NEW YORK STATE COMMON RETIREMENT FUND
13F-HR, 2000-05-19
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                                    UNITED STATES
                             SECURITIES AND EXCHANGE COMMISSION
                                     Washington, D.C. 20549

                                         FORM 13F

                                  FORM 13F Cover Page



          Report for the Calendar Year or Quarter Ended:  March 31, 2000

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

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

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


13F File Number: 28-01892

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:

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

John E. Hull   (Person Duly Authorized to Submit This Report)

Albany, NY   May 16, 2000   (Place and Date of Signing)

Report Type:

[X]       13F HOLDINGS REPORT.

[  ]      13F NOTICE.

[  ]      13F COMBINATION REPORT.



<PAGE>

                             Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:            None

Form 13F Information Table Entry Total:      1,515

Form 13F Information Table Value Total: $  57,570,902 (Thousands)

<PAGE>

<TABLE>
<CAPTION>

ITEM 1                          ITEM 2       ITEM 3     ITEM 4     ITEM 5
ITEM 6 ITEM 7         ITEM 8
                                                        FAIR
INVESTMNT DISCRTN    VOTING AUTHORITY
                                TITLE                   MARKET     SHARES OF
NAME OF ISSUER                   OF          CUSIP      VALUE      PRINCIPAL
   SOLE MANA-       SOLE      SHARED  NONE
                                CLASS        NUMBER    (x$1000)    AMOUNT
    (A) GERS        (A)         (B)   (C)
<S>                           <C>            <C>        <C>        <C>
    <C>           <C>

