      0      0
CVS CORP                    COMMON STOCK   126650100      123231       2660848 SH    SOLE          2660848      0      0
CYBEAR GROUP                COMMON STOCK   23243C102           5          3557 SH    SOLE             3557      0      0
CYMER INC                   COMMON STOCK   232572107        2148         70000 SH    SOLE            70000      0      0
CYPRESS SEMICONDUCTOR       COMMON STOCK   232806109       44094       1060900 SH    SOLE          1060900      0      0
CYTEC INDUSTRIES INC        COMMON STOCK   232820100       10289        307700 SH    SOLE           307700      0      0
CYTYC CORP                  COMMON STOCK   232946103       10984        254700 SH    SOLE           254700      0      0
D P L INC                   COMMON STOCK   233293109       29331        985900 SH    SOLE           985900      0      0
DANA CORP                   COMMON STOCK   235811106        9977        464060 SH    SOLE           464060      0      0
DANAHER CORP                COMMON STOCK   235851102       18736        376600 SH    SOLE           376600      0      0
DARDEN RESTAURANTS INC      COMMON STOCK   237194105        7089        340600 SH    SOLE           340600      0      0
DATASTREAM SYSTEMS INC      COMMON STOCK   238124101        5664        439900 SH    SOLE           439900      0      0
DDI CORP                    COMMON STOCK   233162106        1474         33300 SH    SOLE            33300      0      0
DEAN FOODS CO               COMMON STOCK   242361103        8597        258550 SH    SOLE           258550      0      0
DEERE & CO                  COMMON STOCK   244199105       22174        666900 SH    SOLE           666900      0      0
DELHAIZE AMERICA INC        COMMON STOCK   246688105         103          5923 SH    SOLE             5923      0      0
DELL COMPUTER CORP          COMMON STOCK   247025109      301762       9793500 SH    SOLE          9793500      0      0
DELPHI AUTOMOTIVE SYSTEMS   COMMON STOCK   247126105       34355       2271397 SH    SOLE          2271397      0      0
DELTA & PINE LAND CO        COMMON STOCK   247357106        1051         40900 SH    SOLE            40900      0      0
DELTA AIR LINES INC         COMMON STOCK   247361108       17950        404500 SH    SOLE           404500      0      0
DELUXE CORP                 COMMON STOCK   248019101        2951        145300 SH    SOLE           145300      0      0
DENDRITE INTL INC           COMMON STOCK   248239105       12466        464950 SH    SOLE           464950      0      0
DENTSPLY INTERNATIONAL      COMMON STOCK   249030107       13360        382400 SH    SOLE           382400      0      0
DEVON ENERGY CORP           COMMON STOCK   25179M103       17168        285424 SH    SOLE           285424      0      0
DEVRY INC                   COMMON STOCK   251893103       20415        542600 SH    SOLE           542600      0      0
DEXTER CORP                 COMMON STOCK   252165105       10380        173000 SH    SOLE           173000      0      0
DIAGNOSTIC PRODUCTS CORP    COMMON STOCK   252450101       16104        300300 SH    SOLE           300300      0      0
DIAL CORP                   COMMON STOCK   25247D101        7932        682300 SH    SOLE           682300      0      0
DIAMOND OFFSHORE DRILLING   COMMON STOCK   25271C102        1148         28000 SH    SOLE            28000      0      0
DIAMOND TECH PARTNERS INC   COMMON STOCK   252762109       20909        281600 SH    SOLE           281600      0      0
DIEBOLD INC                 COMMON STOCK   253651103       14366        540830 SH    SOLE           540830      0      0
DIGI INTERNATIONAL INC      COMMON STOCK   253798102         365         46400 SH    SOLE            46400      0      0
DIGITAL GENERATION SYSTEM   COMMON STOCK   253921100         869        204400 SH    SOLE           204400      0      0
DIGITAL LIGHTWAVE INC       COMMON STOCK   253855100       14993        206450 SH    SOLE           206450      0      0
DILLARDS INC-CL A           COMMON STOCK   254067101        2138        201200 SH    SOLE           201200      0      0
DIME BANCORP INC            COMMON STOCK   25429Q102       19091        885400 SH    SOLE           885400      0      0
DIONEX CORP                 COMMON STOCK   254546104        3365        121800 SH    SOLE           121800      0      0
DITECH COMMUNICATIONS CP    COMMON STOCK   25500M103         964         23500 SH    SOLE            23500      0      0
DMC STRATEX NETWORKS INC    COMMON STOCK   23322L106        1850        115200 SH    SOLE           115200      0      0
DOBSON COMMUNICATIONS-CLA   COMMON STOCK   256069105        1620        110300 SH    SOLE           110300      0      0
DOCUMENTUM INC              COMMON STOCK   256159104        5375         66200 SH    SOLE            66200      0      0
DOLE FOOD CO                COMMON STOCK   256605106        6267        417800 SH    SOLE           417800      0      0
DOLLAR GENERAL CORP         COMMON STOCK   256669102       16595        990757 SH    SOLE           990757      0      0
DOLLAR TREE STORES INC      COMMON STOCK   256747106       42102       1037950 SH    SOLE          1037950      0      0
DOMINION RESOURCES INC/VA   COMMON STOCK   25746U109       35231        606774 SH    SOLE           606774      0      0
DONALDSON CO INC            COMMON STOCK   257651109        7698        349900 SH    SOLE           349900      0      0
DONNELLEY (R R) & SONS      COMMON STOCK   257867101        7320        298000 SH    SOLE           298000      0      0
DORAL FINANCIAL CORP        COMMON STOCK   25811P100        1120         69200 SH    SOLE            69200      0      0
DOUBLECLICK INC             COMMON STOCK   258609304         870         27200 SH    SOLE            27200      0      0
DOVER CORP                  COMMON STOCK   260003108       49848       1062000 SH    SOLE          1062000      0      0
DOW CHEMICAL CO             COMMON STOCK   260543103       99164       3976500 SH    SOLE          3976500      0      0
DOW JONES & CO INC          COMMON STOCK   260561105       25840        427100 SH    SOLE           427100      0      0
DQE INC                     COMMON STOCK   23329J104       17956        447500 SH    SOLE           447500      0      0
DREYERS GRAND ICE CREAM     COMMON STOCK   261878102        4416        204800 SH    SOLE           204800      0      0
DSP GROUP INC               COMMON STOCK   23332B106       15503        414800 SH    SOLE           414800      0      0
DST SYSTEMS INC             COMMON STOCK   233326107       55824        475100 SH    SOLE           475100      0      0
DTE ENERGY CO               COMMON STOCK   233331107       23069        603100 SH    SOLE           603100      0      0
DUKE ENERGY CORP            COMMON STOCK   264399106       84729        988088 SH    SOLE           988088      0      0
DUN & BRADSTREET INC        COMMON STOCK   26483B106       14550        422500 SH    SOLE           422500      0      0
DUPONT (E I) DE NEMOURS     COMMON STOCK   263534109      148890       3593122 SH    SOLE          3593122      0      0
DURA PHARMACEUTICALS INC    COMMON STOCK   26632S109       13867        392000 SH    SOLE           392000      0      0
DURECT CORPORATION          COMMON STOCK   266605104          38          2500 SH    SOLE             2500      0      0
DUSA PHARMACEUTICALS INC    COMMON STOCK   266898105        1069         34700 SH    SOLE            34700      0      0
DYAX CORP                   COMMON STOCK   26746E103        4883        111600 SH    SOLE           111600      0      0
DYCOM INDUSTRIES INC        COMMON STOCK   267475101        2406         57800 SH    SOLE            57800      0      0
DYNEGY INC CLASS A          COMMON STOCK   26816Q101      130198       2284180 SH    SOLE          2284180      0      0
E TRADE GROUP, INC          COMMON STOCK   269246104       39961       2431100 SH    SOLE          2431100      0      0
EARTHLINK INC               COMMON STOCK   270321102        2539        278215 SH    SOLE           278215      0      0
EASTERN ENTERPRISES         COMMON STOCK   27637F100        4646         72800 SH    SOLE            72800      0      0
EASTMAN CHEMICAL CO         COMMON STOCK   277432100        8497        230050 SH    SOLE           230050      0      0
EASTMAN KODAK CO            COMMON STOCK   277461109       37846        925900 SH    SOLE           925900      0      0
EATON CORP                  COMMON STOCK   278058102       14346        232800 SH    SOLE           232800      0      0
ECHOSTAR COMMUN CL A        COMMON STOCK   278762109       21643        410300 SH    SOLE           410300      0      0
ECLIPSE SURGICAL TECH INC   COMMON STOCK   278849104        1957        489200 SH    SOLE           489200      0      0
ECOLAB INC                  COMMON STOCK   278865100       25536        708100 SH    SOLE           708100      0      0
EDEN BIOSCIENCE CORP        COMMON STOCK   279445100         284          8600 SH    SOLE             8600      0      0
EDGEWATER TECHNOLOGY INC    COMMON STOCK   280358102         544        103600 SH    SOLE           103600      0      0
EDISON INTERNATIONAL        COMMON STOCK   281020107       22431       1161500 SH    SOLE          1161500      0      0
EDISON SCHOOLS INC          COMMON STOCK   281033100        6248        196800 SH    SOLE           196800      0      0
EDWARDS (A G) INC           COMMON STOCK   281760108       37541        717629 SH    SOLE           717629      0      0
EDWARDS LIFESCIENCES CORP   COMMON STOCK   28176E108        9514        436180 SH    SOLE           436180      0      0
EFFICIENT NETWORKS INC      COMMON STOCK   282056100        5438        145752 SH    SOLE           145752      0      0
EGL INC                     COMMON STOCK   268484102        2027         67000 SH    SOLE            67000      0      0
EL PASO ENERGY CORP         COMMON STOCK   283905107       39680        643900 SH    SOLE           643900      0      0
ELAN CORP PLC-SP ADR        COMMON STOCK   284131208        9472        173000 SH    SOLE           173000      0      0
ELANTEC SEMICONDUCTOR INC   COMMON STOCK   284155108       29678        297900 SH    SOLE           297900      0      0
ELECTRO SCIENTIFIC INDS     COMMON STOCK   285229100         906         25800 SH    SOLE            25800      0      0
ELECTROGLAS INC             COMMON STOCK   285324109         799         46800 SH    SOLE            46800      0      0
ELECTRONIC ARTS INC         COMMON STOCK   285512109       48269        977600 SH    SOLE           977600      0      0
ELECTRONIC DATA SYSTEMS     COMMON STOCK   285661104       64831       1562200 SH    SOLE          1562200      0      0
ELECTRONICS FOR IMAGING     COMMON STOCK   286082102        1252         49600 SH    SOLE            49600      0      0
EMBOTELLADORA ANDINA S A    FOREIGN STOCK  29081P204         681         53700 SH    SOLE            53700      0      0
EMC CORPORATION             COMMON STOCK   268648102      642144       6478126 SH    SOLE          6478126      0      0
EMCORE CORP                 COMMON STOCK   290846104        1364         32800 SH    SOLE            32800      0      0
EMERSON ELECTRIC CO         COMMON STOCK   291011104       96842       1445400 SH    SOLE          1445400      0      0
EMMIS COMMUNICATIONS-CL A   COMMON STOCK   291525103        8088        326800 SH    SOLE           326800      0      0
ENDOCARE INC                COMMON STOCK   29264P104        1260         63800 SH    SOLE            63800      0      0
ENERGIZER HOLDINGS INC      COMMON STOCK   29266R108       17486        713733 SH    SOLE           713733      0      0
ENERGY EAST CORPORATION     COMMON STOCK   29266M109       21062        930900 SH    SOLE           930900      0      0
ENERSIS ADS                 FOREIGN STOCK  29274F104        1592         89400 SH    SOLE            89400      0      0
ENGELHARD CORP              COMMON STOCK   292845104        5923        364512 SH    SOLE           364512      0      0
ENGINEERING ANIMATION INC   COMMON STOCK   292872108        3886        286500 SH    SOLE           286500      0      0
ENRON CORP                  COMMON STOCK   293561106      187877       2144104 SH    SOLE          2144104      0      0
ENSCO INTERNATIONAL INC     COMMON STOCK   26874Q100       40820       1067200 SH    SOLE          1067200      0      0
ENTERGY CORP                COMMON STOCK   29364G103       34147        916700 SH    SOLE           916700      0      0
ENTRAVISION COMM            COMMON STOCK   29382R107         733         42200 SH    SOLE            42200      0      0
ENTRUST TECHNOLOGIES INC    COMMON STOCK   293848107        6253        226362 SH    SOLE           226362      0      0
ENZON INC                   COMMON STOCK   293904108        9768        148000 SH    SOLE           148000      0      0
EOG RESOURCES INC           COMMON STOCK   26875P101        1050         27000 SH    SOLE            27000      0      0
EPICOR SOFTWARE CORP        COMMON STOCK   29426L108        1494        426900 SH    SOLE           426900      0      0
EQUIFAX INC                 COMMON STOCK   294429105        9991        370900 SH    SOLE           370900      0      0
EQUITY OFFICE PROPERTIES    FOREIGN STOCK  294741103        1195         38475 SH    SOLE            38475      0      0
ERICSSON L M TEL CO - ADR   FOREIGN STOCK  294821400       11955        807088 SH    SOLE           807088      0      0
ESS TECHNOLOGY INC          COMMON STOCK   269151106        1311         91600 SH    SOLE            91600      0      0
ESTEE LAUDER CO-CL A        COMMON STOCK   518439104        3087         84300 SH    SOLE            84300      0      0
ETHYL CORP                  COMMON STOCK   297659104         277        192700 SH    SOLE           192700      0      0
EVEREST RE GROUP LTD        COMMON STOCK   G3223R108       28477        575300 SH    SOLE           575300      0      0
EVOLVE SOFTWARE INC         COMMON STOCK   30049P104         840         35000 SH    SOLE            35000      0      0
EXAR CORP                   COMMON STOCK   300645108       20249        167350 SH    SOLE           167350      0      0
EXCHANGE APPLICATIONS INC   COMMON STOCK   300867108         136         30100 SH    SOLE            30100      0      0
EXPEDITORS INTL WASH INC    COMMON STOCK   302130109        1118         24800 SH    SOLE            24800      0      0
EXPRESS SCRIPTS CL A        COMMON STOCK   302182100       27498        380600 SH    SOLE           380600      0      0
EXTREME NETWORKS INC        COMMON STOCK   30226D106       34568        301900 SH    SOLE           301900      0      0
EXXON MOBIL CORP            COMMON STOCK   30231G102      988600      11092283 SH    SOLE         11092283      0      0
FAIR ISAAC & CO INC         COMMON STOCK   303250104        7974        186800 SH    SOLE           186800      0      0
FAIRCHILD SEMIC INTL-CL A   COMMON STOCK   303726103         759         27000 SH    SOLE            27000      0      0
FAMILY DOLLAR STORES        COMMON STOCK   307000109       27154       1410600 SH    SOLE          1410600      0      0
FANNIE MAE                  COMMON STOCK   313586109      248913       3481300 SH    SOLE          3481300      0      0
FASTENAL CO                 COMMON STOCK   311900104       18541        321750 SH    SOLE           321750      0      0
FEDERAL HOME LN MTG CORP    COMMON STOCK   313400301      198307       3668100 SH    SOLE          3668100      0      0
FEDERAL SIGNAL CORP         COMMON STOCK   313855108        6686        336400 SH    SOLE           336400      0      0
FEDERAL-MOGUL CORP          COMMON STOCK   313549107        2808        516400 SH    SOLE           516400      0      0
FEDERATED DEPT STORES       COMMON STOCK   31410H101       18494        707900 SH    SOLE           707900      0      0
FEDERATED INVESTORS INC     COMMON STOCK   314211103        2376         96000 SH    SOLE            96000      0      0
FEDEX CORPORATION           COMMON STOCK   31428X106       38351        864940 SH    SOLE           864940      0      0
FEI COMPANY                 COMMON STOCK   30241L109        2141         98700 SH    SOLE            98700      0      0