24/7 MEDIA INC                COMMON STOCK  901314104       4543        115000
SH    SOLE           115000      0      0
3COM CORP                     COMMON STOCK  885535104      54403        978025
SH    SOLE           978025      0      0
A T & T CORP                  COMMON STOCK  001957109     552657       9814114
SH    SOLE          9814114      0      0
A.F.P. PROVIDA ADR            FOREIGN STOCK 00709P108        402         18800
SH    SOLE            18800      0      0
ABBOTT LABORATORIES           COMMON STOCK  002824100     164451       4673550
SH    SOLE          4673550      0      0
ABERCROMBIE FITCH CO CL A     COMMON STOCK  002896207      12197        762300
SH    SOLE           762300      0      0
ABIOMED INC                   COMMON STOCK  003654100       1134         28000
SH    SOLE            28000      0      0
ACCLAIM ENTERTAINMENT INC     COMMON STOCK  004325205        368        111133
SH    SOLE           111133      0      0
ACE LTD                       COMMON STOCK  G0070K103       8578        375000
SH    SOLE           375000      0      0
ACNIELSEN CORP                COMMON STOCK  004833109       9691        430700
SH    SOLE           430700      0      0
ACT MANUFACTURING INC         COMMON STOCK  000973107       7076        126500
SH    SOLE           126500      0      0
ACTUATE SOFTWARE CORP         COMMON STOCK  00508B102      16068        298600
SH    SOLE           298600      0      0
ACUSON CORP                   COMMON STOCK  005113105       2965        200150
SH    SOLE           200150      0      0
ACXIOM CORP                   COMMON STOCK  005125109      28110        845400
SH    SOLE           845400      0      0
ADAPTEC INC                   COMMON STOCK  00651F108      11970        309900
SH    SOLE           309900      0      0
ADAPTIVE BROADBAND CORP       COMMON STOCK  00650M104       6409        119800
SH    SOLE           119800      0      0
ADC TELECOMMUNICATIONS        COMMON STOCK  000886101      52313        971000
SH    SOLE           971000      0      0
ADELPHIA COM CL A             COMMON STOCK  006848105       2666         54400
SH    SOLE            54400      0      0
ADOBE SYSTEMS                 COMMON STOCK  00724F101      43145        387600
SH    SOLE           387600      0      0
ADTRAN INC                    COMMON STOCK  00738A106      21825        367200
SH    SOLE           367200      0      0
ADVANCED DIGITAL INFO CP      COMMON STOCK  007525108      14933        436000
SH    SOLE           436000      0      0
ADVANCED FIBRE COMMUN         COMMON STOCK  00754A105        696         11100
SH    SOLE            11100      0      0
ADVANCED MICRO DEVICES        COMMON STOCK  007903107      57285       1003900
SH    SOLE          1003900      0      0
ADVANCED ENERGY IND INC       COMMON STOCK  007973100      15494        303800
SH    SOLE           303800      0      0
ADVENT SOFTWARE INC           COMMON STOCK  007974108      27951        609294
SH    SOLE           609294      0      0
ADVO INC                      COMMON STOCK  007585102       1680         67200
SH    SOLE            67200      0      0
AEROFLEX INC                  COMMON STOCK  007768104       2945         59500
SH    SOLE            59500      0      0
AES CORP                      COMMON STOCK  00130H105     111920       1421206
SH    SOLE          1421206      0      0
AETNA INC                     COMMON STOCK  008117103      29539        532226
SH    SOLE           532226      0      0
AFFILIATED COMPUTER SVC A     COMMON STOCK  008190100      14923        392700
SH    SOLE           392700      0      0
AFFILIATED MANAGERS GROUP     COMMON STOCK  008252108       2917         61400
SH    SOLE            61400      0      0
AFFYMETRIX INC                COMMON STOCK  00826T108       4839         32600
SH    SOLE            32600      0      0
AFLAC INC                     COMMON STOCK  001055102      91820       2015250
SH    SOLE          2015250      0      0
AGCO CORP                     COMMON STOCK  001084102       4576        402300
SH    SOLE           402300      0      0
AGILENT TECHNOLOGIES INC      COMMON STOCK  00846U101      23317        224200
SH    SOLE           224200      0      0
AGL RESOURCES INC             COMMON STOCK  001204106       7418        403700
SH    SOLE           403700      0      0
AGRIUM INC                    FOREIGN STOCK 008916108       1350        167500
SH    SOLE           167500      0      0
AIR PRODUCTS & CHEMICALS      COMMON STOCK  009158106      30021       1055700
SH    SOLE          1055700      0      0
AIRBORNE FREIGHT              COMMON STOCK  009266107       8669        361200
SH    SOLE           361200      0      0
AIRGAS INC                    COMMON STOCK  009363102       4955        596100
SH    SOLE           596100      0      0
AIRGATE PCS INC               COMMON STOCK  009367103        802          7600
SH    SOLE             7600      0      0
AK STEEL HOLDING CORP         COMMON STOCK  001547108       8326        802500
SH    SOLE           802500      0      0
ALAMOSA PCS HOLDINGS INC      COMMON STOCK  011593100        781         20700
SH    SOLE            20700      0      0
ALASKA AIRGROUP INC           COMMON STOCK  011659109       5547        184500
SH    SOLE           184500      0      0
ALBANY INTL CORP-CL A         COMMON STOCK  012348108       3053        206131
SH    SOLE           206131      0      0
ALBANY MOLECULAR RESEARCH     COMMON STOCK  012423109      11967        205000
SH    SOLE           205000      0      0
ALBEMARLE CORP                COMMON STOCK  012653101       6825        328900
SH    SOLE           328900      0      0
ALBERTO-CULVER CO-CL B        COMMON STOCK  013068101       2226         93500
SH    SOLE            93500      0      0
ALBERTSONS INC                COMMON STOCK  013104104      47436       1536384
SH    SOLE          1536384      0      0
ALCAN ALUMINUM LTD            COMMON STOCK  013716105      21906        643100
SH    SOLE           643100      0      0
ALCATEL ALSTHOLM CGE          FOREIGN STOCK 013904305       4592        104810
SH    SOLE           104810      0      0
ALCOA INC                     COMMON STOCK  013817101     154901       2204998
SH    SOLE          2204998      0      0
ALDILA INC                    COMMON STOCK  014384101        782        403800
SH    SOLE           403800      0      0
ALEXANDER & BALDWIN           COMMON STOCK  014482103       6538        317000
SH    SOLE           317000      0      0
ALEXION PHARMACEUTICALS       COMMON STOCK  015351109       1395         20000
SH    SOLE            20000      0      0
ALKERMERS INC                 COMMON STOCK  01642T108       3330         36000
SH    SOLE            36000      0      0
ALLAIRE CORP                  COMMON STOCK  016714107       8031        106200
SH    SOLE           106200      0      0
ALLEGHENY ENERGY INC          COMMON STOCK  017361106      22906        827300
SH    SOLE           827300      0      0
ALLEGHENY TECHNOLOGIES        COMMON STOCK  01741R102       5574        277808
SH    SOLE           277808      0      0
ALLEGIANCE TELECOM INC        COMMON STOCK  01747T102       2032         25200
SH    SOLE            25200      0      0
ALLERGAN INC                  COMMON STOCK  018490102      24775        495500
SH    SOLE           495500      0      0
ALLIANT ENERGY CORP           COMMON STOCK  018802108      17447        573200
SH    SOLE           573200      0      0
ALLIED WASTE INDUSTRIES       COMMON STOCK  019589308       2584        393700
SH    SOLE           393700      0      0
ALLMERICA FINANCIAL CP        COMMON STOCK  019754100      20716        406200
SH    SOLE           406200      0      0
ALLSCRIPTS INC                COMMON STOCK  019886100        914         15200
SH    SOLE            15200      0      0
ALLSTATE CORP                 COMMON STOCK  020002101      82670       3471710
SH    SOLE          3471710      0      0
ALLTEL CORP                   COMMON STOCK  020039103      62633        990245
SH    SOLE           990245      0      0
ALPHA INDUSTRIES              COMMON STOCK  020753109       1273         13400
SH    SOLE            13400      0      0
ALPHARMA INC-CL A             COMMON STOCK  020813101       6383        173700
SH    SOLE           173700      0      0
ALTERA CORP                   COMMON STOCK  021441100     177161       1985000
SH    SOLE          1985000      0      0
ALZA CORP                     COMMON STOCK  022615108      15506        412800
SH    SOLE           412800      0      0
AMBAC FINANCIAL GROUP INC     COMMON STOCK  023139108      28996        575600
SH    SOLE           575600      0      0
AMDOCS LTD                    COMMON STOCK  G02602103      10538        142400
SH    SOLE           142400      0      0
AMER ELECTRIC POWER           COMMON STOCK  025537101      20934        702200
SH    SOLE           702200      0      0
AMER HOME PRODUCTS            COMMON STOCK  026609107     289578       5387500
SH    SOLE          5387500      0      0
AMER INTERNATIONAL GROUP      COMMON STOCK  026874107     562765       5139406
SH    SOLE          5139406      0      0
AMER POWER CONVERSION         COMMON STOCK  029066107      74358       1734300
SH    SOLE          1734300      0      0
AMERADA HESS CORP             COMMON STOCK  023551104      23627        365600
SH    SOLE           365600      0      0
AMERCREDIT CORP               COMMON STOCK  03060R101       6264        384000
SH    SOLE           384000      0      0
AMEREN CORPORATION            COMMON STOCK  023608102      13619        440200
SH    SOLE           440200      0      0
AMERICA ONLINE INC            COMMON STOCK  02364J104     522025       7740872
SH    SOLE          7740872      0      0
AMERICA WEST HOLDGS-CL B      COMMON STOCK  023657208       1170         75500
SH    SOLE            75500      0      0
AMERICAN EAGLE OUTFITTERS     COMMON STOCK  02553E106      14636        385800
SH    SOLE           385800      0      0
AMERICAN EXPRESS CO           COMMON STOCK  025816109     195413       1312048
SH    SOLE          1312048      0      0
AMERICAN FINANCIAL GROUP      COMMON STOCK  025932104      12174        425300
SH    SOLE           425300      0      0
AMERICAN GENERAL CORP         COMMON STOCK  026351106      40733        725755
SH    SOLE           725755      0      0
AMERICAN GREETINGS-CL A       COMMON STOCK  026375105      12861        704700
SH    SOLE           704700      0      0
AMERICAN NATL CAN GROUP       COMMON STOCK  027714104       5513        420000
SH    SOLE           420000      0      0
AMERICAN SOFTWARE-CL A        COMMON STOCK  029683109      10744        767400
SH    SOLE           767400      0      0
AMERICAN STANDARD CO INC      COMMON STOCK  029712106      20557        555600
SH    SOLE           555600      0      0
AMERICAN TOWER CORP-CL A      COMMON STOCK  029912201       4202         85100
SH    SOLE            85100      0      0
AMERICAN WATER WORKS CO       COMMON STOCK  030411102      17668        743900
SH    SOLE           743900      0      0
AMERICAN XTAL TECHNOLOGY      COMMON STOCK  030514103       2438         75300
SH    SOLE            75300      0      0
AMES DEPT STORES              COMMON STOCK  030789507       1184         48200
SH    SOLE            48200      0      0
AMETEK INC                    COMMON STOCK  031100100       4352        226100
SH    SOLE           226100      0      0
AMFM INC                      COMMON STOCK  001693100      67620       1088450
SH    SOLE          1088450      0      0
AMGEN INC                     COMMON STOCK  031162100     183261       2985923
SH    SOLE          2985923      0      0
AMKOR TECHNOLOGIES INC        COMMON STOCK  031652100       5837        110000
SH    SOLE           110000      0      0
AMR CORP                      COMMON STOCK  001765106      42808       1343000
SH    SOLE          1343000      0      0
AMSOUTH BANCORP               COMMON STOCK  032165102      18933       1267500
SH    SOLE          1267500      0      0
ANADARKO PETROLEUM            COMMON STOCK  032511107      47655       1231800
SH    SOLE          1231800      0      0
ANADIGICS INC                 COMMON STOCK  032515108      22968        348000
SH    SOLE           348000      0      0
ANALOG DEVICES                COMMON STOCK  032654105      96149       1194400
SH    SOLE          1194400      0      0
ANCOR COMMUNICATIONS INC      COMMON STOCK  03332K108        637         15500
SH    SOLE            15500      0      0
ANDREW CORP                   COMMON STOCK  034425108       5212        227850
SH    SOLE           227850      0      0
ANHEUSER BUSCH                COMMON STOCK  035229103      86302       1386384
SH    SOLE          1386384      0      0
ANIXTER INTERNATIONAL INC     COMMON STOCK  035290105        811         29100
SH    SOLE            29100      0      0
ANNTAYLOR STORES              COMMON STOCK  036115103       5614        244100
SH    SOLE           244100      0      0
ANNUITY AND LIFE RE(HLDG)     COMMON STOCK  G03910109       4108        158000
SH    SOLE           158000      0      0
ANSWERTHINK CONSULTING GR     COMMON STOCK  036916104        689         28200