FERRO CORP                  COMMON STOCK   315405100        4969        260650 SH    SOLE           260650      0      0
FIDELITY NAT'L FIN          COMMON STOCK   316326107        1928         77900 SH    SOLE            77900      0      0
FIFTH THIRD BANCORP         COMMON STOCK   316773100       63526       1179143 SH    SOLE          1179143      0      0
FILENET CORP                COMMON STOCK   316869106         931         51200 SH    SOLE            51200      0      0
FINOVA GROUP INC            COMMON STOCK   317928109        3218        443800 SH    SOLE           443800      0      0
FIREPOND INC                COMMON STOCK   318224102        2713        187100 SH    SOLE           187100      0      0
FIRST DATA CORP             COMMON STOCK   319963104       47124       1206376 SH    SOLE          1206376      0      0
FIRST HEALTH GROUP CORP     COMMON STOCK   320960107       11542        357900 SH    SOLE           357900      0      0
FIRST SECURITY CORP         COMMON STOCK   336294103       23969       1469382 SH    SOLE          1469382      0      0
FIRST TENNESSEE NATL CORP   COMMON STOCK   337162101       20715       1013600 SH    SOLE          1013600      0      0
FIRST UNION CORP            COMMON STOCK   337358105       95258       2959477 SH    SOLE          2959477      0      0
FIRST VIRGINIA BANKS INC    COMMON STOCK   337477103       14701        344900 SH    SOLE           344900      0      0
FIRSTAR CORP                COMMON STOCK   33763V109       54954       2456024 SH    SOLE          2456024      0      0
FIRSTENERGY CORP            COMMON STOCK   337932107       14907        553400 SH    SOLE           553400      0      0
FIRSTMERIT CORP             COMMON STOCK   337915102       14932        651000 SH    SOLE           651000      0      0
FISERV INC                  COMMON STOCK   337738108       55804        932012 SH    SOLE           932012      0      0
FLEET BOSTON FINANCIAL CP   COMMON STOCK   339030108      163267       4186328 SH    SOLE          4186328      0      0
FLEXTRONICS INTL LTD        COMMON STOCK   Y2573F102       10446        127200 SH    SOLE           127200      0      0
FLORIDA PROGRESS CORP       COMMON STOCK   341109106       13187        249100 SH    SOLE           249100      0      0
FLORIDA ROCK INDS INC       COMMON STOCK   341140101         919         23300 SH    SOLE            23300      0      0
FLOW INTERNATIONAL CORP     COMMON STOCK   343468104        3701        340300 SH    SOLE           340300      0      0
FLOWERS INDUSTRIES INC      COMMON STOCK   343496105       14555        746425 SH    SOLE           746425      0      0
FLOWSERVE CORP              COMMON STOCK   34354P105        4691        285400 SH    SOLE           285400      0      0
FLUOR CORP                  COMMON STOCK   343861100        9030        301000 SH    SOLE           301000      0      0
FMC CORP                    COMMON STOCK   302491303        6525         97300 SH    SOLE            97300      0      0
FOAMEX INTERNATIONAL INC    COMMON STOCK   344123104         941        150600 SH    SOLE           150600      0      0
FOOTSTAR INC                COMMON STOCK   344912100         947         29300 SH    SOLE            29300      0      0
FORD MOTOR COMPANY          COMMON STOCK   345370860      142829       5642610 SH    SOLE          5642610      0      0
FOREST LABORATORIES INC     COMMON STOCK   345838106      105542        920260 SH    SOLE           920260      0      0
FOREST OIL CORP             COMMON STOCK   346091606        1080         66700 SH    SOLE            66700      0      0
FORRESTER RESEARCH INC      COMMON STOCK   346563109        2571         40330 SH    SOLE            40330      0      0
FORT JAMES CORP             COMMON STOCK   347471104       16009        523800 SH    SOLE           523800      0      0
FORTUNE BRANDS INC          COMMON STOCK   349631101       11037        416500 SH    SOLE           416500      0      0
FOUNDATION HEALTH SYS CLA   COMMON STOCK   350404109       17246       1037340 SH    SOLE          1037340      0      0
FOX ENTERTAINMNT GRP-CL A   COMMON STOCK   35138T107       18969        715800 SH    SOLE           715800      0      0
FPL GROUP INC               COMMON STOCK   302571104       41396        629600 SH    SOLE           629600      0      0
FRANKLIN RESOURCES INC      COMMON STOCK   354613101       34113        767800 SH    SOLE           767800      0      0
FREEMARKETS INC             COMMON STOCK   356602102         903         15800 SH    SOLE            15800      0      0
FREEPORT-MCMORAN COPPER B   COMMON STOCK   35671D857        2489        282491 SH    SOLE           282491      0      0
FRITZ COMPANIES INC         COMMON STOCK   358846103         859         71600 SH    SOLE            71600      0      0
FST AMER FINL COM           COMMON STOCK   318522307        1902         91100 SH    SOLE            91100      0      0
FULLER H B CO               COMMON STOCK   359694106        3091        107500 SH    SOLE           107500      0      0
FURNITURE BRANDS INTL INC   COMMON STOCK   360921100        8314        500100 SH    SOLE           500100      0      0
GADZOOKS INC                COMMON STOCK   362553109        2100        117500 SH    SOLE           117500      0      0
GALILEO INTERNATIONAL INC   COMMON STOCK   363547100       14085        908700 SH    SOLE           908700      0      0
GANNETT CO                  COMMON STOCK   364730101       57749       1089600 SH    SOLE          1089600      0      0
GAP INC                     COMMON STOCK   364760108       62671       3114100 SH    SOLE          3114100      0      0
GARTNER GROUP INC CL B      COMMON STOCK   366651206        6858        630588 SH    SOLE           630588      0      0
GASONICS INTL CORP          COMMON STOCK   367278108        1283        104700 SH    SOLE           104700      0      0
GATEWAY INC                 COMMON STOCK   367626108       39494        844800 SH    SOLE           844800      0      0
GATX CORP                   COMMON STOCK   361448103       15188        362700 SH    SOLE           362700      0      0
GEMSTAR TV GUIDE INTL INC   COMMON STOCK   36866W106        8532         97861 SH    SOLE            97861      0      0
GENE LOGIC INC              COMMON STOCK   368689105        2755        119800 SH    SOLE           119800      0      0
GENENTECH INC               COMMON STOCK   368710406        5533         29800 SH    SOLE            29800      0      0
GENER SA                    FOREIGN STOCK  368731105         311         23800 SH    SOLE            23800      0      0
GENERAL DYNAMICS CORP       COMMON STOCK   369550108       38730        616600 SH    SOLE           616600      0      0
GENERAL ELECTRIC CO         COMMON STOCK   369604103     1864545      32321471 SH    SOLE         32321471      0      0
GENERAL MILLS INC           COMMON STOCK   370334104       45660       1286200 SH    SOLE          1286200      0      0
GENERAL MOTORS CORP         COMMON STOCK   370442105      119100       1832300 SH    SOLE          1832300      0      0
GENERAL MOTORS-CL H         COMMON STOCK   370442832       63496       1707800 SH    SOLE          1707800      0      0
GENERAL SEMICONDUCTOR INC   COMMON STOCK   370787103        6245        512400 SH    SOLE           512400      0      0
GENOMIC SOLUTIONS INC       COMMON STOCK   37243R109        1327         77200 SH    SOLE            77200      0      0
GENOMICA CORP               COMMON STOCK   37243Q101         828         42600 SH    SOLE            42600      0      0
GENUINE PARTS CO            COMMON STOCK   372460105        8336        437300 SH    SOLE           437300      0      0
GENUITY INC                 COMMON STOCK   37248E103        2436        372900 SH    SOLE           372900      0      0
GENZYME CORP-GENL DIV       COMMON STOCK   372917104       47370        694700 SH    SOLE           694700      0      0
GEORGIA GULF CORP           COMMON STOCK   373200203        2528        221000 SH    SOLE           221000      0      0
GEORGIA PACIFIC CORP        COMMON STOCK   373298108       14091        599600 SH    SOLE           599600      0      0
GEORGIA-PACIFIC (TIMBER)    COMMON STOCK   373298702       16122        599900 SH    SOLE           599900      0      0
GETTY IMAGES INC            COMMON STOCK   374276103       11399        374500 SH    SOLE           374500      0      0
GILEAD SCIENCES INC         COMMON STOCK   375558103       51092        465800 SH    SOLE           465800      0      0
GILLETTE COMPANY            COMMON STOCK   375766102      106278       3442200 SH    SOLE          3442200      0      0
GLATFELTER (P H) CO         COMMON STOCK   377316104        3430        282900 SH    SOLE           282900      0      0
GLOBAL CROSSING LTD         COMMON STOCK   G3921A100       80441       2594867 SH    SOLE          2594867      0      0
GLOBAL INDUSTRIES LTD       COMMON STOCK   379336100        2583        206600 SH    SOLE           206600      0      0
GLOBAL MARINE INC           COMMON STOCK   379352404       45371       1469500 SH    SOLE          1469500      0      0
GLOBAL TELESYSTEMS GROUP    COMMON STOCK   37936U104        6535       1432354 SH    SOLE          1432354      0      0
GLOBESPAN INC               COMMON STOCK   379571102        2306         18900 SH    SOLE            18900      0      0
GOLD BANC CORP INC          COMMON STOCK   379907108         587        114548 SH    SOLE           114548      0      0
GOLDEN STATE BANCORP        COMMON STOCK   381197102        4775        202100 SH    SOLE           202100      0      0
GOLDEN WEST FINANCIAL CP    COMMON STOCK   381317106       24196        451200 SH    SOLE           451200      0      0
GOLDMAN SACHS GROUP INC     COMMON STOCK   38141G104       21340        187300 SH    SOLE           187300      0      0
GOODRICH (B F) CO           COMMON STOCK   382388106       13646        348230 SH    SOLE           348230      0      0
GOODYEAR TIRE & RUBBER CO   COMMON STOCK   382550101       14360        797800 SH    SOLE           797800      0      0
GOTO.COM INC                COMMON STOCK   38348T107         879         53300 SH    SOLE            53300      0      0
GPU INC                     COMMON STOCK   36225X100       11742        362000 SH    SOLE           362000      0      0
GRAINGER (W W) INC          COMMON STOCK   384802104       13101        497900 SH    SOLE           497900      0      0
GRANITE CONSTRUCTION INC    COMMON STOCK   387328107        6438        265500 SH    SOLE           265500      0      0
GRANT PRIDECO INC           COMMON STOCK   38821G101       19372        883037 SH    SOLE           883037      0      0
GREAT LAKES CHEMICAL CORP   COMMON STOCK   390568103        5874        200400 SH    SOLE           200400      0      0
GREATER BAY BANCORP         COMMON STOCK   391648102        9256        133300 SH    SOLE           133300      0      0
GREENPORT FINANCIAL CORP    COMMON STOCK   395384100       26203        884500 SH    SOLE           884500      0      0
GRIFFON CORP                COMMON STOCK   398433102        1497        198000 SH    SOLE           198000      0      0
GRUPO TELEVISION SA         FOREIGN STOCK  40049J206        1731         30000 SH    SOLE            30000      0      0
GT GROUP TELECOM INC-CL B   COMMON STOCK   362359408        1978        150000 SH    SOLE           150000      0      0
GTECH HOLDINGS CORP         COMMON STOCK   400518106        4310        260200 SH    SOLE           260200      0      0
GUCCI GROUP                 COMMON STOCK   401566104        4842         48000 SH    SOLE            48000      0      0
GUIDANT CORP                COMMON STOCK   401698105      150586       2130300 SH    SOLE          2130300      0      0
H POWER CORP                COMMON STOCK   40427A108        5293        158300 SH    SOLE           158300      0      0
HALLIBURTON CO              COMMON STOCK   406216101       58725       1200000 SH    SOLE          1200000      0      0
HANOVER COMPRESSOR CO       COMMON STOCK   410768105       15520        471200 SH    SOLE           471200      0      0
HARCOURT GENERAL INC        COMMON STOCK   41163G101       10313        174800 SH    SOLE           174800      0      0
HARLAND (JOHN H) CO         COMMON STOCK   412693103        1052         68700 SH    SOLE            68700      0      0
HARLEY DAVIDSON INC         COMMON STOCK   412822108      100030       2089400 SH    SOLE          2089400      0      0
HARRAHS ENTERTAINMENT INC   COMMON STOCK   413619107        7877        286450 SH    SOLE           286450      0      0
HARRIS CORP                 COMMON STOCK   413875105       14958        526000 SH    SOLE           526000      0      0
HARSCO CORP                 COMMON STOCK   415864107        6714        304300 SH    SOLE           304300      0      0
HARTE-HANKS INC             COMMON STOCK   416196103       13734        504000 SH    SOLE           504000      0      0
HARTFORD FINANCIAL SVCS     COMMON STOCK   416515104       58925        807880 SH    SOLE           807880      0      0
HASBRO INC                  COMMON STOCK   418056107       14852       1298575 SH    SOLE          1298575      0      0
HAWAIIAN ELECTRIC INDS      COMMON STOCK   419870100        8691        249200 SH    SOLE           249200      0      0
HCA-THE HEALTHCARE CO       COMMON STOCK   404119109       64019       1724416 SH    SOLE          1724416      0      0
HEALTH MGMT ASSOC-CL A      COMMON STOCK   421933102       39358       1891076 SH    SOLE          1891076      0      0
HEALTHSOUTH CORP            COMMON STOCK   421924101        7999        984433 SH    SOLE           984433      0      0
HEARST-ARGYLE TELEVISION    COMMON STOCK   422317107        2760        138000 SH    SOLE           138000      0      0
HEINZ (H J) CO              COMMON STOCK   423074103       52332       1412000 SH    SOLE          1412000      0      0
HELLER FINANCIAL INC        COMMON STOCK   423328103        1548         54200 SH    SOLE            54200      0      0
HELMERICH & PAYNE           COMMON STOCK   423452101       17315        479300 SH    SOLE           479300      0      0
HENRY (JACK) & ASSOC        COMMON STOCK   426281101        2477         57100 SH    SOLE            57100      0      0
HERCULES INC                COMMON STOCK   427056106        3422        242300 SH    SOLE           242300      0      0
HERSHEY FOODS CORP          COMMON STOCK   427866108       26402        487800 SH    SOLE           487800      0      0
HEWLETT-PACKARD CO          COMMON STOCK   428236103      307410       3169172 SH    SOLE          3169172      0      0
HIBERNIA CORP-CL A          COMMON STOCK   428656102       14928       1218600 SH    SOLE          1218600      0      0
HILLENBRAND INDUSTRIES      COMMON STOCK   431573104       21252        474900 SH    SOLE           474900      0      0
HILTON HOTELS CORP          COMMON STOCK   432848109       10054        869500 SH    SOLE           869500      0      0
HISPANIC BROADCASTING CP    COMMON STOCK   43357B104       22662        813000 SH    SOLE           813000      0      0
HOME DEPOT INC              COMMON STOCK   437076102      397669       7494359 SH    SOLE          7494359      0      0
HOMESTAKE MINING CO         COMMON STOCK   437614100        3407        656839 SH    SOLE           656839      0      0
HON INDUSTRIES INC          COMMON STOCK   438092108       11227        455900 SH    SOLE           455900      0      0
HONEYWELL INT'L INC         COMMON STOCK   438516106       86894       2439137 SH    SOLE          2439137      0      0
HORACE MANN EDUCATORS       COMMON STOCK   440327104        4839        295500 SH    SOLE           295500      0      0
HORMEL FOODS CORP           COMMON STOCK   440452100       17195       1030400 SH    SOLE          1030400      0      0
HOUGHTON MIFFLIN CO         COMMON STOCK   441560109        9314        237300 SH    SOLE           237300      0      0
HOUSEHOLD INTERNATIONAL     COMMON STOCK   441815107      151097       2668374 SH    SOLE          2668374      0      0
HSB GROUP INC               COMMON STOCK   40428N109        9042        225350 SH    SOLE           225350      0      0
HUBBELL INC-CL B            COMMON STOCK   443510201       11700        466820 SH    SOLE           466820      0      0