SH    SOLE            28200      0      0
ANTEC CORP                    COMMON STOCK  03664P105        592         13200
SH    SOLE            13200      0      0
AON CORP                      COMMON STOCK  037389103      27957        866887
SH    SOLE           866887      0      0
APACHE CORP                   COMMON STOCK  037411105      23248        467300
SH    SOLE           467300      0      0
APEX INC                      COMMON STOCK  037548104       7978        214900
SH    SOLE           214900      0      0
APOLLO GROUP INC-CL A         COMMON STOCK  037604105      16205        574900
SH    SOLE           574900      0      0
APPLE COMPUTER INC            COMMON STOCK  037833100      85345        628400
SH    SOLE           628400      0      0
APPLIED ANALYTICAL INDS       COMMON STOCK  037939105       4181        400600
SH    SOLE           400600      0      0
APPLIED MICRO CIRCUITS CP     COMMON STOCK  03822W109      52477        349700
SH    SOLE           349700      0      0
APPLIED MATERIALS INC         COMMON STOCK  038222105     296529       3146200
SH    SOLE          3146200      0      0
APPLIED POWER INC CL A        COMMON STOCK  038225108      14165        497000
SH    SOLE           497000      0      0
APRIA HEALTHCARE GROUP        COMMON STOCK  037933108       5475        379200
SH    SOLE           379200      0      0
ARADIGM CORP                  COMMON STOCK  038505103        791         37900
SH    SOLE            37900      0      0
ARCH COAL INC                 COMMON STOCK  039380100        285         40680
SH    SOLE            40680      0      0
ARCHER-DANIELS-MIDLAND CO     COMMON STOCK  039483102      22303       2162684
SH    SOLE          2162684      0      0
ARMSTRONG WORLD INDS          COMMON STOCK  042476101         77          4300
SH    SOLE             4300      0      0
ARNOLD INDUSTRIES             COMMON STOCK  042595108       1825        142400
SH    SOLE           142400      0      0
ARROW ELECTRONICS             COMMON STOCK  042735100      46828       1328450
SH    SOLE          1328450      0      0
ARROWPOINT COMMUNICATIONS     COMMON STOCK  042810101        237          2000
SH    SOLE             2000      0      0
ART TECHNOLOGY GROUP INC      COMMON STOCK  04289L107       1471         22400
SH    SOLE            22400      0      0
ARTHROCARE CORP               COMMON STOCK  043136100      18050        196200
SH    SOLE           196200      0      0
ARVIN INDUSTRIES              COMMON STOCK  043339100       4254        188000
SH    SOLE           188000      0      0
ASHLAND INC                   COMMON STOCK  044204105       9453        284300
SH    SOLE           284300      0      0
ASM LITHOGRAPHY HLDG NV       COMMON STOCK  N07059111      30195        270200
SH    SOLE           270200      0      0
ASPECT DEVELOPMENT INC        COMMON STOCK  045234101       4526         70300
SH    SOLE            70300      0      0
ASSOC FIRST CAPITAL-CL A      COMMON STOCK  046008108     108842       5092010
SH    SOLE          5092010      0      0
ASSOCIATED BANC-CORP          COMMON STOCK  045487105      14549        487000
SH    SOLE           487000      0      0
ASTORIA FINANCIAL CORP        COMMON STOCK  046265104      12916        455200
SH    SOLE           455200      0      0
ASTRAZENECA PLC-SP ADR        COMMON STOCK  046353108      42765       1055922
SH    SOLE          1055922      0      0
ASYST TECHNOLOGIES INC        COMMON STOCK  04648X107       9846        168300
SH    SOLE           168300      0      0
AT & T CORP LIBERTY MEDIA     COMMON STOCK  001957208     162193       2734545
SH    SOLE          2734545      0      0
ATLANTIC RICHFIELD CO         COMMON STOCK  048825103     131143       1542860
SH    SOLE          1542860      0      0
ATMEL CORP                    COMMON STOCK  049513104      85827       1662500
SH    SOLE          1662500      0      0
AURORA BIOSCIENCES CORP       COMMON STOCK  051920106       5710        139700
SH    SOLE           139700      0      0
AUTODESK INC                  COMMON STOCK  052769106      33374        733500
SH    SOLE           733500      0      0
AUTOMATIC DATA PROCESSING     COMMON STOCK  053015103      91168       1889500
SH    SOLE          1889500      0      0
AUTONATION INC                COMMON STOCK  05329W102       7153        901200
SH    SOLE           901200      0      0
AUTOZONE INC                  COMMON STOCK  053332102      12121        436800
SH    SOLE           436800      0      0
AVADO BRANDS INC              COMMON STOCK  05336P108        517        183700
SH    SOLE           183700      0      0
AVANT! CORP                   COMMON STOCK  053487104       2715        217206
SH    SOLE           217206      0      0
AVERY DENNISON CORP           COMMON STOCK  053611109      18856        308800
SH    SOLE           308800      0      0
AVIGEN INC                    COMMON STOCK  053690103       2133         48000
SH    SOLE            48000      0      0
AVNET INC                     COMMON STOCK  053807103      30404        482600
SH    SOLE           482600      0      0
AVON PRODUCTS INC             COMMON STOCK  054303102      34225       1170100
SH    SOLE          1170100      0      0
AVX CORP                      COMMON STOCK  002444107       6944         91600
SH    SOLE            91600      0      0
AXA FINANCIAL INC             COMMON STOCK  002451102       1930         53800
SH    SOLE            53800      0      0
BAKER HUGHES INC              COMMON STOCK  057224107      47295       1563460
SH    SOLE          1563460      0      0
BALL CORP                     COMMON STOCK  058498106       3176         91900
SH    SOLE            91900      0      0
BANCO SANTANDER CHILE ADR     FOREIGN STOCK 05965F108        826         60600
SH    SOLE            60600      0      0
BANCWEST CORP                 COMMON STOCK  059790105        395         20000
SH    SOLE            20000      0      0
BANDAG INC                    COMMON STOCK  059815100       3489        151700
SH    SOLE           151700      0      0
BANK OF AMERICA CORP          COMMON STOCK  060505104     381865       7282287
SH    SOLE          7282287      0      0
BANK OF NEW YORK              COMMON STOCK  064057102      90270       2171913
SH    SOLE          2171913      0      0
BANK ONE CORP                 COMMON STOCK  06423A103     174190       5048984
SH    SOLE          5048984      0      0
BANK UNITED CORP-CL A         COMMON STOCK  065412108       6698        212200
SH    SOLE           212200      0      0
BANTA CORP                    COMMON STOCK  066821109       4842        263500
SH    SOLE           263500      0      0
BARD (C R) INC                COMMON STOCK  067383109       5606        144900
SH    SOLE           144900      0      0
BARNES & NOBLE INC            COMMON STOCK  067774109      12649        539700
SH    SOLE           539700      0      0
BARR LABORATORIES INC         COMMON STOCK  068306109       8429        200700
SH    SOLE           200700      0      0
BARRICK GOLD CORP             COMMON STOCK  067901108      17987       1146600
SH    SOLE          1146600      0      0
BASIN EXPLORATION INC         COMMON STOCK  070107107       1059         70900
SH    SOLE            70900      0      0
BAUSCH & LOMB INC             COMMON STOCK  071707103       9843        188600
SH    SOLE           188600      0      0
BAXTER INTERNATIONAL INC      COMMON STOCK  071813109      50633        807700
SH    SOLE           807700      0      0
BB&T CORPORATION              COMMON STOCK  054937107      27327        973800
SH    SOLE           973800      0      0
BCE INC                       COMMON STOCK  05534B109      11277         89900
SH    SOLE            89900      0      0
BE AEROSPACE INC              COMMON STOCK  073302101        439         74700
SH    SOLE            74700      0      0
BEA SYSTEMS INC               COMMON STOCK  073325102      82914       1130000
SH    SOLE          1130000      0      0
BEAR STEARNS COMPANIES        COMMON STOCK  073902108      19680        431336
SH    SOLE           431336      0      0
BECKMAN COULTER INC           COMMON STOCK  075811109      16637        259200
SH    SOLE           259200      0      0
BECTON DICKINSON              COMMON STOCK  075887109      43474       1652200
SH    SOLE          1652200      0      0
BED BATH & BEYOND INC         COMMON STOCK  075896100      15699        398700
SH    SOLE           398700      0      0
BELL & HOWELL CO              COMMON STOCK  077852101        959         30700
SH    SOLE            30700      0      0
BELL ATLANTIC CORP            COMMON STOCK  077853109     351116       5744233
SH    SOLE          5744233      0      0
BELLSOUTH CORP                COMMON STOCK  079860102     255335       5447156
SH    SOLE          5447156      0      0
BELO (A H) CORP SER A         COMMON STOCK  080555105      15435        863500
SH    SOLE           863500      0      0
BEMIS COMPANY                 COMMON STOCK  081437105       4812        130500
SH    SOLE           130500      0      0
BERGEN BRUNSWIG CL A          COMMON STOCK  083739102       6507        963992
SH    SOLE           963992      0      0
BERKSHIRE HATHAWAY CL A       COMMON STOCK  084670108      21507           376
SH    SOLE              376      0      0
BERKSHIRE HATHAWAY CL B       COMMON STOCK  084670207      21021         11550
SH    SOLE            11550      0      0
BEST BUY CO INC               COMMON STOCK  086516101      47928        557300
SH    SOLE           557300      0      0
BESTFOODS                     COMMON STOCK  08658U101      42127        899900
SH    SOLE           899900      0      0
BETHLEHEM STEEL CORP          COMMON STOCK  087509105       1026        171000
SH    SOLE           171000      0      0
BEVERLY ENTERPRISES           COMMON STOCK  087851309       2345        636000
SH    SOLE           636000      0      0
BINDVIEW DEVELOPMENT CORP     COMMON STOCK  090327107       9334        300500
SH    SOLE           300500      0      0
BIOCRYST PHARMACEUTICALS      COMMON STOCK  09058V103       2961        108400
SH    SOLE           108400      0      0
BIOGEN INC                    COMMON STOCK  090597105      36454        521700
SH    SOLE           521700      0      0
BIOMET INC                    COMMON STOCK  090613100      12284        337700
SH    SOLE           337700      0      0
BIORELIANCE CORP              COMMON STOCK  090951104       1516        282000
SH    SOLE           282000      0      0
BIOVAIL CORP                  COMMON STOCK  09067J109        752         17000
SH    SOLE            17000      0      0
BISYS GROUP (THE)             COMMON STOCK  055472104      19332        290700
SH    SOLE           290700      0      0
BJ SERVICES CO                COMMON STOCK  055482103      45448        615200
SH    SOLE           615200      0      0
BJ'S WHOLESALE CLUB INC       COMMON STOCK  05548J106      22327        581800
SH    SOLE           581800      0      0
BLACK & DECKER CORP           COMMON STOCK  091797100       8162        217300
SH    SOLE           217300      0      0
BLACK BOX CORP                COMMON STOCK  091826107       1821         26300
SH    SOLE            26300      0      0
BLACK HILLS CORP              COMMON STOCK  092113109       3406        154400
SH    SOLE           154400      0      0
BLOCK H & R INC               COMMON STOCK  093671105      11514        257300
SH    SOLE           257300      0      0
BLOCKBUSTER INC-CL A          COMMON STOCK  093679108       1950        195000
SH    SOLE           195000      0      0
BLUESTONE SOFTWARE INC        COMMON STOCK  09623P102       4118        122000
SH    SOLE           122000      0      0
BLYTH INDUSTRIES INC          COMMON STOCK  09643P108      15493        567250
SH    SOLE           567250      0      0
BMC SOFTWARE INC              COMMON STOCK  055921100      39901        808124
SH    SOLE           808124      0      0
BOB EVANS FARMS               COMMON STOCK  096761101       3502        280132
SH    SOLE           280132      0      0
BOEING CO                     COMMON STOCK  097023105     137653       3640422
SH    SOLE          3640422      0      0
BOISE CASCADE CORP            COMMON STOCK  097383103      10789        310473
SH    SOLE           310473      0      0
BORDERS GROUP INC             COMMON STOCK  099709107       9402        547000
SH    SOLE           547000      0      0
BORG WARNER AUTOMOTIVE        COMMON STOCK  099724106       8072        205000
SH    SOLE           205000      0      0
BOSTON SCIENTIFIC CORP        COMMON STOCK  101137107      26586       1247436
SH    SOLE          1247436      0      0
BOWATER INC                   COMMON STOCK  102183100      21217        397500
SH    SOLE           397500      0      0
BP AMOCO PLC-SP ADR           FOREIGN STOCK 055622104       3093         58083
SH    SOLE            58083      0      0
BRAUNS FASHION CORP           COMMON STOCK  105658108       1432         56700
SH    SOLE            56700      0      0
BREAKAWAY SOLUTIONS INC       COMMON STOCK  106372105       5151        113200
SH    SOLE           113200      0      0
BRIGGS & STRATTON             COMMON STOCK  109043109       3500         85100