HUMAN GENOME SCIENCES INC   COMMON STOCK   444903108       76275        440577 SH    SOLE           440577      0      0
HUMANA INC                  COMMON STOCK   444859102       10118        941200 SH    SOLE           941200      0      0
HUNT (J B) TRANSPORT SVC    COMMON STOCK   445658107        3194        250500 SH    SOLE           250500      0      0
HUNTINGTON BANKSHARES INC   COMMON STOCK   446150104        8158        555439 SH    SOLE           555439      0      0
HUTCHINSON TECHNOLOGY INC   COMMON STOCK   448407106        1076         51100 SH    SOLE            51100      0      0
HYPERION SOLUTIONS CORP     COMMON STOCK   44914M104        4272        165090 SH    SOLE           165090      0      0
I2 TECHNOLOGIES INC         COMMON STOCK   465754109        1962         10486 SH    SOLE            10486      0      0
IBP INC                     COMMON STOCK   449223106       19464       1062900 SH    SOLE          1062900      0      0
ICN PHARMACEUTICALS INC     COMMON STOCK   448924100       20053        603100 SH    SOLE           603100      0      0
IDACORP INC                 COMMON STOCK   451107106       14976        323800 SH    SOLE           323800      0      0
IDEC PHARMACEUTICALS CORP   COMMON STOCK   449370105       64865        369900 SH    SOLE           369900      0      0
II-VI INC                   COMMON STOCK   902104108        1038         55600 SH    SOLE            55600      0      0
ILEX ONCOLOGY INC           COMMON STOCK   451923106         970         32200 SH    SOLE            32200      0      0
ILLINOIS TOOL WORKS         COMMON STOCK   452308109       72711       1301316 SH    SOLE          1301316      0      0
ILLUMINET HOLDINGS INC      COMMON STOCK   452334105         297         10700 SH    SOLE            10700      0      0
IMATION CORP                COMMON STOCK   45245A107        5099        273750 SH    SOLE           273750      0      0
IMC GLOBAL INC              COMMON STOCK   449669100       15782       1088400 SH    SOLE          1088400      0      0
IMPATH INC                  COMMON STOCK   45255G101        7367        116700 SH    SOLE           116700      0      0
IMS HEALTH INC              COMMON STOCK   449934108       15044        725000 SH    SOLE           725000      0      0
INCO LTD                    COMMON STOCK   453258402        9433        585000 SH    SOLE           585000      0      0
INCYTE PHARMACEUTICALS      COMMON STOCK   45337C102       26369        641200 SH    SOLE           641200      0      0
INET TECHNOLOGIES INC       COMMON STOCK   45662V105         851         29100 SH    SOLE            29100      0      0
INFINITY BROADCASTING-CLA   COMMON STOCK   45662S102        1419         43000 SH    SOLE            43000      0      0
INFOCUS CORP                COMMON STOCK   45665B106       13875        261800 SH    SOLE           261800      0      0
INFORMATION HOLDINGS        COMMON STOCK   456727106        4249        119900 SH    SOLE           119900      0      0
INFORMIX CORP               COMMON STOCK   456779107        8560       2075200 SH    SOLE          2075200      0      0
INFOUSA INC                 COMMON STOCK   456818301        2030        406000 SH    SOLE           406000      0      0
INGERSOLL-RAND CO           COMMON STOCK   456866102       15750        464950 SH    SOLE           464950      0      0
INGRAM MICRO INC-CL A       COMMON STOCK   457153104        1570        114200 SH    SOLE           114200      0      0
INKTOMI CORP                COMMON STOCK   457277101        1345         11800 SH    SOLE            11800      0      0
INRANGE TECHNOLOGIES-CL B   COMMON STOCK   45769V206         170          3200 SH    SOLE             3200      0      0
INSIGHT ENTERPRISES INC     COMMON STOCK   45765U103       19997        733818 SH    SOLE           733818      0      0
INSITUFORM TECHNOLOG-CL A   COMMON STOCK   457667103        1123         33400 SH    SOLE            33400      0      0
INTEGRATED DEV TEC          COMMON STOCK   458118106       88554        978500 SH    SOLE           978500      0      0
INTEL CORP                  COMMON STOCK   458140100      893950      21508581 SH    SOLE         21508581      0      0
INTERG SILICON SOLUTION     COMMON STOCK   45812P107        5458        384700 SH    SOLE           384700      0      0
INTERMUNE PHARMACEUTICALS   COMMON STOCK   45885B100        2745         50600 SH    SOLE            50600      0      0
INTERNATIONAL PAPER CO      COMMON STOCK   460146103       44336       1545471 SH    SOLE          1545471      0      0
INTERNET SECURITY SYSTEMS   COMMON STOCK   46060X107        4560         60700 SH    SOLE            60700      0      0
INTERPUBLIC GROUP COS       COMMON STOCK   460690100       35728       1048900 SH    SOLE          1048900      0      0
INTERSIL HOLDING CORP       COMMON STOCK   46069S109        9147        183400 SH    SOLE           183400      0      0
INTERSTATE BAKERIES         COMMON STOCK   46072H108        6945        474900 SH    SOLE           474900      0      0
INTERWOVEN INC              COMMON STOCK   46114T102        1583         14000 SH    SOLE            14000      0      0
INTIMATE BRANDS INC         COMMON STOCK   461156101        3157        168960 SH    SOLE           168960      0      0
INTL BUSINESS MACHINES      COMMON STOCK   459200101      592110       5263200 SH    SOLE          5263200      0      0
INTL FLAVORS & FRAGRANCES   COMMON STOCK   459506101        4840        265200 SH    SOLE           265200      0      0
INTL GAME TECHNOLOGY        COMMON STOCK   459902102       18843        560400 SH    SOLE           560400      0      0
INTL MULTIFOODS CORP        COMMON STOCK   460043102        2298        132250 SH    SOLE           132250      0      0
INT'L RECTIFIER CORP        COMMON STOCK   460254105       23230        460000 SH    SOLE           460000      0      0
INTL SPEEDWAY CORP CL A     COMMON STOCK   460335201       15737        403500 SH    SOLE           403500      0      0
INTRANET SOLUTIONS INC      COMMON STOCK   460939309        6280        125600 SH    SOLE           125600      0      0
INTUIT INC                  COMMON STOCK   461202103       86600       1519300 SH    SOLE          1519300      0      0
INVESTMENT TECHNOLOGY GP    COMMON STOCK   46145F105        9721        243400 SH    SOLE           243400      0      0
INVESTORS FINANCIAL SVCS    COMMON STOCK   461915100        3806         60300 SH    SOLE            60300      0      0
INVITROGEN CORP             COMMON STOCK   46185R100       11771        165500 SH    SOLE           165500      0      0
IPALCO ENTERPRISES INC      COMMON STOCK   462613100       14473        632700 SH    SOLE           632700      0      0
ISHARES TAIWAN WEBS INDEX   FOREIGN STOCK  464286731        6098        431700 SH    SOLE           431700      0      0
ITC DELTACOM INC            COMMON STOCK   45031T104        1237        107600 SH    SOLE           107600      0      0
ITT EDUCATIONAL SERVICES    COMMON STOCK   45068B109         608         22400 SH    SOLE            22400      0      0
ITT INDUSTRIES INC          COMMON STOCK   450911102       12495        385200 SH    SOLE           385200      0      0
IVAX CORP                   COMMON STOCK   465823102       59709       1298025 SH    SOLE          1298025      0      0
J D EDWARDS & CO            COMMON STOCK   281667105        1656         64000 SH    SOLE            64000      0      0
JABIL CIRCUIT INC           COMMON STOCK   466313103       80596       1420200 SH    SOLE          1420200      0      0
JACOBS ENGINEERING GROUP    COMMON STOCK   469814107        8292        205700 SH    SOLE           205700      0      0
JDA SOFTWARE GROUP INC      COMMON STOCK   46612K108        1113         87300 SH    SOLE            87300      0      0
JDS UNIPHASE CORP           COMMON STOCK   46612J101      282652       2985100 SH    SOLE          2985100      0      0
JEFFERSON-PILOT CORP        COMMON STOCK   475070108       21198        312312 SH    SOLE           312312      0      0
JNI CORP                    COMMON STOCK   46622G105       16830        189100 SH    SOLE           189100      0      0
JOHN HANCOCK FINAN'L SCV    COMMON STOCK   41014S106       62369       2320700 SH    SOLE          2320700      0      0
JOHNSON & JOHNSON           COMMON STOCK   478160104      409748       4361922 SH    SOLE          4361922      0      0
JOHNSON CONTROLS INC        COMMON STOCK   478366107       14132        265700 SH    SOLE           265700      0      0
JONES APPAREL GROUP INC     COMMON STOCK   480074103       29019       1095055 SH    SOLE          1095055      0      0
JUNIPER NETWORKS INC        COMMON STOCK   48203R104        7458         34063 SH    SOLE            34063      0      0
KANSAS CITY POWER & LIGHT   COMMON STOCK   485134100       12583        471500 SH    SOLE           471500      0      0
KANSAS CITY SOUTHERN INDS   COMMON STOCK   485170302         695         79950 SH    SOLE            79950      0      0
KAUFMAN & BROAD HOME CORP   COMMON STOCK   486168107        4900        181900 SH    SOLE           181900      0      0
KAYDON CORP                 COMMON STOCK   486587108        5272        229200 SH    SOLE           229200      0      0
KEANE INC                   COMMON STOCK   486665102        9300        534500 SH    SOLE           534500      0      0
KEEBLER FOODS CO            COMMON STOCK   487256109         567         13500 SH    SOLE            13500      0      0
KELLOGG CO                  COMMON STOCK   487836108       56758       2346600 SH    SOLE          2346600      0      0
KELLY SERVICES INC CL A     COMMON STOCK   488152208        6401        270925 SH    SOLE           270925      0      0
KEMET CORPORATION           COMMON STOCK   488360108       13906        503400 SH    SOLE           503400      0      0
KENDLE INTERNATIONAL INC    COMMON STOCK   48880L107        2940        352400 SH    SOLE           352400      0      0
KENNAMETAL INC              COMMON STOCK   489170100        5608        217800 SH    SOLE           217800      0      0
KENNETH COLE PRODUCTN-CLA   COMMON STOCK   193294105        9014        255250 SH    SOLE           255250      0      0
KERR MCGEE CORP             COMMON STOCK   492386107       17728        267599 SH    SOLE           267599      0      0
KEYCORP                     COMMON STOCK   493267108       31609       1248760 SH    SOLE          1248760      0      0
KEYSPAN CORPORATION         COMMON STOCK   49337W100       16237        404650 SH    SOLE           404650      0      0
KEYSTONE FINANCIAL INC      COMMON STOCK   493482103        7830        360000 SH    SOLE           360000      0      0
KFORCE.COM INC              COMMON STOCK   493732101         216         61600 SH    SOLE            61600      0      0
KIMBERLY-CLARK CORP         COMMON STOCK   494368103      114926       2059152 SH    SOLE          2059152      0      0
KINDER MORGAN INC           COMMON STOCK   49455P101       35272        861600 SH    SOLE           861600      0      0
KING PHARMACEUTICALS INC    COMMON STOCK   495582108       14145        423018 SH    SOLE           423018      0      0
KLA-TENCOR CORP             COMMON STOCK   482480100       39396        956500 SH    SOLE           956500      0      0
KMART CORP                  COMMON STOCK   482584109        7841       1306900 SH    SOLE          1306900      0      0
KNIGHT-RIDDER INC           COMMON STOCK   499040103       24527        482700 SH    SOLE           482700      0      0
KOHLS CORP                  COMMON STOCK   500255104      115687       2005404 SH    SOLE          2005404      0      0
KOPIN CORP                  COMMON STOCK   500600101         302         16800 SH    SOLE            16800      0      0
KRISPY KREME DOUGHNUTS      COMMON STOCK   501014104       10360        123700 SH    SOLE           123700      0      0
KROGER COMPANY              COMMON STOCK   501044101      183755       8144280 SH    SOLE          8144280      0      0
L-3 COMMUNICATIONS HLDGS    COMMON STOCK   502424104       19018        336600 SH    SOLE           336600      0      0
LABRANCHE & CO              COMMON STOCK   505447102        5741        172000 SH    SOLE           172000      0      0
LAM RESEARCH CORP           COMMON STOCK   512807108       19765        944000 SH    SOLE           944000      0      0
LAMAR ADVERTISING CO        COMMON STOCK   512815101        8897        234900 SH    SOLE           234900      0      0
LAN CHILE SA-SPONS ADR      FOREIGN STOCK  501723100         147         23000 SH    SOLE            23000      0      0
LANCASTER COLONY CORP       COMMON STOCK   513847103        7230        294363 SH    SOLE           294363      0      0
LANCE INC                   COMMON STOCK   514606102        2274        234000 SH    SOLE           234000      0      0
LANDMARK SYSTEMS CORP       COMMON STOCK   51506S100        1562        378704 SH    SOLE           378704      0      0
LANDS END INC               COMMON STOCK   515086106        4794        228300 SH    SOLE           228300      0      0
LATTICE SEMICONDUCTOR       COMMON STOCK   518415104       20651        384200 SH    SOLE           384200      0      0
LCC INTL INC CL A           COMMON STOCK   501810105         709         48900 SH    SOLE            48900      0      0
LEAR CORPORATION            COMMON STOCK   521865105       10178        495000 SH    SOLE           495000      0      0
LEARNING TREE INTL INC      COMMON STOCK   522015106        2319         48700 SH    SOLE            48700      0      0
LEE ENTERPRISES             COMMON STOCK   523768109        9445        327100 SH    SOLE           327100      0      0
LEGATO SYSTEMS INC          COMMON STOCK   524651106        8759        651800 SH    SOLE           651800      0      0
LEGG MASON                  COMMON STOCK   524901105       28906        497300 SH    SOLE           497300      0      0
LEGGETT & PLATT INC         COMMON STOCK   524660107        7854        496700 SH    SOLE           496700      0      0
LEHMAN BROTHERS HLDGS INC   COMMON STOCK   524908100       67211        454900 SH    SOLE           454900      0      0
LENNAR CORP                 COMMON STOCK   526057104       15639        526800 SH    SOLE           526800      0      0
LEVEL 3 COMMUNICATIONS      COMMON STOCK   52729N100        8036        104200 SH    SOLE           104200      0      0
LEXMARK INTERNATIONAL INC   COMMON STOCK   529771107       13133        350200 SH    SOLE           350200      0      0
LG&E ENERGY CORP            COMMON STOCK   501917108       23981        981300 SH    SOLE           981300      0      0
LIBERTY DIGITAL INC CL A    COMMON STOCK   530436104        5073        250500 SH    SOLE           250500      0      0
LIFEPOINT HOSPITALS INC     COMMON STOCK   53219L109        5077        143000 SH    SOLE           143000      0      0
LILLY (ELI) & CO            COMMON STOCK   532457108      268382       3308250 SH    SOLE          3308250      0      0
LIMITED INC                 COMMON STOCK   532716107       28269       1281330 SH    SOLE          1281330      0      0
LINCARE HOLDINGS INC        COMMON STOCK   532791100       11406        397600 SH    SOLE           397600      0      0
LINCOLN ELECTRIC HOLDINGS   COMMON STOCK   533900106         680         51100 SH    SOLE            51100      0      0
LINCOLN NATIONAL CORP       COMMON STOCK   534187109       26291        546300 SH    SOLE           546300      0      0
LINEAR TECHNOLOGY           COMMON STOCK   535678106       55219        852800 SH    SOLE           852800      0      0
LINENS'N THINGS INC         COMMON STOCK   535679104        7436        291600 SH    SOLE           291600      0      0
LITTON INDUSTRIES INC       COMMON STOCK   538021106       17097        382600 SH    SOLE           382600      0      0
LIZ CLAIBORNE INC           COMMON STOCK   539320101        6279        163100 SH    SOLE           163100      0      0
LOCKHEED MARTIN CORP        COMMON STOCK   539830109       60779       1844014 SH    SOLE          1844014      0      0
LOEWS CORP                  COMMON STOCK   540424108       21444        257200 SH    SOLE           257200      0      0
LONE-STAR STEAKHOUSE        COMMON STOCK   542307103        1431        194000 SH    SOLE           194000      0      0