SH    SOLE            85100      0      0
BRINKER INTERNATIONAL INC     COMMON STOCK  109641100      18198        612999
SH    SOLE           612999      0      0
BRIO TECHNOLOGY INC           COMMON STOCK  109704106       2982         79000
SH    SOLE            79000      0      0
BRISTOL-MYERS SQUIBB CO       COMMON STOCK  110122108     468263       8073500
SH    SOLE          8073500      0      0
BROADCOM CORP-CL A            COMMON STOCK  111320107       2429         10000
SH    SOLE            10000      0      0
BROADVISION INC               COMMON STOCK  111412102        534         11900
SH    SOLE            11900      0      0
BROADWING INC                 COMMON STOCK  111620100      60530       1627700
SH    SOLE          1627700      0      0
BROCADE COMMUNICATIONS        COMMON STOCK  111621108       2134         11900
SH    SOLE            11900      0      0
BROKEN HILL PROPRIETARY       FOREIGN STOCK 112169602       1962         90200
SH    SOLE            90200      0      0
BROOKS AUTOMATION INC         COMMON STOCK  11434A100       4125         66000
SH    SOLE            66000      0      0
BROWN FORMAN-CL B             COMMON STOCK  115637209      10142        186300
SH    SOLE           186300      0      0
BROWN (TOM) INC               COMMON STOCK  115660201       1025         55800
SH    SOLE            55800      0      0
BRUNSWICK CORP                COMMON STOCK  117043109       4356        230000
SH    SOLE           230000      0      0
BUFFETS INC                   COMMON STOCK  119882108       2305        255200
SH    SOLE           255200      0      0
BURLINGTON INDS INC           COMMON STOCK  121693105       1490        340500
SH    SOLE           340500      0      0
BURLINGTON NO SANTA FE        COMMON STOCK  12189T104      57525       2528592
SH    SOLE          2528592      0      0
BURLINGTON RESOURCES INC      COMMON STOCK  122014103      20733        560340
SH    SOLE           560340      0      0
BURR-BROWN CORP               COMMON STOCK  122574106      10307        189550
SH    SOLE           189550      0      0
C I T GROUP INC-CLA           COMMON STOCK  125577106      19401        994900
SH    SOLE           994900      0      0
CABLE & WIRELESS LTD          FOREIGN STOCK 126828102       4381        170129
SH    SOLE           170129      0      0
CABLE DESIGN TECHNOLOGIES     COMMON STOCK  126924109       1945         57300
SH    SOLE            57300      0      0
CABLETRON SYSTEMS             COMMON STOCK  126920107      14652        498800
SH    SOLE           498800      0      0
CABLEVISION SYSTEMS CL A      COMMON STOCK  12686C109       5310         87400
SH    SOLE            87400      0      0
CABOT CORP                    COMMON STOCK  127055101      14686        481500
SH    SOLE           481500      0      0
CADENCE DESIGN SYSTEMS        COMMON STOCK  127387108      51180       2481450
SH    SOLE          2481450      0      0
CALIFORNIA AMPLIFIER INC      COMMON STOCK  129900106       2003         64600
SH    SOLE            64600      0      0
CALIPER TECHNOLOGIES CORP     COMMON STOCK  130876105       1027         12700
SH    SOLE            12700      0      0
CALLAWAY GOLF                 COMMON STOCK  131193104      11318        730200
SH    SOLE           730200      0      0
CALPINE CORPORATION           COMMON STOCK  131347106      51305        545800
SH    SOLE           545800      0      0
CAMBRIDGE TECH PARTNERS       COMMON STOCK  132524109       5911        435800
SH    SOLE           435800      0      0
CAMPBELL SOUP CO              COMMON STOCK  134429109      60282       1960400
SH    SOLE          1960400      0      0
CANADIAN PACIFIC LTD          COMMON STOCK  135923100      26962       1205000
SH    SOLE          1205000      0      0
CANADIAN NATL RAILWAY CO      COMMON STOCK  136375102       6170        231200
SH    SOLE           231200      0      0
CANANDAIGUA BRANDS-CL A       COMMON STOCK  137219200       6732        132000
SH    SOLE           132000      0      0
CAPITAL ONE FINANCIAL         COMMON STOCK  14040H105      29141        607900
SH    SOLE           607900      0      0
CAPITAL SENIOR LIVING CP      COMMON STOCK  140475104        222         71000
SH    SOLE            71000      0      0
CARDINAL HEALTH INC           COMMON STOCK  14149Y108      53609       1168598
SH    SOLE          1168598      0      0
CAREMARK RX INC               COMMON STOCK  141705103        741        177000
SH    SOLE           177000      0      0
CAREY INTL INC                COMMON STOCK  141750109        966         56800
SH    SOLE            56800      0      0
CARLISLE COMPANIES INC        COMMON STOCK  142339100      26144        653600
SH    SOLE           653600      0      0
CARNIVAL CORP                 COMMON STOCK  143658102      74763       3013100
SH    SOLE          3013100      0      0
CAROLINA POWER & LIGHT        COMMON STOCK  144141108      17432        537400
SH    SOLE           537400      0      0
CARPENTER TECHNOLOGY          COMMON STOCK  144285103       3195        153500
SH    SOLE           153500      0      0
CARRIER ACCESS CORP           COMMON STOCK  144460102       1251         23500
SH    SOLE            23500      0      0
CARTER-WALLACE INC            COMMON STOCK  146285101       6139        327400
SH    SOLE           327400      0      0
CATALINA MARKETING CORP       COMMON STOCK  148867104       5417         53500
SH    SOLE            53500      0      0
CATALYTICA INC                COMMON STOCK  148885106        765         52500
SH    SOLE            52500      0      0
CATERPILLAR INC               COMMON STOCK  149123101      82310       2087100
SH    SOLE          2087100      0      0
CBRL GROUP INC                COMMON STOCK  12489V106       3778        377775
SH    SOLE           377775      0      0
CBS CORP                      COMMON STOCK  12490K107     143633       2536563
SH    SOLE          2536563      0      0
CCB FIN'L CORP                COMMON STOCK  124875105      12948        292600
SH    SOLE           292600      0      0
CDW COMPUTER CENTERS          COMMON STOCK  125129106      27797        329200
SH    SOLE           329200      0      0
CEC ENTERTAINMENT INC         COMMON STOCK  125137109       6557        241750
SH    SOLE           241750      0      0
CELESTIAL SEASONINGS INC      COMMON STOCK  151016102       1234         35900
SH    SOLE            35900      0      0
CELGENE CORP                  COMMON STOCK  151020104      14984        150500
SH    SOLE           150500      0      0
CELL PATHWAYS INC             COMMON STOCK  15114R101        588         17100
SH    SOLE            17100      0      0
CENDANT CORP                  COMMON STOCK  151313103      41894       2264519
SH    SOLE          2264519      0      0
CENTEX CORP                   COMMON STOCK  152312104       5103        214300
SH    SOLE           214300      0      0
CENTRAIS ELETRICAS ADR        FOREIGN STOCK 15234Q207       5068        570600
SH    SOLE           570600      0      0
CENTRAL & SOUTH WEST CORP     COMMON STOCK  152357109      12638        738000
SH    SOLE           738000      0      0
CENTRAL GARDEN & PET CO       COMMON STOCK  153527106       1599        161900
SH    SOLE           161900      0      0
CENTURYTEL INC                COMMON STOCK  156700106      18659        502600
SH    SOLE           502600      0      0
CEPHALON INC                  COMMON STOCK  156708109        870         23200
SH    SOLE            23200      0      0
CERIDIAN CORP                 COMMON STOCK  15677T106       7535        392700
SH    SOLE           392700      0      0
CERNER CORP                   COMMON STOCK  156782104       4471        165600
SH    SOLE           165600      0      0
CFI PROSERVICES INC           COMMON STOCK  12525N100       1636        240100
SH    SOLE           240100      0      0
CH ROBINSON WORLD WIDE        COMMON STOCK  12541W100      11119        298500
SH    SOLE           298500      0      0
CHAMPION INTERNATIONAL        COMMON STOCK  158525105      14851        278900
SH    SOLE           278900      0      0
CHARTER ONE FINANCIAL         COMMON STOCK  160903100      33554       1597787
SH    SOLE          1597787      0      0
CHARTER COMMUNICATN-CL A      COMMON STOCK  16117M107       3715        259300
SH    SOLE           259300      0      0
CHARTERED SEMICONDUCT-ADR     COMMON STOCK  16133R106      17427        184900
SH    SOLE           184900      0      0
CHASE MANHATTAN CORP          COMMON STOCK  16161A108     278900       3198848
SH    SOLE          3198848      0      0
CHECK POINT SOFTWARE TECH     COMMON STOCK  M22465104        368          2152
SH    SOLE             2152      0      0
CHECKFREE HOLDINGS CORP       COMMON STOCK  162816102      28341        402000
SH    SOLE           402000      0      0
CHEESECAKE FACTORY (THE)      COMMON STOCK  163072101       8960        215250
SH    SOLE           215250      0      0
CHESAPEAKE CORP               COMMON STOCK  165159104       3772        127600
SH    SOLE           127600      0      0
CHEVRON CORP                  COMMON STOCK  166751107     218088       2359300
SH    SOLE          2359300      0      0
CHICO'S FAS INC               COMMON STOCK  168615102       4237        249900
SH    SOLE           249900      0      0
CHINA.COM CORP-CL A           COMMON STOCK  G2108N109        826         10200
SH    SOLE            10200      0      0
CHIREX INC                    COMMON STOCK  170038103       5270        273783
SH    SOLE           273783      0      0
CHIRON CORP                   COMMON STOCK  170040109      67265       1348664
SH    SOLE          1348664      0      0
CHOICE ONE COMMUNICATIONS     COMMON STOCK  17038P104        550         15500
SH    SOLE            15500      0      0
CHRIS-CRAFT INDUSTRIES        COMMON STOCK  170520100      16094        252701
SH    SOLE           252701      0      0
CHUBB CORP                    COMMON STOCK  171232101      45929        679800
SH    SOLE           679800      0      0
CHURCH & DWIGHT CO            COMMON STOCK  171340102       5916        344200
SH    SOLE           344200      0      0
CIA CERVECERIA UNIDAS-ADR     FOREIGN STOCK 204429104       1260         50650
SH    SOLE            50650      0      0
CIA TELECOM CHILE-ADR NEW     FOREIGN STOCK 204449300       1922         84500
SH    SOLE            84500      0      0
CIENA CORP                    COMMON STOCK  171779101       1829         14500
SH    SOLE            14500      0      0
CIGNA CORP                    COMMON STOCK  125509109      56146        741200
SH    SOLE           741200      0      0
CINCINNATI FINANCIAL CP       COMMON STOCK  172062101      26838        713297
SH    SOLE           713297      0      0
CINERGY CORP                  COMMON STOCK  172474108      19438        904116
SH    SOLE           904116      0      0
CINTAS CORP                   COMMON STOCK  172908105      47450       1210850
SH    SOLE          1210850      0      0
CIRCUIT CITY STORES           COMMON STOCK  172737108      61605       1011994
SH    SOLE          1011994      0      0
CIRRUS LOGIC INC              COMMON STOCK  172755100      11700        641100
SH    SOLE           641100      0      0
CISCO SYSTEMS INC             COMMON STOCK  17275R102    1899000      24562656
SH    SOLE         24562656      0      0
CITADEL COMMUNICATIONS CP     COMMON STOCK  172853202       7758        183900
SH    SOLE           183900      0      0
CITIGROUP INC                 COMMON STOCK  172967101     864625      14440506
SH    SOLE         14440506      0      0
CITRIX SYSTEMS INC            COMMON STOCK  177376100      36762        554900
SH    SOLE           554900      0      0
CITY NATIONAL CORP            COMMON STOCK  178566105      12459        369833
SH    SOLE           369833      0      0
CK WITCO CORPORATION          COMMON STOCK  12562C108       8274        812216
SH    SOLE           812216      0      0
CLAIRES STORES INC            COMMON STOCK  179584107       7154        356575
SH    SOLE           356575      0      0
CLAYTON HOMES INC             COMMON STOCK  184190106      10138       1001310
SH    SOLE          1001310      0      0
CLEAR CHANNEL COMMUNICA       COMMON STOCK  184502102      74774       1082700
SH    SOLE          1082700      0      0
CLECO CORPORATION             COMMON STOCK  12561W105       5446        163800
SH    SOLE           163800      0      0
CLEVELAND-CLIFFS INC          COMMON STOCK  185896107       1845         78100
SH    SOLE            78100      0      0
CLOROX CO                     COMMON STOCK  189054109      38784       1175270
SH    SOLE          1175270      0      0
CMGI INC                      COMMON STOCK  125750109       3853         34000
SH    SOLE            34000      0      0
CMP GROUP INC                 COMMON STOCK  125887109       6795        233300
SH    SOLE           233300      0      0
CMS ENERGY CORP               COMMON STOCK  125896100       9291        512600
SH    SOLE           512600      0      0
CNF TRANSPORTATION INC        COMMON STOCK  12612W104      12662        456300
SH    SOLE           456300      0      0