LONGS DRUG STORES INC       COMMON STOCK   543162101        1519         79400 SH    SOLE            79400      0      0
LONGVIEW FIBRE CO           COMMON STOCK   543213102        4514        376200 SH    SOLE           376200      0      0
LORAL SPACE & COMMUNICA     COMMON STOCK   G56462107        4404        719000 SH    SOLE           719000      0      0
LOUIS DREYFUS NATURAL GAS   COMMON STOCK   546011107        1533         38700 SH    SOLE            38700      0      0
LOUISIANA-PACIFIC CORP      COMMON STOCK   546347105         976        106180 SH    SOLE           106180      0      0
LOWES COMPANIES             COMMON STOCK   548661107       79330       1767800 SH    SOLE          1767800      0      0
LSI LOGIC CORP              COMMON STOCK   502161102       23684        809700 SH    SOLE           809700      0      0
LTX CORP                    COMMON STOCK   502392103        3780        199600 SH    SOLE           199600      0      0
LUBRIZOL CORP               COMMON STOCK   549271104        7887        400600 SH    SOLE           400600      0      0
LUCENT TECHNOLOGIES INC     COMMON STOCK   549463107      306035      10013403 SH    SOLE         10013403      0      0
LYONDELL CHEMICAL CO        COMMON STOCK   552078107       10629        899800 SH    SOLE           899800      0      0
M & T BANK CORP             COMMON STOCK   55261F104       19380         38000 SH    SOLE            38000      0      0
MACROMEDIA INC              COMMON STOCK   556100105       32842        406400 SH    SOLE           406400      0      0
MACROVISION CORP            COMMON STOCK   555904101        1450         17900 SH    SOLE            17900      0      0
MAGNETEK INC                COMMON STOCK   559424106        1374        129300 SH    SOLE           129300      0      0
MAINSPRING INC              COMMON STOCK   56062U100         213         28600 SH    SOLE            28600      0      0
MALLINCKRODT INC            COMMON STOCK   561232109        8997        197200 SH    SOLE           197200      0      0
MANAGEMENT NETWORK GROUP    COMMON STOCK   561693102        1722         82500 SH    SOLE            82500      0      0
MANDALAY RESORT GROUP       COMMON STOCK   562567107       18626        726850 SH    SOLE           726850      0      0
MANHATTAN ASSOCIATES INC    COMMON STOCK   562750109       13965        228000 SH    SOLE           228000      0      0
MANITOWOC COMPANY INC       COMMON STOCK   563571108         751         39000 SH    SOLE            39000      0      0
MANOR CARE INC              COMMON STOCK   564055101        2968        189200 SH    SOLE           189200      0      0
MANPOWER INC                COMMON STOCK   56418H100       18939        593000 SH    SOLE           593000      0      0
MANUGISTICS GROUP INC       COMMON STOCK   565011103       48179        491000 SH    SOLE           491000      0      0
MAPICS INC                  COMMON STOCK   564910107        1299        192400 SH    SOLE           192400      0      0
MARCHFIRST INC              COMMON STOCK   566244109       17581       1120700 SH    SOLE          1120700      0      0
MARCUS CORP                 COMMON STOCK   566330106        1050        100000 SH    SOLE           100000      0      0
MARRIOTT INTL CLASS A       COMMON STOCK   571903202       26927        739000 SH    SOLE           739000      0      0
MARSH & MCLENNAN COS        COMMON STOCK   571748102       97850        737100 SH    SOLE           737100      0      0
MARSHALL & ILSLEY CORP      COMMON STOCK   571834100       39549        789000 SH    SOLE           789000      0      0
MARTIN MARIETTA MATERIALS   COMMON STOCK   573284106       14906        389400 SH    SOLE           389400      0      0
MASCO CORP                  COMMON STOCK   574599106       27429       1472700 SH    SOLE          1472700      0      0
MASTEC INC                  COMMON STOCK   576323109        1875         60000 SH    SOLE            60000      0      0
MATRIXONE INC               COMMON STOCK   57685P304        1940         48500 SH    SOLE            48500      0      0
MATTEL INC                  COMMON STOCK   577081102       51177       4574514 SH    SOLE          4574514      0      0
MAXIM INTEGRATED PROD       COMMON STOCK   57772K101       71726        891700 SH    SOLE           891700      0      0
MAXIM PHARMACEUTICALS INC   COMMON STOCK   57772M107        7290        120000 SH    SOLE           120000      0      0
MAXXAM INC                  COMMON STOCK   577913106        1053         53000 SH    SOLE            53000      0      0
MAY DEPARTMENT STORES CO    COMMON STOCK   577778103       19182        935700 SH    SOLE           935700      0      0
MAYTAG CORP                 COMMON STOCK   578592107        6753        217400 SH    SOLE           217400      0      0
MBIA INC                    COMMON STOCK   55262C100       23535        330900 SH    SOLE           330900      0      0
MBNA CORP                   COMMON STOCK   55262L100      223892       5815375 SH    SOLE          5815375      0      0
MCCLATCHY NEWS CLASS A      COMMON STOCK   579489105         940         26700 SH    SOLE            26700      0      0
MCCORMICK & CO-NON VOTING   COMMON STOCK   579780206       15202        511000 SH    SOLE           511000      0      0
MCDATA CORP-CL B            COMMON STOCK   580031102         848          6900 SH    SOLE             6900      0      0
MCDERMOTT INTERNATIONAL     COMMON STOCK   580037109        1658        150700 SH    SOLE           150700      0      0
MCDONALDS CORP              COMMON STOCK   580135101      183522       6079400 SH    SOLE          6079400      0      0
MCGRAW-HILL COMPANIES INC   COMMON STOCK   580645109       35076        551835 SH    SOLE           551835      0      0
MCKESSON CORP HBOC INC      COMMON STOCK   58155Q103       30711       1004855 SH    SOLE          1004855      0      0
MCN ENERGY GROUP INC        COMMON STOCK   55267J100       17320        675900 SH    SOLE           675900      0      0
MEAD CORP                   COMMON STOCK   582834107        6028        257900 SH    SOLE           257900      0      0
MEDIA GENERAL INC-CL A      COMMON STOCK   584404107        8144        189400 SH    SOLE           189400      0      0
MEDIALINK WORLDWIDE INC     COMMON STOCK   58445P105        1831        261585 SH    SOLE           261585      0      0
MEDICINES COMPANY (THE)     COMMON STOCK   584688105        3692        108000 SH    SOLE           108000      0      0
MEDICIS PHARMACEUT CL A     COMMON STOCK   584690309        8925        145125 SH    SOLE           145125      0      0
MEDIMMUNE INC               COMMON STOCK   584699102       43183        559000 SH    SOLE           559000      0      0
MEDQUIST INC                COMMON STOCK   584949101        1615         80000 SH    SOLE            80000      0      0
MEDTRONIC INC               COMMON STOCK   585055106      248576       4797600 SH    SOLE          4797600      0      0
MELLON FINANCIAL CORP       COMMON STOCK   58551A108       58098       1252784 SH    SOLE          1252784      0      0
MEMBERWORKS INC             COMMON STOCK   586002107        2643         80410 SH    SOLE            80410      0      0
MENTOR GRAPHICS CORP        COMMON STOCK   587200106       16015        679700 SH    SOLE           679700      0      0
MERCANTILE BANKSHARES       COMMON STOCK   587405101       19334        532675 SH    SOLE           532675      0      0
MERCK & CO INC              COMMON STOCK   589331107      544269       7311753 SH    SOLE          7311753      0      0
MERCURY INTERACTIVE CORP    COMMON STOCK   589405109       51414        328000 SH    SOLE           328000      0      0
MEREDITH CORP               COMMON STOCK   589433101       15744        533700 SH    SOLE           533700      0      0
MERIX CORP                  COMMON STOCK   590049102       13974        215600 SH    SOLE           215600      0      0
MERRILL LYNCH & CO          COMMON STOCK   590188108      182773       2769292 SH    SOLE          2769292      0      0
METLIFE INC                 COMMON STOCK   59156R108        7215        275500 SH    SOLE           275500      0      0
METRICOM INC                COMMON STOCK   591596101        1648         64000 SH    SOLE            64000      0      0
METRIS COMPANIES            COMMON STOCK   591598107        6891        174450 SH    SOLE           174450      0      0
METRO-GOLDWYN-MAYER INC     COMMON STOCK   591610100        1848         77000 SH    SOLE            77000      0      0
METTLER-TOLEDO INTL INC     COMMON STOCK   592688105        4400        100000 SH    SOLE           100000      0      0
METWAVE COMMUNICATIONS CP   COMMON STOCK   591409107        1236         67510 SH    SOLE            67510      0      0
MGIC INVESTMENT CORP        COMMON STOCK   552848103       19639        321300 SH    SOLE           321300      0      0
MGM GRAND INC               COMMON STOCK   552953101        1354         35466 SH    SOLE            35466      0      0
MICHAELS STORES INC         COMMON STOCK   594087108        1632         40800 SH    SOLE            40800      0      0
MICREL INC                  COMMON STOCK   594793101       46270        690600 SH    SOLE           690600      0      0
MICROCHIP TECHNOLOGY INC    COMMON STOCK   595017104       36774       1112250 SH    SOLE          1112250      0      0
MICRON TECHNOLOGY           COMMON STOCK   595112103       93734       2037700 SH    SOLE          2037700      0      0
MICROSOFT CORP              COMMON STOCK   594918104     1018725      16890785 SH    SOLE         16890785      0      0
MICROTEL INTL-RESTRICTED    COMMON STOCK   59514K993          36         76981 SH    SOLE            76981      0      0
MID ATLANTIC MED SVC        COMMON STOCK   59523C107        4831        319400 SH    SOLE           319400      0      0
MILLENNIUM PHARMACEUTICAL   COMMON STOCK   599902103      162837       1114848 SH    SOLE          1114848      0      0
MILLER (HERMAN) INC         COMMON STOCK   600544100       19148        597200 SH    SOLE           597200      0      0
MILLIPORE CORP              COMMON STOCK   601073109        9005        185900 SH    SOLE           185900      0      0
MINERALS TECH               COMMON STOCK   603158106        7332        159400 SH    SOLE           159400      0      0
MINIMED INC                 COMMON STOCK   60365K108       43025        481400 SH    SOLE           481400      0      0
MINNESOTA MINING & MFG CO   COMMON STOCK   604059105      151741       1665200 SH    SOLE          1665200      0      0
MIPS TECHNOLOGIES INC       FOREIGN STOCK  604567107         460         10000 SH    SOLE            10000      0      0
MITCHELL ENERGY & DEV CLA   COMMON STOCK   606592202        1296         27800 SH    SOLE            27800      0      0
MKS INSTRUMENTS INC         COMMON STOCK   55306N104        3362        122800 SH    SOLE           122800      0      0
MOBILE MINI INC             COMMON STOCK   60740F105        4980        258700 SH    SOLE           258700      0      0
MODINE MANUFACTURING CO     COMMON STOCK   607828100        6344        225200 SH    SOLE           225200      0      0
MODIS PROFESSIONAL SVCS     COMMON STOCK   607830106        3651        703835 SH    SOLE           703835      0      0
MOHAWK IND INC              COMMON STOCK   608190104        8812        404000 SH    SOLE           404000      0      0
MOLECULAR DIVICES CORP      COMMON STOCK   60851C107       15759        160400 SH    SOLE           160400      0      0
MOLEX INC                   COMMON STOCK   608554101       28387        521453 SH    SOLE           521453      0      0
MOLEX INC CL A              COMMON STOCK   608554200        7148        172500 SH    SOLE           172500      0      0
MONTANA POWER CO            COMMON STOCK   612085100       26680        799400 SH    SOLE           799400      0      0
MONY GROUP INC              COMMON STOCK   615337102       13797        346000 SH    SOLE           346000      0      0
MORGAN J P & COMPANY        COMMON STOCK   616880100       88778        543400 SH    SOLE           543400      0      0
MORGAN ST DEAN WITTER       COMMON STOCK   617446448      359737       3934240 SH    SOLE          3934240      0      0
MOTOROLA INC                COMMON STOCK   620076109      189520       6708656 SH    SOLE          6708656      0      0
MSC INDUSTRIAL DIRECT-CLA   COMMON STOCK   553530106        1016         66600 SH    SOLE            66600      0      0
MURPHY OIL CORP             COMMON STOCK   626717102       22840        352400 SH    SOLE           352400      0      0
MUTUAL RISK MANAGEMENT      COMMON STOCK   628351108        1169         53300 SH    SOLE            53300      0      0
MYLAN LABORATORIES          COMMON STOCK   628530107       24050        892800 SH    SOLE           892800      0      0
MYND CORP                   COMMON STOCK   628551103        3168        234700 SH    SOLE           234700      0      0
MYRIAD GENETICS INC         COMMON STOCK   62855J104       14908        172600 SH    SOLE           172600      0      0
NABISCO GROUP HOLDINGS CP   COMMON STOCK   62952P102       22344        784000 SH    SOLE           784000      0      0
NABORS INDUSTRIES INC       COMMON STOCK   629568106       58735       1120900 SH    SOLE          1120900      0      0
NANOMETRICS INC             COMMON STOCK   630077105        1496         28000 SH    SOLE            28000      0      0
NATIONAL CITY CORP          COMMON STOCK   635405103       39070       1765880 SH    SOLE          1765880      0      0
NATIONAL FUEL GAS CO        COMMON STOCK   636180101       16477        293900 SH    SOLE           293900      0      0
NATIONAL INFO CONSORTIUM    COMMON STOCK   636491102        1381        348002 SH    SOLE           348002      0      0
NATIONAL SEMICONDUCTOR      COMMON STOCK   637640103       24291        603500 SH    SOLE           603500      0      0
NATIONAL SERVICE INDS INC   COMMON STOCK   637657107        1927         98500 SH    SOLE            98500      0      0
NATIONAL-OILWELL INC        COMMON STOCK   637071101        1888         60400 SH    SOLE            60400      0      0
NATL COMMERCE BANCORP       COMMON STOCK   635449101       31518       1580855 SH    SOLE          1580855      0      0
NATURAL MICROSYSTEMS CORP   COMMON STOCK   638882100       17877        332300 SH    SOLE           332300      0      0
NAVIGANT CONSULTING CO      COMMON STOCK   63935N107         785        228300 SH    SOLE           228300      0      0
NAVISTAR INTERNATIONAL CP   COMMON STOCK   63934E108        4916        164200 SH    SOLE           164200      0      0
NCH CORP                    COMMON STOCK   628850109        1444         40900 SH    SOLE            40900      0      0
NCO GROUP INC               COMMON STOCK   628858102        2208        185900 SH    SOLE           185900      0      0
NCR CORPORATION             COMMON STOCK   62886E108        8638        228444 SH    SOLE           228444      0      0
NEIMAN MARCUS GROUP-CL A    COMMON STOCK   640204202       11632        358600 SH    SOLE           358600      0      0
NETIQ CORP                  COMMON STOCK   64115P102        1905         29000 SH    SOLE            29000      0      0
NETSCOUT SYSTEMS INC        COMMON STOCK   64115T104        4137        174200 SH    SOLE           174200      0      0
NETWORK APPLIANCE INC       COMMON STOCK   64120L104      112561        883700 SH    SOLE           883700      0      0
NETWORK ASSOCIATES INC      COMMON STOCK   640938106       27784       1228003 SH    SOLE          1228003      0      0
NEW YORK TIMES-CL A         COMMON STOCK   650111107       19119        486340 SH    SOLE           486340      0      0
NEWELL RUBBERMAID INC       COMMON STOCK   651229106       15262        669013 SH    SOLE           669013      0      0
NEWMONT MINING CORP         COMMON STOCK   651639106        9993        587844 SH    SOLE           587844      0      0
NEWPARK RESOURCES INC       COMMON STOCK   651718504        2407        260200 SH    SOLE           260200      0      0
NEWPORT CORP                COMMON STOCK   651824104       31487        197700 SH    SOLE           197700      0      0
NEWPORT NEWS SHIPBUILDING   COMMON STOCK   652228107       10189        234900 SH    SOLE           234900      0      0
NEWS CORP LTD-ADR           FOREIGN STOCK  652487703        3008         53660 SH    SOLE            53660      0      0
NEWS CORP LTD-SP ADR PFD    FOREIGN STOCK  652487802        2091         44600 SH    SOLE            44600      0      0
NEXTEL COMMUNICATIONS-CLA   COMMON STOCK   65332V103       93129       1992064 SH    SOLE          1992064      0      0
NIAGARA MOHAWK HOLDINGS     COMMON STOCK   653520106       15950       1012700 SH    SOLE          1012700      0      0
NICOR INC                   COMMON STOCK   654086107        4346        120100 SH    SOLE           120100      0      0
NIKE INC-CL B               COMMON STOCK   654106103       35756        892500 SH    SOLE           892500      0      0
NISOURCE INC                COMMON STOCK   65473P105       26852       1101600 SH    SOLE          1101600      0      0
NOBLE AFFILIATES            COMMON STOCK   654894104       15979        430400 SH    SOLE           430400      0      0
NOBLE DRILLING CORP         COMMON STOCK   655042109       95207       1894658 SH    SOLE          1894658      0      0
NOKIA CORP-SP ADR           FOREIGN STOCK  654902204       34784        873700 SH    SOLE           873700      0      0
NORDSON CORP                COMMON STOCK   655663102        7382        259600 SH    SOLE           259600      0      0
NORDSTROM INC               COMMON STOCK   655664100        3360        215900 SH    SOLE           215900      0      0
NORFOLK SOUTHERN            COMMON STOCK   655844108       18388       1257300 SH    SOLE          1257300      0      0
NORSK HYDRO A S-SPONS ADR   FOREIGN STOCK  656531605          59          1400 SH    SOLE             1400      0      0
NORTEL NETWORKS CORP NEW    COMMON STOCK   656568102      560956       9417941 SH    SOLE          9417941      0      0
NORTH FORK BANCORPORATION   COMMON STOCK   659424105       29285       1354200 SH    SOLE          1354200      0      0
NORTHEAST UTILITIES         COMMON STOCK   664397106       23984       1105900 SH    SOLE          1105900      0      0
NORTHERN TRUST CORP         COMMON STOCK   665859104       51254        576700 SH    SOLE           576700      0      0
NORTHROP GRUMMAN CORP       COMMON STOCK   666807102       16736        184170 SH    SOLE           184170      0      0
NORTHWEST AIRLINES          COMMON STOCK   667280101         784         31900 SH    SOLE            31900      0      0
NOVA CORP                   COMMON STOCK   669784100        9283        542100 SH    SOLE           542100      0      0
NOVELL INC                  COMMON STOCK   670006105        6912        695500 SH    SOLE           695500      0      0
NOVELLUS SYSTEMS INC        COMMON STOCK   670008101       25009        537100 SH    SOLE           537100      0      0
NOVEN PHARMACEUTICALS INC   COMMON STOCK   670009109       13402        313500 SH    SOLE           313500      0      0
NSTAR                       COMMON STOCK   67019E107       16902        419928 SH    SOLE           419928      0      0
NUCOR CORP                  COMMON STOCK   670346105        7013        232800 SH    SOLE           232800      0      0
NVIDIA CORP                 COMMON STOCK   67066G104       41724        509600 SH    SOLE           509600      0      0
NYFIX INC                   COMMON STOCK   670712108         897         20042 SH    SOLE            20042      0      0
OAK TECHNOLOGY INC          COMMON STOCK   671802106        8065        294600 SH    SOLE           294600      0      0
OAKLEY INC                  COMMON STOCK   673662102        1119         63700 SH    SOLE            63700      0      0
OCCIDENTAL PETROLEUM CORP   COMMON STOCK   674599105       26986       1237200 SH    SOLE          1237200      0      0
OCEAN ENERGY INC            COMMON STOCK   67481E106       19627       1271400 SH    SOLE          1271400      0      0
OFFICE DEPOT INC            COMMON STOCK   676220106        5630        720612 SH    SOLE           720612      0      0
OFFICEMAX INC               COMMON STOCK   67622M108        3605       1012000 SH    SOLE          1012000      0      0
OGDEN CORP                  COMMON STOCK   676346109        5038        371500 SH    SOLE           371500      0      0
OGE ENERGY CORP             COMMON STOCK   670837103       12455        584400 SH    SOLE           584400      0      0
OHIO CASUALTY CORP          COMMON STOCK   677240103        2702        426000 SH    SOLE           426000      0      0
OLD KENT FINANCIAL CORP     COMMON STOCK   679833103       10108        349305 SH    SOLE           349305      0      0
OLD REPUBLIC INTL CORP      COMMON STOCK   680223104       21461        891900 SH    SOLE           891900      0      0
OLIN CORP                   COMMON STOCK   680665205        5421        334900 SH    SOLE           334900      0      0
OMNICARE INC                COMMON STOCK   681904108       11031        684100 SH    SOLE           684100      0      0
OMNICOM GROUP INC           COMMON STOCK   681919106       53040        727200 SH    SOLE           727200      0      0
ON SEMICONDUCTOR CORP       COMMON STOCK   682189105         785         72200 SH    SOLE            72200      0      0
ONEOK INC                   COMMON STOCK   682680103        3244         81600 SH    SOLE            81600      0      0
ONYX SOFTWARE CORP          COMMON STOCK   683402101         860         41700 SH    SOLE            41700      0      0
ORACLE CORPORATION          COMMON STOCK   68389X105      744015       9447804 SH    SOLE          9447804      0      0
ORIENT EXPRESS HOTEL-CL A   COMMON STOCK   G67743107         764         39700 SH    SOLE            39700      0      0
OSI PHARMACEUTICALS INC     COMMON STOCK   671040103        1960         28000 SH    SOLE            28000      0      0
OUTBACK STEAKHOUSE INC      COMMON STOCK   689899102       19378        714400 SH    SOLE           714400      0      0
OVERSEAS SHIPHOLDING        COMMON STOCK   690368105        6917        252680 SH    SOLE           252680      0      0
OWENS & MINOR INC HLDG CO   COMMON STOCK   690732102        1977        125500 SH    SOLE           125500      0      0
OWENS-ILLINOIS INC          COMMON STOCK   690768403        3297        356400 SH    SOLE           356400      0      0
OXFORD HEALTH PLANS         COMMON STOCK   691471106       29278        952600 SH    SOLE           952600      0      0
P F CHANGS CHINA BISTRO     COMMON STOCK   69333Y108       13023        376800 SH    SOLE           376800      0      0
P G & E CORP                COMMON STOCK   69331C108       31353       1296238 SH    SOLE          1296238      0      0
P T TELEKOMUNIKASI-ADR      FOREIGN STOCK  715684106        1250        200000 SH    SOLE           200000      0      0
PACCAR INC                  COMMON STOCK   693718108       10129        273290 SH    SOLE           273290      0      0
PACIFIC CENTURY FINL CORP   COMMON STOCK   694058108       10109        590330 SH    SOLE           590330      0      0
PACIFIC SUNWEAR OF CALIF    COMMON STOCK   694873100        1003         53500 SH    SOLE            53500      0      0
PACIFICARE HEALTH SYSTEMS   COMMON STOCK   695112102       18826        540783 SH    SOLE           540783      0      0
PACTIV CORP                 COMMON STOCK   695257105        3635        324900 SH    SOLE           324900      0      0
PAINE WEBBER GROUP INC      COMMON STOCK   695629105       26141        383725 SH    SOLE           383725      0      0
PALL CORP                   COMMON STOCK   696429307        6959        349033 SH    SOLE           349033      0      0
PALM INC                    COMMON STOCK   696642107       71924       1358656 SH    SOLE          1358656      0      0
PANERA BREAD CO CLASS A     COMMON STOCK   69840W108        8400        402400 SH    SOLE           402400      0      0
PAPA JOHN'S INTL INC        COMMON STOCK   698813102        4479        178700 SH    SOLE           178700      0      0
PARAMETRIC TECHNOLOGY CP    COMMON STOCK   699173100        8403        768300 SH    SOLE           768300      0      0
PARK PLACE ENTERTAINMENT    COMMON STOCK   700690100       70011       4628800 SH    SOLE          4628800      0      0
PARKER HANNIFIN CORP        COMMON STOCK   701094104       29027        860050 SH    SOLE           860050      0      0
PARTNERRE LTD               FOREIGN STOCK  G6852T105        3159         66600 SH    SOLE            66600      0      0
PATTERSON ENERGY INC        COMMON STOCK   703414102        3180         92500 SH    SOLE            92500      0      0
PAUL HARRIS STORES INC      COMMON STOCK   703555201         173        173000 SH    SOLE           173000      0      0
PAYCHEX INC                 COMMON STOCK   704326107       69874       1330942 SH    SOLE          1330942      0      0
PAYLESS SHOESOURCE INC      COMMON STOCK   704379106        9783        174688 SH    SOLE           174688      0      0
PC CONNECTION INC           COMMON STOCK   69318J100       21426        375900 SH    SOLE           375900      0      0
PC-TEL INC                  COMMON STOCK   69325Q105         656         28200 SH    SOLE            28200      0      0
PE CORP-PE BIOSYSTEMS GRP   COMMON STOCK   69332S102       63912        548600 SH    SOLE           548600      0      0
PECO ENERGY CO              COMMON STOCK   693304107       28295        467200 SH    SOLE           467200      0      0
PEGASUS COMMUNICATIONS CP   COMMON STOCK   705904100       20267        419500 SH    SOLE           419500      0      0
PEMSTAR INC                 COMMON STOCK   706552106        3229        164000 SH    SOLE           164000      0      0
PENNEY (J C) CO INC         COMMON STOCK   708160106        9109        771100 SH    SOLE           771100      0      0
PENNZOIL-QUAKER STATE CO    COMMON STOCK   709323109        6857        653035 SH    SOLE           653035      0      0
PENTAIR INC                 COMMON STOCK   709631105        9758        364800 SH    SOLE           364800      0      0
PENTON MEDIA INC            COMMON STOCK   709668107         355         12900 SH    SOLE            12900      0      0
PEOPLES ENERGY CORP         COMMON STOCK   711030106        3785        113400 SH    SOLE           113400      0      0
PEOPLESOFT INC              COMMON STOCK   712713106       44463       1591500 SH    SOLE          1591500      0      0
PEPSI BOTTLING GROUP INC    COMMON STOCK   713409100        4122        137100 SH    SOLE           137100      0      0
PEPSICO INC                 COMMON STOCK   713448108      195893       4258554 SH    SOLE          4258554      0      0
PEREGRINE SYSTEMS INC       COMMON STOCK   71366Q101       11888        627725 SH    SOLE           627725      0      0
PERFORMANCE FOOD GROUP      COMMON STOCK   713755106        1272         33800 SH    SOLE            33800      0      0
PERICOM SEMICONDUCTOR       COMMON STOCK   713831105       16760        446200 SH    SOLE           446200      0      0
PERKINELMER INC             COMMON STOCK   714046109       14853        142300 SH    SOLE           142300      0      0
PERRIGO COMPANY             COMMON STOCK   714290103        3849        562400 SH    SOLE           562400      0      0
PER-SE TECHNOLOGIES INC     COMMON STOCK   713569309        2978        234700 SH    SOLE           234700      0      0
PER-SE TECHNOLOGIES WTS     COMMON STOCK   713569119           0         17619 SH    SOLE            17619      0      0
PETROLEO BRASILEIRO S.A.    FOREIGN STOCK  71654V101        3634        127000 SH    SOLE           127000      0      0
PETSMART                    COMMON STOCK   716768106        1204        256900 SH    SOLE           256900      0      0
PFIZER INC                  COMMON STOCK   717081103     1000722      22269198 SH    SOLE         22269198      0      0
PHARMACIA CORP              COMMON STOCK   71713U102      318634       5294026 SH    SOLE          5294026      0      0
PHARMACOPEIA INC            COMMON STOCK   71713B104        4771        187100 SH    SOLE           187100      0      0
PHARMACYCLICS INC           COMMON STOCK   716933106        7345        148000 SH    SOLE           148000      0      0
PHELPS DODGE CORP           COMMON STOCK   717265102        8240        197370 SH    SOLE           197370      0      0
PHILIP MORRIS COMPANIES     COMMON STOCK   718154107      171144       5813800 SH    SOLE          5813800      0      0
PHILLIPS PETROLEUM          COMMON STOCK   718507106       40467        644900 SH    SOLE           644900      0      0
PHOTON DYNAMICS INC         COMMON STOCK   719364101        5953        157700 SH    SOLE           157700      0      0
PIER 1 IMPORTS INC          COMMON STOCK   720279108        3993        294400 SH    SOLE           294400      0      0
PINNACLE HOLDINGS INC       COMMON STOCK   72346N101        3033        113900 SH    SOLE           113900      0      0
PINNACLE WEST CAPITAL CP    COMMON STOCK   723484101       18824        370000 SH    SOLE           370000      0      0
PIONEER NATURAL RESOURCES   COMMON STOCK   723787107       10548        743500 SH    SOLE           743500      0      0
PITNEY-BOWES INC            COMMON STOCK   724479100       25934        657600 SH    SOLE           657600      0      0
PITTSTON BRINKS GROUP       COMMON STOCK   725701106        5720        369000 SH    SOLE           369000      0      0
PLACER DOME INC             COMMON STOCK   725906101        6987        740300 SH    SOLE           740300      0      0
PLANTRONICS INC             COMMON STOCK   727493108        2812         74000 SH    SOLE            74000      0      0
PMC-SIERRA INC              COMMON STOCK   69344F106       53787        249882 SH    SOLE           249882      0      0
PNC FINANCIAL SERVICES GR   COMMON STOCK   693475105       54464        837900 SH    SOLE           837900      0      0
POLAROID CORP               COMMON STOCK   731095105        1400        104153 SH    SOLE           104153      0      0
POLYCOM INC                 COMMON STOCK   73172K104       66540        993600 SH    SOLE           993600      0      0
POLYMEDICA CORP             COMMON STOCK   731738100        1055         24600 SH    SOLE            24600      0      0
POLYONE CORPORATION         COMMON STOCK   73179P106        1463        200000 SH    SOLE           200000      0      0
POST PROPERTIES INC         COMMON STOCK   737464107        2217         50900 SH    SOLE            50900      0      0
POTLATCH CORP               COMMON STOCK   737628107        2312         73100 SH    SOLE            73100      0      0
POTOMAC ELECTRIC POWER      COMMON STOCK   737679100       22326        886400 SH    SOLE           886400      0      0
POWER-ONE INC               COMMON STOCK   739308104       14736        243500 SH    SOLE           243500      0      0
POWERTEL INC                COMMON STOCK   73936C109        4632         60900 SH    SOLE            60900      0      0
POWERWAVE TECHNOLOGIES      COMMON STOCK   739363109       27034        712000 SH    SOLE           712000      0      0
PPG INDUSTRIES              COMMON STOCK   693506107       28321        713600 SH    SOLE           713600      0      0
PPL CORPORATION             COMMON STOCK   69351T106       25576        612600 SH    SOLE           612600      0      0
PRAECIS PHARMACEUTICALS     COMMON STOCK   739421105        1772         41700 SH    SOLE            41700      0      0
PRAXAIR INC                 COMMON STOCK   74005P104       21696        580500 SH    SOLE           580500      0      0
PRECISION CASTPARTS         COMMON STOCK   740189105       16524        430600 SH    SOLE           430600      0      0
PRECISION DRILLING CORP     COMMON STOCK   74022D100         941         26400 SH    SOLE            26400      0      0
PREPAID LEGAL SERVICES      COMMON STOCK   740065107        1293         40000 SH    SOLE            40000      0      0
PRICE (T ROWE) ASSOC        COMMON STOCK   741477103       18348        390900 SH    SOLE           390900      0      0
PRICE COMMUNICATIONS CORP   COMMON STOCK   741437305        1070         54700 SH    SOLE            54700      0      0
PRIDE INTERNATIONAL INC     COMMON STOCK   741932107        4113        155200 SH    SOLE           155200      0      0
PRIORITY HEALTHCARE-CL B    COMMON STOCK   74264T102        3065         40200 SH    SOLE            40200      0      0
PROCTER & GAMBLE CO         COMMON STOCK   742718109      262203       3913480 SH    SOLE          3913480      0      0
PROFESSIONAL DETAILING      COMMON STOCK   74312N107       18343        321800 SH    SOLE           321800      0      0
PROFIT RECOVERY GRP INTL    COMMON STOCK   743168106        1463        148200 SH    SOLE           148200      0      0
PROGRESSIVE CORP            COMMON STOCK   743315103       18234        222700 SH    SOLE           222700      0      0
PROLOGIS TRUST              COMMON STOCK   743410102       10954        461200 SH    SOLE           461200      0      0
PROTECTIVE LIFE CORP        COMMON STOCK   743674103       24710        827100 SH    SOLE           827100      0      0
PROTEIN DESIGN LABS INC     COMMON STOCK   74369L103        1808         15000 SH    SOLE            15000      0      0
PROTON ENERGY SYSTEMS       COMMON STOCK   74371K101        1320         46100 SH    SOLE            46100      0      0
PROVIDENT FINANCIAL GROUP   COMMON STOCK   743866105       10886        370600 SH    SOLE           370600      0      0
PROVIDIAN FINANCIAL CORP    COMMON STOCK   74406A102       64313        506400 SH    SOLE           506400      0      0
PROVINCE HEALTHCARE CO      COMMON STOCK   743977100        2450         61350 SH    SOLE            61350      0      0
PROXICOM INC                COMMON STOCK   744282104        4038        207100 SH    SOLE           207100      0      0
PROXIM INC                  COMMON STOCK   744284100       14160        318200 SH    SOLE           318200      0      0
PSS WORLD MEDICAL INC       COMMON STOCK   69366A100        1881        518800 SH    SOLE           518800      0      0
PUBLIC SERVICE ENTERPRISE   COMMON STOCK   744573106       28587        639700 SH    SOLE           639700      0      0
PUBLIC SERVICE OF N MEX     COMMON STOCK   744499104        7765        300100 SH    SOLE           300100      0      0
PUGET SOUND ENERGY INC      COMMON STOCK   745332106       16440        647900 SH    SOLE           647900      0      0
PULTE CORP                  COMMON STOCK   745867101        6372        193100 SH    SOLE           193100      0      0
QLOGIC CORP                 COMMON STOCK   747277101       65754        747200 SH    SOLE           747200      0      0
QLT PHOTOTHERAPEUTICS INC   COMMON STOCK   746927102        1676         23650 SH    SOLE            23650      0      0
QRS CORP                    COMMON STOCK   74726X105         822         54550 SH    SOLE            54550      0      0
QUAKER OATS CO              COMMON STOCK   747402105       39080        493900 SH    SOLE           493900      0      0
QUALCOMM INC                COMMON STOCK   747525103      138653       1946000 SH    SOLE          1946000      0      0
QUANTA SERVICES INC         COMMON STOCK   74762E102       21852        794600 SH    SOLE           794600      0      0
QUANTUM CORP DSSG           COMMON STOCK   747906204       17106       1135700 SH    SOLE          1135700      0      0
QUEST DIAGNOSTICS INC       COMMON STOCK   74834L100       48447        422200 SH    SOLE           422200      0      0
QUEST SOFTWARE INC          COMMON STOCK   74834T103        2503         40300 SH    SOLE            40300      0      0
QUESTAR CORP                COMMON STOCK   748356102       16907        607900 SH    SOLE           607900      0      0
QUINTILES TRANSNATIONAL     COMMON STOCK   748767100       16913       1061200 SH    SOLE          1061200      0      0
QUORUM HEALTH GROUP INC     COMMON STOCK   749084109        6938        533700 SH    SOLE           533700      0      0
QWEST COMMUN INTL           COMMON STOCK   749121109      239908       4991574 SH    SOLE          4991574      0      0
R & B FALCON CORP           COMMON STOCK   74912E101        3463        124500 SH    SOLE           124500      0      0
RADIAN GROUP INC            COMMON STOCK   750236101        6075         90000 SH    SOLE            90000      0      0
RADIO ONE INC CLASS A       COMMON STOCK   75040P108         510         61400 SH    SOLE            61400      0      0
RADIOSHACK CORP             COMMON STOCK   750438103       32748        506736 SH    SOLE           506736      0      0
RADISYS CORP                COMMON STOCK   750459109        7124        140900 SH    SOLE           140900      0      0
RAINBOW TECHNOLOGIES INC    COMMON STOCK   750862104         662         18700 SH    SOLE            18700      0      0
RALSTON-RALSTON PURINA GR   COMMON STOCK   751277302       26734       1128600 SH    SOLE          1128600      0      0
RARE HOSPITALITY INTL INC   COMMON STOCK   753820109        2580        126650 SH    SOLE           126650      0      0
RATIONAL SOFTWARE CORP      COMMON STOCK   75409P202      100642       1450700 SH    SOLE          1450700      0      0
RAVISENT TECHNOLOGIES INC   COMMON STOCK   754440105         158         56084 SH    SOLE            56084      0      0
RAYONIER INC                COMMON STOCK   754907103        7486        208300 SH    SOLE           208300      0      0
RAYTHEON CO-CL A            COMMON STOCK   755111309        4492        164100 SH    SOLE           164100      0      0
RAYTHEON CO-CL B            COMMON STOCK   755111408       48549       1707200 SH    SOLE          1707200      0      0
READERS DIGEST ASSN-CL A    COMMON STOCK   755267101       28398        804200 SH    SOLE           804200      0      0
REDBACK NETWORKS            COMMON STOCK   757209101        1378          8400 SH    SOLE             8400      0      0
REEBOK INTERNATIONAL        COMMON STOCK   758110100        1245         66200 SH    SOLE            66200      0      0
REGIONS FINANCIAL CORP      COMMON STOCK   758940100       14101        621540 SH    SOLE           621540      0      0
REHABCARE GROUP INC         COMMON STOCK   759148109        1904         44800 SH    SOLE            44800      0      0
RELIANT ENERGY INC          COMMON STOCK   75952J108       41198        885984 SH    SOLE           885984      0      0
REMEC INC                   COMMON STOCK   759543101        2515         85450 SH    SOLE            85450      0      0
REMEDY CORP                 COMMON STOCK   759548100        5096        270000 SH    SOLE           270000      0      0
REMEDYTEMP INC-CL A         COMMON STOCK   759549108         715         59800 SH    SOLE            59800      0      0
RENAISSANCERE HLDGS LTD     COMMON STOCK   G7496G103        3299         51600 SH    SOLE            51600      0      0
RENT-A-CENTER INC           COMMON STOCK   76009N100       10476        302000 SH    SOLE           302000      0      0
RENT-WAY INC                COMMON STOCK   76009U104        7834        257900 SH    SOLE           257900      0      0
REPSOL S A-SP ADR           FOREIGN STOCK  76026T205       30217       1650100 SH    SOLE          1650100      0      0
REPUBLIC BANCORP            COMMON STOCK   760282103         930         97850 SH    SOLE            97850      0      0
REPUBLIC SERVICES INC       COMMON STOCK   760759100        1575        120000 SH    SOLE           120000      0      0
RESTORATION HARDWARE INC    COMMON STOCK   760981100        1135        324300 SH    SOLE           324300      0      0
REYNOLDS & REYNOLDS-CL A    COMMON STOCK   761695105       11514        579300 SH    SOLE           579300      0      0
RF MICRO DEVICES INC        COMMON STOCK   749941100        7296        228000 SH    SOLE           228000      0      0
RIBOZYME PHARMACEUTICALS    COMMON STOCK   762567105        2279         78600 SH    SOLE            78600      0      0
RJ REYNOLDS TOBACCO HLDGS   COMMON STOCK   76182K105       24940        773333 SH    SOLE           773333      0      0
ROBERT HALF INTL INC        COMMON STOCK   770323103       51015       1470700 SH    SOLE          1470700      0      0
ROCKWELL INTL CORP          COMMON STOCK   773903109       18610        615200 SH    SOLE           615200      0      0
ROGERS COMMUNICATIONS B     FOREIGN STOCK  775109200         784         33100 SH    SOLE            33100      0      0
ROHM & HAAS CO              COMMON STOCK   775371107       22242        765300 SH    SOLE           765300      0      0
ROLLINS INC                 COMMON STOCK   775711104        2974        200800 SH    SOLE           200800      0      0
ROPER INDUSTRIES INC        COMMON STOCK   776696106        6180        186200 SH    SOLE           186200      0      0
ROSLYN BANCORP INC          COMMON STOCK   778162107        7540        337000 SH    SOLE           337000      0      0
ROSS STORES INC             COMMON STOCK   778296103       10366        721100 SH    SOLE           721100      0      0
ROSTELECOM-SP ADR           FOREIGN STOCK  778529107        1028        116660 SH    SOLE           116660      0      0
ROWAN COMPANIES INC         COMMON STOCK   779382100       13656        470900 SH    SOLE           470900      0      0
ROYAL DUTCH PETRO-NY SH     COMMON STOCK   780257804      393681       6568200 SH    SOLE          6568200      0      0
RPM INC                     COMMON STOCK   749685103        7015        774045 SH    SOLE           774045      0      0
RSA SECURITY INC            COMMON STOCK   749719100        1216         28200 SH    SOLE            28200      0      0
RUDDICK CORP                COMMON STOCK   781258108        4785        344900 SH    SOLE           344900      0      0
RUDOLPH TECHNOLOGIES INC    COMMON STOCK   781270103         813         24300 SH    SOLE            24300      0      0
RURAL CELLULAR CORP         COMMON STOCK   781904107        5632         82670 SH    SOLE            82670      0      0
RUSSELL CORP                COMMON STOCK   782352108        1322         83300 SH    SOLE            83300      0      0
RYDER SYSTEM INC            COMMON STOCK   783549108        2259        122500 SH    SOLE           122500      0      0
RYERSON TULL INC            COMMON STOCK   78375P107        1599        169400 SH    SOLE           169400      0      0
S & P 500 DEPOSIT RECEIPT   COMMON STOCK   78462F103      183525       1277804 SH    SOLE          1277804      0      0
SABRE HOLDINGS CORP         COMMON STOCK   785905100       35429       1224323 SH    SOLE          1224323      0      0
SAFECO CORP                 COMMON STOCK   786429100       14947        548500 SH    SOLE           548500      0      0
SAFEWAY INC                 COMMON STOCK   786514208       81222       1739692 SH    SOLE          1739692      0      0
SAKS INC                    COMMON STOCK   79377W108       10913       1105080 SH    SOLE          1105080      0      0
SANDISK CORP                COMMON STOCK   80004C101       22007        329700 SH    SOLE           329700      0      0
SANMINA CORP                COMMON STOCK   800907107      114616       1224200 SH    SOLE          1224200      0      0
SAPIENT CORP                COMMON STOCK   803062108       11913        292800 SH    SOLE           292800      0      0
SARA LEE CORP               COMMON STOCK   803111103       46889       2308400 SH    SOLE          2308400      0      0
SAWTEK INC                  COMMON STOCK   805468105       13781        357800 SH    SOLE           357800      0      0
SBA COMMUNICATIONS CORP     COMMON STOCK   78388J106        3502         83500 SH    SOLE            83500      0      0
SBC COMMUNICATIONS INC      COMMON STOCK   78387G103      520284      10405679 SH    SOLE         10405679      0      0
SCANA CORP                  COMMON STOCK   80589M102       27630        894900 SH    SOLE           894900      0      0
SCANSOURCE INC              COMMON STOCK   806037107        8054        150900 SH    SOLE           150900      0      0
SCHERING-PLOUGH CORP        COMMON STOCK   806605101      290732       6252300 SH    SOLE          6252300      0      0
SCHLUMBERGER LTD            COMMON STOCK   806857108      129059       1567916 SH    SOLE          1567916      0      0
SCHOLASTIC CORP             COMMON STOCK   807066105       10534        132400 SH    SOLE           132400      0      0
SCHULMAN (A) INC            COMMON STOCK   808194104        2298        208937 SH    SOLE           208937      0      0
SCHWAB (CHARLES) CORP       COMMON STOCK   808513105      131259       3697450 SH    SOLE          3697450      0      0
SCI SYSTEM INC              COMMON STOCK   783890106       44739       1091200 SH    SOLE          1091200      0      0
SCIENTIFIC-ATLANTA INC      COMMON STOCK   808655104       32391        509100 SH    SOLE           509100      0      0
SDL INC                     COMMON STOCK   784076101        1706          5517 SH    SOLE             5517      0      0
SEAGATE TECHNOLOGY          COMMON STOCK   811804103       57747        836920 SH    SOLE           836920      0      0
SEAGRAM CO LTD              COMMON STOCK   811850106       65686       1143600 SH    SOLE          1143600      0      0
SEALED AIR CORP             COMMON STOCK   81211K100       12317        272204 SH    SOLE           272204      0      0
SEARS ROEBUCK & CO          COMMON STOCK   812387108       41700       1286230 SH    SOLE          1286230      0      0
SEI INVESTMENTS CO          COMMON STOCK   784117103       20121        284400 SH    SOLE           284400      0      0
SEITEL INC                  COMMON STOCK   816074306        3203        222800 SH    SOLE           222800      0      0
SELECTICA INC               COMMON STOCK   816288104         618         15500 SH    SOLE            15500      0      0
SEMPRA ENERGY               COMMON STOCK   816851109       13738        660075 SH    SOLE           660075      0      0
SEMTECH CORP                COMMON STOCK   816850101       27142        656000 SH    SOLE           656000      0      0
SENSORMATIC ELECTRONICS     COMMON STOCK   817265101       13271        884700 SH    SOLE           884700      0      0
SEPRACOR INC                COMMON STOCK   817315104       67650        551400 SH    SOLE           551400      0      0
SEQUA CORP-CL A             COMMON STOCK   817320104        3341         78600 SH    SOLE            78600      0      0
SERVICE CORP INTL           COMMON STOCK   817565104        1213        497500 SH    SOLE           497500      0      0
SHARPER IMAGE CORP          COMMON STOCK   820013100         925         52500 SH    SOLE            52500      0      0
SHAW INDUSTRIES INC         COMMON STOCK   820286102       17346        937600 SH    SOLE           937600      0      0
SHELL TRANS & TRADING-ADR   FOREIGN STOCK  822703609        5530        113000 SH    SOLE           113000      0      0
SHERWIN-WILLIAMS CO         COMMON STOCK   824348106        7954        372100 SH    SOLE           372100      0      0
SHIRE PHARMACEUTICAL-ADR    FOREIGN STOCK  82481R106       22496        435767 SH    SOLE           435767      0      0
SIEBEL SYSTEMS INC          COMMON STOCK   826170102      140505       1262261 SH    SOLE          1262261      0      0
SIERRA PACIFIC RESOURCES    COMMON STOCK   826428104       10525        584700 SH    SOLE           584700      0      0
SIGMA-ALDRICH CORP          COMMON STOCK   826552101        5907        179000 SH    SOLE           179000      0      0
SIGNAL TECHNOLOGY CORP      COMMON STOCK   826675100        1175         74600 SH    SOLE            74600      0      0
SILICON STORAGE TECH        COMMON STOCK   827057100       19151        704400 SH    SOLE           704400      0      0
SILICON VALLEY BANCSHRS     COMMON STOCK   827064106       29641        509000 SH    SOLE           509000      0      0
SIMPSON MFG CO INC          COMMON STOCK   829073105         818         18300 SH    SOLE            18300      0      0
SIPEX CORP                  COMMON STOCK   829909100        9716        231000 SH    SOLE           231000      0      0
SIX FLAGS INC               COMMON STOCK   83001P109        9976        643600 SH    SOLE           643600      0      0
SKYWEST INC                 COMMON STOCK   830879102        1717         33500 SH    SOLE            33500      0      0
SMARTFORCE PLC-SP ADR       COMMON STOCK   83170A206        1606         33900 SH    SOLE            33900      0      0
SMITH INTERNATIONAL INC     COMMON STOCK   832110100       31720        388900 SH    SOLE           388900      0      0
SMITHFIELD FOODS INC        COMMON STOCK   832248108        7560        288000 SH    SOLE           288000      0      0
SMUCKER (J M) CO            COMMON STOCK   832696306        4328        178000 SH    SOLE           178000      0      0
SMURFIT-STONE CONTAINER     COMMON STOCK   832727101        1103         91900 SH    SOLE            91900      0      0
SNAP-ON INC                 COMMON STOCK   833034101        2717        115300 SH    SOLE           115300      0      0
SOLA INTERNATIONAL INC      COMMON STOCK   834092108        1513        235000 SH    SOLE           235000      0      0
SOLECTRON CORP              COMMON STOCK   834182107      154708       3354100 SH    SOLE          3354100      0      0
SOLUTIA INC                 COMMON STOCK   834376105       10900        958200 SH    SOLE           958200      0      0
SONICWALL INC               COMMON STOCK   835470105        3141        110200 SH    SOLE           110200      0      0
SONOCO PRODUCTS CO          COMMON STOCK   835495102       13434        743724 SH    SOLE           743724      0      0
SONY CORP-SP ADR            FOREIGN STOCK  835699307       30160        298800 SH    SOLE           298800      0      0
SOTHEBYS  HLDS-CL A         COMMON STOCK   835898107       10850        436200 SH    SOLE           436200      0      0
SOUTHDOWN INC               COMMON STOCK   841297104       19615        275300 SH    SOLE           275300      0      0
SOUTHERN CO                 COMMON STOCK   842587107       53369       1645300 SH    SOLE          1645300      0      0
SOUTHTRUST CORP             COMMON STOCK   844730101       17407        553700 SH    SOLE           553700      0      0
SOUTHWEST AIRLINES CO       COMMON STOCK   844741108       39435       1626187 SH    SOLE          1626187      0      0
SOVEREIGN BANCORP INC       COMMON STOCK   845905108       18181       1965500 SH    SOLE          1965500      0      0
SPECTRASITE HOLDINGS INC    COMMON STOCK   84760T100        1130         60900 SH    SOLE            60900      0      0
SPRINGS INDUSTRIES-CL A     COMMON STOCK   851783100        1818         64500 SH    SOLE            64500      0      0
SPRINT CORP (FON GROUP)     COMMON STOCK   852061100       97552       3328000 SH    SOLE          3328000      0      0
SPRINT CORP (PCS GROUP)     COMMON STOCK   852061506       99735       2844500 SH    SOLE          2844500      0      0
SPSS INC                    COMMON STOCK   78462K102        4875        181800 SH    SOLE           181800      0      0
SPX CORPORATION             COMMON STOCK   784635104       33781        238001 SH    SOLE           238001      0      0
ST JOE CORP (THE)           COMMON STOCK   790148100        8325        300000 SH    SOLE           300000      0      0
ST JUDE MEDICAL INC         COMMON STOCK   790849103       14994        293997 SH    SOLE           293997      0      0
ST PAUL COMPANIES           COMMON STOCK   792860108       34625        702160 SH    SOLE           702160      0      0
STANDARD PACIFIC CORP       COMMON STOCK   85375C101        1222         67900 SH    SOLE            67900      0      0
STANDARD REGISTER CO        COMMON STOCK   853887107        3150        196900 SH    SOLE           196900      0      0
STANLEY WORKS               COMMON STOCK   854616109        5314        230400 SH    SOLE           230400      0      0
STAPLES INC                 COMMON STOCK   855030102       16985       1197187 SH    SOLE          1197187      0      0
STARBUCKS CORP              COMMON STOCK   855244109       19230        480000 SH    SOLE           480000      0      0
STARWOOD HOTELS & RESORTS   COMMON STOCK   85590A203        2216         70900 SH    SOLE            70900      0      0
STATE STREET CORP           COMMON STOCK   857477103       53833        414100 SH    SOLE           414100      0      0
STATION CASINOS INC         COMMON STOCK   857689103         792         55600 SH    SOLE            55600      0      0
STEINER LEISURE LTD         COMMON STOCK   P8744Y102         897         40100 SH    SOLE            40100      0      0
STERIS CORP                 COMMON STOCK   859152100        5662        471800 SH    SOLE           471800      0      0
STEWART & STEVENSON SERV    COMMON STOCK   860342104        3561        204200 SH    SOLE           204200      0      0
STEWART ENTERPRISES CL A    COMMON STOCK   860370105         976        503600 SH    SOLE           503600      0      0
STILWELL FINANCIAL INC      COMMON STOCK   860831106       27609        634700 SH    SOLE           634700      0      0
STMICROELECTRONICS NV       FOREIGN STOCK  861012102       32495        682300 SH    SOLE           682300      0      0
STORA ENSO OYJ-ADR          COMMON STOCK   86210M106        9495       1150934 SH    SOLE          1150934      0      0
STORAGE TECHNOLOGY CORP     COMMON STOCK   862111200       10029        739464 SH    SOLE           739464      0      0
STORAGENETWORKS INC         COMMON STOCK   86211E103        1288         12600 SH    SOLE            12600      0      0
STRUCTURAL DYNAMICS RES     COMMON STOCK   863555108        8603        525363 SH    SOLE           525363      0      0
STRYKER CORP                COMMON STOCK   863667101       62946       1466000 SH    SOLE          1466000      0      0
SUIZA FOODS CORP            COMMON STOCK   865077101       10563        208400 SH    SOLE           208400      0      0
SUMMIT BANCORP              COMMON STOCK   866005101       17041        493950 SH    SOLE           493950      0      0
SUN MICROSYSTEMS INC        COMMON STOCK   866810104      581479       4980552 SH    SOLE          4980552      0      0
SUNGARD DATA SYSTEMS        COMMON STOCK   867363103       48395       1130400 SH    SOLE          1130400      0      0
SUNOCO INC                  COMMON STOCK   86764P109       10566        392233 SH    SOLE           392233      0      0
SUNTRUST BANKS INC          COMMON STOCK   867914103       38175        766364 SH    SOLE           766364      0      0
SUPERIOR INDUSTRIES INC     COMMON STOCK   868168105        5855        195150 SH    SOLE           195150      0      0
SUPERVALU INC               COMMON STOCK   868536103        4927        327100 SH    SOLE           327100      0      0
SWIFT TRANSPORTATION CO     COMMON STOCK   870756103        6773        518500 SH    SOLE           518500      0      0
SYBASE INC                  COMMON STOCK   871130100       18637        810300 SH    SOLE           810300      0      0
SYBRON INTL CORP            COMMON STOCK   87114F106       18708        779500 SH    SOLE           779500      0      0
SYKES ENTERPRISES INC       COMMON STOCK   871237103        1696        315500 SH    SOLE           315500      0      0
SYLVAN LEARNING SYSTEMS     COMMON STOCK   871399101        5318        359000 SH    SOLE           359000      0      0
SYMANTEC CORP               COMMON STOCK   871503108       27306        620600 SH    SOLE           620600      0      0
SYMBOL TECHNOLOGIES INC     COMMON STOCK   871508107       37136       1033337 SH    SOLE          1033337      0      0
SYNAVANT INC                COMMON STOCK   87157A105         242         36250 SH    SOLE            36250      0      0
SYNBIOTICS CORP             COMMON STOCK   871566105          91         43600 SH    SOLE            43600      0      0
SYNOPSYS INC                COMMON STOCK   871607107       19650        518800 SH    SOLE           518800      0      0
SYNOVUS FINANCIAL CORP      COMMON STOCK   87161C105       13627        643150 SH    SOLE           643150      0      0
SYNTHETECH INC              COMMON STOCK   87162E100         876        329800 SH    SOLE           329800      0      0
SYNTROLEUM CORP             COMMON STOCK   871630109        1498         73500 SH    SOLE            73500      0      0
SYSCO CO                    COMMON STOCK   871829107       56348       1216700 SH    SOLE          1216700      0      0
TAIWAN SIMICONDUCTOR MFG    FOREIGN STOCK  874039100        3464        170000 SH    SOLE           170000      0      0
TALBOTS INC                 COMMON STOCK   874161102        1133         17100 SH    SOLE            17100      0      0
TALK CITY INC               COMMON STOCK   874263106         123        103491 SH    SOLE           103491      0      0
TANOX INC                   COMMON STOCK   87588Q109        1125         33200 SH    SOLE            33200      0      0
TARGET CORP                 COMMON STOCK   87612E106       68798       2684800 SH    SOLE          2684800      0      0
TCF FINANCIAL CORP          COMMON STOCK   872275102       23820        633100 SH    SOLE           633100      0      0
TD WATERHOUSE GROUP         COMMON STOCK   872362108        3433        184300 SH    SOLE           184300      0      0
TECH DATA CORP              COMMON STOCK   878237106       19357        452800 SH    SOLE           452800      0      0
TECHNE CORP                 COMMON STOCK   878377100       12902        115200 SH    SOLE           115200      0      0
TECHNITROL INC              COMMON STOCK   878555101         798          7900 SH    SOLE             7900      0      0
TECO ENERGY                 COMMON STOCK   872375100       26887        935200 SH    SOLE           935200      0      0
TECUMSEH PRODUCTS-CL A      COMMON STOCK   878895200        6327        151100 SH    SOLE           151100      0      0
TEKTRONIX INC               COMMON STOCK   879131100       15059        196050 SH    SOLE           196050      0      0
TELE NORTE LESTE PART-ADR   FOREIGN STOCK  879246106        7741        338411 SH    SOLE           338411      0      0
TELEFLEX INC                COMMON STOCK   879369106        9673        281400 SH    SOLE           281400      0      0
TELEFONICA DE ESPANA-ADR    FOREIGN STOCK  879382208       10455        175894 SH    SOLE           175894      0      0
TELEFONOS DE MEXICO S A     FOREIGN STOCK  879403780        8228        154700 SH    SOLE           154700      0      0
TELEPHONE & DATA SYSTEMS    COMMON STOCK   879433100       51088        461500 SH    SOLE           461500      0      0
TELLABS INC                 COMMON STOCK   879664100       63705       1334133 SH    SOLE          1334133      0      0
TEMPLE-INLAND INC           COMMON STOCK   879868107        5337        140900 SH    SOLE           140900      0      0
TENET HEALTHCARE CORP       COMMON STOCK   88033G100      107452       2954000 SH    SOLE          2954000      0      0
TERADYNE INC                COMMON STOCK   880770102       30552        872900 SH    SOLE           872900      0      0
TETRA TECH INC              COMMON STOCK   88162G103        9184        321535 SH    SOLE           321535      0      0
TEVA PHARMACEUTICAL-ADR     COMMON STOCK   881624209       11637        159000 SH    SOLE           159000      0      0
TEXACO INC                  COMMON STOCK   881694103      123048       2343772 SH    SOLE          2343772      0      0
TEXAS INSTRUMENTS INC       COMMON STOCK   882508104      286631       6074292 SH    SOLE          6074292      0      0
TEXTRON INC                 COMMON STOCK   883203101       47532       1030500 SH    SOLE          1030500      0      0
THE PMI GROUP INC           COMMON STOCK   69344M101       26771        395150 SH    SOLE           395150      0      0
THERMO ELECTRON CORP        COMMON STOCK   883556102       10103        388587 SH    SOLE           388587      0      0
THOMAS & BETTS CORP         COMMON STOCK   884315102        2091        119900 SH    SOLE           119900      0      0
THQ INC                     COMMON STOCK   872443403        1145         49250 SH    SOLE            49250      0      0
THREE-FIVE SYSTEMS INC      COMMON STOCK   88554L108        1641         56100 SH    SOLE            56100      0      0
TIBCO SOFTWARE INC          COMMON STOCK   88632Q103        4914         58200 SH    SOLE            58200      0      0
TIDEWATER INC               COMMON STOCK   886423102       22359        491400 SH    SOLE           491400      0      0
TIFFANY & CO                COMMON STOCK   886547108       18826        488200 SH    SOLE           488200      0      0
TIME DEPOSIT                TIME DEPOSIT   TD9OTT1           500        500000 PRN   SOLE           500000      0      0
TIME WARNER INC             COMMON STOCK   887315109      432128       5522400 SH    SOLE          5522400      0      0
TIMKEN CO                   COMMON STOCK   887389104         535         39100 SH    SOLE            39100      0      0
TITAN CORP                  COMMON STOCK   888266103        6852        415300 SH    SOLE           415300      0      0
TITAN INTERNATIONAL INC     COMMON STOCK   88830M102        1480        257400 SH    SOLE           257400      0      0
TITAN PHARMACEUTICALS INC   COMMON STOCK   888314101       12740        196000 SH    SOLE           196000      0      0
TJX COMPANIES INC           COMMON STOCK   872540109       22570       1003100 SH    SOLE          1003100      0      0
TMP WORLDWIDE INC           COMMON STOCK   872941109        8131        101000 SH    SOLE           101000      0      0
TOLLGRADE COMMUNICATIONS    COMMON STOCK   889542106       26756        192750 SH    SOLE           192750      0      0
TOO INC                     COMMON STOCK   890333107        1287         54200 SH    SOLE            54200      0      0
TOPPS COMPANY (THE)         COMMON STOCK   890786106        1340        145900 SH    SOLE           145900      0      0
TORCHMARK CORP              COMMON STOCK   891027104       10366        372700 SH    SOLE           372700      0      0
TOSCO CORP                  COMMON STOCK   891490302       22262        713800 SH    SOLE           713800      0      0
TOYS R US INC               COMMON STOCK   892335100       15490        953250 SH    SOLE           953250      0      0
TRANSACTION SYS ARCHITECT   COMMON STOCK   893416107        6359        391300 SH    SOLE           391300      0      0
TRANSOCEAN SEDCO FOREX      COMMON STOCK   G90078109       36637        624946 SH    SOLE           624946      0      0
TRANSWITCH CORP             COMMON STOCK   894065101       69197       1085450 SH    SOLE          1085450      0      0
TRIBUNE COMPANY             COMMON STOCK   896047107       42414        972235 SH    SOLE           972235      0      0
TRICON GLOBAL RESTAURANTS   COMMON STOCK   895953107       11070        361485 SH    SOLE           361485      0      0
TRIGON HEALTHCARE INC       COMMON STOCK   89618L100       16788        319400 SH    SOLE           319400      0      0
TRIKON TECHNOLOGIES INC     COMMON STOCK   896187408        1001         70900 SH    SOLE            70900      0      0
TRINITY INDUSTRIES INC      COMMON STOCK   896522109        6639        284000 SH    SOLE           284000      0      0
TRIPOS INC                  COMMON STOCK   896928108        3855        134100 SH    SOLE           134100      0      0
TRIQUINT SEMICONDUCTOR      COMMON STOCK   89674K103       38733       1063000 SH    SOLE          1063000      0      0
TRITON PCS HOLDINGS CL A    COMMON STOCK   89677M106         536         19500 SH    SOLE            19500      0      0
TRW INC                     COMMON STOCK   872649108       13215        325300 SH    SOLE           325300      0      0
TULARIK INC                 COMMON STOCK   899165104         789         23900 SH    SOLE            23900      0      0
TUMBLEWEED COMMUNICATIONS   COMMON STOCK   899690101        1571         30800 SH    SOLE            30800      0      0
TUPPERWARE CORP             COMMON STOCK   899896104        3175        176400 SH    SOLE           176400      0      0
TURNSTONE SYSTEMS INC       COMMON STOCK   900423104        1178         25400 SH    SOLE            25400      0      0
TUT SYSTEMS INC             COMMON STOCK   901103101       14328        166000 SH    SOLE           166000      0      0
TXU CORPORATION             COMMON STOCK   873168108       38883        981277 SH    SOLE           981277      0      0
TYCO INTERNATIONAL LTD      COMMON STOCK   902124106      396276       7639060 SH    SOLE          7639060      0      0
TYCOM LTD                   COMMON STOCK   G9144B106        2402         62600 SH    SOLE            62600      0      0
TYSON FOODS INC-CL A        COMMON STOCK   902494103       19546       1954550 SH    SOLE          1954550      0      0
U S BANCORP                 COMMON STOCK   902973106       47262       2077453 SH    SOLE          2077453      0      0
UAL CORP                    COMMON STOCK   902549500        2428         57800 SH    SOLE            57800      0      0
UCAR INTERNATIONAL          COMMON STOCK   90262K109        4021        316900 SH    SOLE           316900      0      0
ULTRAMAR DIAMOND SHAMROCK   COMMON STOCK   904000106       20325        800976 SH    SOLE           800976      0      0
UN PLANTERS CORP            COMMON STOCK   908068109       12894        390000 SH    SOLE           390000      0      0
UNICOM CORP                 COMMON STOCK   904911104       32780        583400 SH    SOLE           583400      0      0
UNIFI INC                   COMMON STOCK   904677101        5969        585950 SH    SOLE           585950      0      0
UNILEVER N V - NY SHARES    COMMON STOCK   904784709       87165       1806528 SH    SOLE          1806528      0      0
UNION CARBIDE CORP          COMMON STOCK   905581104       14741        390500 SH    SOLE           390500      0      0
UNION PACIFIC CORP          COMMON STOCK   907818108       34253        881100 SH    SOLE           881100      0      0
UNISYS CORP                 COMMON STOCK   909214108        8739        776800 SH    SOLE           776800      0      0
UNITED PAN-EUROPE           FOREIGN STOCK  911300200          35          1800 SH    SOLE             1800      0      0
UNITED PARCEL SERVICE-CLB   COMMON STOCK   911312106        1139         20200 SH    SOLE            20200      0      0
UNITED RENTALS INC          COMMON STOCK   911363109       13524        560600 SH    SOLE           560600      0      0
UNITED STATIONERS INC       COMMON STOCK   913004107         916         34100 SH    SOLE            34100      0      0
UNITED TECHNOLOGIES CORP    COMMON STOCK   913017109      200087       2889344 SH    SOLE          2889344      0      0
UNITED THERAPEUTICS CORP    COMMON STOCK   91307C102        1975         22600 SH    SOLE            22600      0      0
UNITEDHEALTH GROUP INC      COMMON STOCK   91324P102       51202        518500 SH    SOLE           518500      0      0
UNITRIN INC                 COMMON STOCK   913275103       16370        516600 SH    SOLE           516600      0      0
UNIVERSAL CORP              COMMON STOCK   913456109        6565        223500 SH    SOLE           223500      0      0
UNIVERSAL FOODS CORP        COMMON STOCK   913538104        7359        361200 SH    SOLE           361200      0      0
UNIVERSAL HEALTH SVC-CL B   COMMON STOCK   913903100        9008        105200 SH    SOLE           105200      0      0
UNIVISION COMMUNICATIONS    COMMON STOCK   914906102       58324       1560500 SH    SOLE          1560500      0      0
UNOCAL CORP                 COMMON STOCK   915289102       36805       1038600 SH    SOLE          1038600      0      0
UNOVA INC                   COMMON STOCK   91529B106         230         58500 SH    SOLE            58500      0      0
UNUMPROVIDENT CORP          COMMON STOCK   91529Y106       21498        788930 SH    SOLE           788930      0      0
US AIRWAYS GROUP INC        COMMON STOCK   911905107        4788        157300 SH    SOLE           157300      0      0
US CELLULAR                 COMMON STOCK   911684108        1687         24100 SH    SOLE            24100      0      0
US ONCOLOGY INC             COMMON STOCK   90338W103         211         46500 SH    SOLE            46500      0      0
US UNWIRED INC CL A         COMMON STOCK   90338R104         501         52600 SH    SOLE            52600      0      0
USA EDUCATION INC           COMMON STOCK   90390U102       65998       1369600 SH    SOLE          1369600      0      0
USA NETWORKS INC            COMMON STOCK   902984103        9893        450944 SH    SOLE           450944      0      0
USG CORP                    COMMON STOCK   903293405        9609        383400 SH    SOLE           383400      0      0
UST INC                     COMMON STOCK   902911106        9198        402100 SH    SOLE           402100      0      0
USX-MARATHON GROUP          COMMON STOCK   902905827       28219        994500 SH    SOLE           994500      0      0
USX-U S STEEL GROUP INC     COMMON STOCK   90337T101        3322        218740 SH    SOLE           218740      0      0
UTI ENERGY CORP             COMMON STOCK   903387108        1499         33600 SH    SOLE            33600      0      0
UTILICORP UNITED INC        COMMON STOCK   918005109       19928        770150 SH    SOLE           770150      0      0
VALASSIS COMMUNICATIONS     COMMON STOCK   918866104        9256        416000 SH    SOLE           416000      0      0
VALERO ENERGY CORP          COMMON STOCK   91913Y100       22499        639400 SH    SOLE           639400      0      0
VALSPAR CORP                COMMON STOCK   920355104        7428        323100 SH    SOLE           323100      0      0
VARCO INTERNATIONAL INC     COMMON STOCK   922122106       16470        791368 SH    SOLE           791368      0      0
VARIAN INC                  COMMON STOCK   922206107       19335        449000 SH    SOLE           449000      0      0
VARIAN MEDICAL SYSTEMS      COMMON STOCK   92220P105        2562         56700 SH    SOLE            56700      0      0
VARIAN SEMICONDUCTER EQUP   COMMON STOCK   922207105        3384         90400 SH    SOLE            90400      0      0
VECTREN CORP                COMMON STOCK   92240G101        8897        438000 SH    SOLE           438000      0      0
VEECO INSTRUMENTS INC       COMMON STOCK   922417100        4824         45400 SH    SOLE            45400      0      0
VENATOR GROUP INC           COMMON STOCK   922944103        1460        118000 SH    SOLE           118000      0      0
VERISIGN INC                COMMON STOCK   92343E102        3585         17700 SH    SOLE            17700      0      0
VERITAS SOFTWARE CORP       COMMON STOCK   923436109      195374       1375871 SH    SOLE          1375871      0      0
VERIZON COMMUNICATIONS      COMMON STOCK   92343V104      476704       9841640 SH    SOLE          9841640      0      0
VERTEX PHARMACEUTICALS      COMMON STOCK   92532F100        2383         28200 SH    SOLE            28200      0      0
VERTICALNET INC             COMMON STOCK   92532L107        6393        182000 SH    SOLE           182000      0      0
VERTICOM INC-RESTRICTED     COMMON STOCK   925325995           0           568 SH    SOLE              568      0      0
VERTICOM SER B PFD-RESTRI   COMMON STOCK   925329971           0          1505 SH    SOLE             1505      0      0
VERTICOM-SER A PFD-RESTRI   COMMON STOCK   925325987           0         78125 SH    SOLE            78125      0      0
VF CORP                     COMMON STOCK   918204108       14758        597800 SH    SOLE           597800      0      0
VIACOM INC-CL B             COMMON STOCK   925524308      329048       5624752 SH    SOLE          5624752      0      0
VIAD CORP                   COMMON STOCK   92552R109       18817        708400 SH    SOLE           708400      0      0
VIASYSTEMS GROUP INC        COMMON STOCK   92553H100       12604        741400 SH    SOLE           741400      0      0
VINTAGE PETROLEUM INC       COMMON STOCK   927460105        1213         53300 SH    SOLE            53300      0      0
VIRAGE LOGIC CORP           COMMON STOCK   92763R104        1282         78000 SH    SOLE            78000      0      0
VIRATA CORP                 COMMON STOCK   927646109       15698        237400 SH    SOLE           237400      0      0
VISHAY INTERTECHNOLOGY      COMMON STOCK   928298108       36694       1193304 SH    SOLE          1193304      0      0
VISIBLE GNEETICS INC        COMMON STOCK   92829S104        1211         30000 SH    SOLE            30000      0      0
VISTEON CORP                COMMON STOCK   92839U107        6106        403735 SH    SOLE           403735      0      0
VISX INC                    COMMON STOCK   92844S105       12585        467200 SH    SOLE           467200      0      0
VITESSE SEMICONDUCTOR CP    COMMON STOCK   928497106      119710       1346000 SH    SOLE          1346000      0      0
VOICESTREAM WIRELESS CORP   COMMON STOCK   928615103        4584         39500 SH    SOLE            39500      0      0
VULCAN MATERIALS            COMMON STOCK   929160109       10497        261200 SH    SOLE           261200      0      0
W R GRACE & CO              COMMON STOCK   38388F108        1349        196200 SH    SOLE           196200      0      0
WACHOVIA CORP               COMMON STOCK   929771103       29178        514710 SH    SOLE           514710      0      0
WADDELL & REED FINL CL A    COMMON STOCK   930059100       23266        750500 SH    SOLE           750500      0      0
WALGREEN CO                 COMMON STOCK   931422109      100068       2637700 SH    SOLE          2637700      0      0
WALLACE COMPUTER SERVICES   COMMON STOCK   932270101        4264        279600 SH    SOLE           279600      0      0
WAL-MART STORES INC         COMMON STOCK   931142103      625889      13005494 SH    SOLE         13005494      0      0
WALT DISNEY CO (THE)        COMMON STOCK   254687106      296351       7747739 SH    SOLE          7747739      0      0
WARNACO GROUP INC-CL A      COMMON STOCK   934390105        1445        361300 SH    SOLE           361300      0      0
WARRANTS MICRTEL INTL       COMMON STOCK   59514K928           0         11730 SH    SOLE            11730      0      0
WASHINGTON GAS LIGHT        COMMON STOCK   938837101        9396        349600 SH    SOLE           349600      0      0
WASHINGTON MUTUAL INC       COMMON STOCK   939322103       83572       2099133 SH    SOLE          2099133      0      0
WASHINGTON POST-CL B        COMMON STOCK   939640108       38324         72600 SH    SOLE            72600      0      0
WASTE CONNECTIONS INC       COMMON STOCK   941053100        2493         97300 SH    SOLE            97300      0      0
WASTE MANAGEMENT INC        COMMON STOCK   94106L109       47651       2732690 SH    SOLE          2732690      0      0
WATCHGUARD TECHNOLOGIES     COMMON STOCK   941105108        7554        125900 SH    SOLE           125900      0      0
WATERS CORP                 COMMON STOCK   941848103       87807        986600 SH    SOLE           986600      0      0
WATSON PHARMACEUTICAL INC   COMMON STOCK   942683103       21532        331900 SH    SOLE           331900      0      0
WAUSAU-MOSINEE PAPER CORP   COMMON STOCK   943315101        2722        351222 SH    SOLE           351222      0      0
WEATHERFORD INTERNATIONAL   COMMON STOCK   947074100       36212        842137 SH    SOLE           842137      0      0
WEBMETHODS INC              COMMON STOCK   94768C108        6332         55000 SH    SOLE            55000      0      0
WEBSTER FINANCIAL CORP      COMMON STOCK   947890109       10199        378600 SH    SOLE           378600      0      0
WEBTRENDS CORP              COMMON STOCK   94844D104        6571        175800 SH    SOLE           175800      0      0
WELLMAN INC                 COMMON STOCK   949702104        3004        208100 SH    SOLE           208100      0      0
WELLPOINT HEALTH NETWORKS   COMMON STOCK   94973H108       21850        227600 SH    SOLE           227600      0      0
WELLS FARGO COMPANY         COMMON STOCK   949746101      271473       5909620 SH    SOLE          5909620      0      0
WENDY'S INTL INC            COMMON STOCK   950590109        4877        243100 SH    SOLE           243100      0      0
WEST TELESERVICES CORP      COMMON STOCK   956188106        1201         54600 SH    SOLE            54600      0      0
WESTAMERICA BANCORP         COMMON STOCK   957090103        9068        271200 SH    SOLE           271200      0      0
WESTELL TECH INC CL A       COMMON STOCK   957541105        1770        137500 SH    SOLE           137500      0      0
WESTERN RESOURCES INC       COMMON STOCK   959425109       10142        469000 SH    SOLE           469000      0      0
WESTERN WIRELESS CP-CL A    COMMON STOCK   95988E204        5280        148200 SH    SOLE           148200      0      0
WESTPOINT STEVENS INC       COMMON STOCK   961238102        4185        341600 SH    SOLE           341600      0      0
WESTVACO CORP               COMMON STOCK   961548104        6364        238450 SH    SOLE           238450      0      0
WESTWOOD ONE INC            COMMON STOCK   961815107       19268        898800 SH    SOLE           898800      0      0
WEYERHAEUSER CO             COMMON STOCK   962166104       34335        850400 SH    SOLE           850400      0      0
WHIRLPOOL CORP              COMMON STOCK   963320106        7868        202400 SH    SOLE           202400      0      0
WHITMAN CORP                COMMON STOCK   96647R107       11554        999300 SH    SOLE           999300      0      0
WHOLE FOODS MARKET INC      COMMON STOCK   966837106        8875        165300 SH    SOLE           165300      0      0
WILLAMETTE INDUSTRIES       COMMON STOCK   969133107        8128        290300 SH    SOLE           290300      0      0
WILLIAMS COMMUNICATIONS     COMMON STOCK   969455104        1424         71200 SH    SOLE            71200      0      0
WILLIAMS COMPANIES INC      COMMON STOCK   969457100       82827       1960394 SH    SOLE          1960394      0      0
WILLIAMS-SONOMA INC         COMMON STOCK   969904101       24923        717200 SH    SOLE           717200      0      0
WILMINGTON TRUST CORP       COMMON STOCK   971807102       13063        243600 SH    SOLE           243600      0      0
WIND RIVER SYSTEMS INC      COMMON STOCK   973149107       22641        472300 SH    SOLE           472300      0      0
WINN-DIXIE STORES INC       COMMON STOCK   974280109        4232        294400 SH    SOLE           294400      0      0
WIRELESS FACILITIES INC     COMMON STOCK   97653A103        1246         21600 SH    SOLE            21600      0      0
WISCONSIN CTRL TRANSPORT    COMMON STOCK   976592105        3937        372700 SH    SOLE           372700      0      0
WISCONSIN ENERGY CORP       COMMON STOCK   976657106       19054        955700 SH    SOLE           955700      0      0
WJ COMMUNICATIONS INC       COMMON STOCK   929284107        1240         33500 SH    SOLE            33500      0      0
WORLDCOM INC                COMMON STOCK   98157D106      317375      10448558 SH    SOLE         10448558      0      0
WORTHINGTON INDUSTRIES      COMMON STOCK   981811102        1340        142900 SH    SOLE           142900      0      0
WRIGLEY (WM) JR CO          COMMON STOCK   982526105       25450        339900 SH    SOLE           339900      0      0
XCEL ENERGY INC             COMMON STOCK   98389B100       22944        834328 SH    SOLE           834328      0      0
XEROX CORP                  COMMON STOCK   984121103       29985       1990700 SH    SOLE          1990700      0      0
XILINX INC                  COMMON STOCK   983919101       82757        966500 SH    SOLE           966500      0      0
XL CAPITAL LTD-CL A         COMMON STOCK   G98255105       64622        879205 SH    SOLE           879205      0      0
YAHOO! INC                  COMMON STOCK   984332106      171266       1882040 SH    SOLE          1882040      0      0
YORK INTERNATIONAL CORP     COMMON STOCK   986670107        7157        287700 SH    SOLE           287700      0      0
YOUNG & RUBICAM INC         COMMON STOCK   987425105       19850        401000 SH    SOLE           401000      0      0
ZALE CORP                   COMMON STOCK   988858106        6234        192200 SH    SOLE           192200      0      0
ZEBRA TECHNOLOGIES-CL A     COMMON STOCK   989207105        6681        139000 SH    SOLE           139000      0      0
ZION BANCORPORATION         COMMON STOCK   989701107       33190        649000 SH    SOLE           649000      0      0
ZOLL MEDICAL CORP           COMMON STOCK   989922109        9979        204700 SH    SOLE           204700      0      0
ZOMAX INC                   COMMON STOCK   989929104         859        122700 SH    SOLE           122700      0      0
</TABLE>
 /TEXT
 /DOCUMENT
 /SUBMISSION


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