CNH GLOBAL NV                 COMMON STOCK  N20935107       2017        204300
SH    SOLE           204300      0      0
COASTAL CORP                  COMMON STOCK  190441105      26809        582800
SH    SOLE           582800      0      0
COCA-COLA COMPANY             COMMON STOCK  191216100     344254       7334300
SH    SOLE          7334300      0      0
COCA-COLA ENTERPRISES         COMMON STOCK  191219104      26740       1240100
SH    SOLE          1240100      0      0
COGNEX CORP                   COMMON STOCK  192422103      23698        410800
SH    SOLE           410800      0      0
COGNIZANT TECH SOLUTIONS      COMMON STOCK  192446102      13644        218300
SH    SOLE           218300      0      0
COLGATE-PALMOLIVE CO          COMMON STOCK  194162103     103392       1834000
SH    SOLE          1834000      0      0
COLONIAL BANCGROUP INC        COMMON STOCK  195493309         39          3600
SH    SOLE             3600      0      0
COLUMBIA ENERGY GROUP         COMMON STOCK  197648108      14478        244350
SH    SOLE           244350      0      0
COLUMBIA HCA HEALTHCARE       COMMON STOCK  197677107      45576       1800516
SH    SOLE          1800516      0      0
COM21 INC                     COMMON STOCK  205937105       3511         74700
SH    SOLE            74700      0      0
COMCAST CORP CL A             COMMON STOCK  200300101        974         23600
SH    SOLE            23600      0      0
COMCAST CORP-SPECIAL CL A     COMMON STOCK  200300200     131196       3024696
SH    SOLE          3024696      0      0
COMDISCO INC                  COMMON STOCK  200336105      48887       1107910
SH    SOLE          1107910      0      0
COMERICA INC                  COMMON STOCK  200340107      20063        479124
SH    SOLE           479124      0      0
COMMERCE BANCSHARES INC       COMMON STOCK  200525103       2830         90741
SH    SOLE            90741      0      0
COMMSCOPE INC                 COMMON STOCK  203372107       5711        125000
SH    SOLE           125000      0      0
COMPAQ COMPUTER CORP          COMMON STOCK  204493100     150939       5590340
SH    SOLE          5590340      0      0
COMPASS BANCSHARES INC        COMMON STOCK  20449H109      17186        862000
SH    SOLE           862000      0      0
COMPLETEL EUROPE NV           COMMON STOCK  N21590109        399         20000
SH    SOLE            20000      0      0
COMPUCOM SYSTEMS INC          COMMON STOCK  204780100        459         87400
SH    SOLE            87400      0      0
COMPUCREDIT CORP              COMMON STOCK  20478N100       4777        132000
SH    SOLE           132000      0      0
COMPUTER ASSOCIATES INTL      COMMON STOCK  204912109     149535       2526462
SH    SOLE          2526462      0      0
COMPUTER SCIENCES CORP        COMMON STOCK  205363104      36144        456800
SH    SOLE           456800      0      0
COMPUTER HORIZONS CORP        COMMON STOCK  205908106        634         37000
SH    SOLE            37000      0      0
COMPUWARE CORP                COMMON STOCK  205638109      39715       1885600
SH    SOLE          1885600      0      0
COMSAT CORPORATION            COMMON STOCK  20564D107       8007        388214
SH    SOLE           388214      0      0
COMVERSE TECHNOLOGY INC       COMMON STOCK  205862402      47269        250100
SH    SOLE           250100      0      0
CONAGRA INC                   COMMON STOCK  205887102      32455       1790640
SH    SOLE          1790640      0      0
CONCORD COMMUNICATIONS        COMMON STOCK  206186108       4659        131000
SH    SOLE           131000      0      0
CONCORD EFS INC               COMMON STOCK  206197105      36093       1573550
SH    SOLE          1573550      0      0
CONCURRENT COMPUTER CORP      COMMON STOCK  206710204       2123        167300
SH    SOLE           167300      0      0
CONECTIV INC                  COMMON STOCK  206829103      11873        678475
SH    SOLE           678475      0      0
CONEXANT SYSTEMS INC          COMMON STOCK  207142100      44979        633500
SH    SOLE           633500      0      0
CONOCO INC-CL B               COMMON STOCK  208251405      47869       1868051
SH    SOLE          1868051      0      0
CONSECO INC                   COMMON STOCK  208464107      20682       1808226
SH    SOLE          1808226      0      0
CONSOLIDATED EDISON INC       COMMON STOCK  209115104      18867        647800
SH    SOLE           647800      0      0
CONSOLIDATED PAPERS           COMMON STOCK  209759109      25177        655000
SH    SOLE           655000      0      0
CONSOLIDATED STORES           COMMON STOCK  210149100       3126        274851
SH    SOLE           274851      0      0
CONSTELLATION ENERGY GRP      COMMON STOCK  210371100      14647        459500
SH    SOLE           459500      0      0
CONTINENTAL AIRLINES-CL B     COMMON STOCK  210795308      17282        422800
SH    SOLE           422800      0      0
CONVERGYS CORP                COMMON STOCK  212485106      43075       1113400
SH    SOLE          1113400      0      0
COOPER CAMERON CORP           COMMON STOCK  216640102        762         11400
SH    SOLE            11400      0      0
COOPER INDUSTRIES INC         COMMON STOCK  216669101       9317        266200
SH    SOLE           266200      0      0
COOPER TIRE & RUBBER          COMMON STOCK  216831107       2651        211000
SH    SOLE           211000      0      0
COORS (ADOLPH) CL B           COMMON STOCK  217016104       5419        112900
SH    SOLE           112900      0      0
COPPER MOUNTAIN NETWORK       COMMON STOCK  217510106       4392         53600
SH    SOLE            53600      0      0
COR THERAPUTICS INC           COMMON STOCK  217753102       1345         20400
SH    SOLE            20400      0      0
CORDANT TECHNOLOGIES INC      COMMON STOCK  218412104      14949        264300
SH    SOLE           264300      0      0
CORDIANT COMM GRP-SP ADR      COMMON STOCK  218514206       4455        143129
SH    SOLE           143129      0      0
CORNELL CORRECTIONS INC       COMMON STOCK  219141108        488         45900
SH    SOLE            45900      0      0
CORNING INC                   COMMON STOCK  219350105     160302        826300
SH    SOLE           826300      0      0
CORPORATE EXECUTIVE BOARD     COMMON STOCK  21988R102       4608         90800
SH    SOLE            90800      0      0
CORRECTIONAL PROPERT TRST     COMMON STOCK  22025E104        913         79400
SH    SOLE            79400      0      0
COST PLUS INC                 COMMON STOCK  221485105       8986        265750
SH    SOLE           265750      0      0
COSTAR GROUP INC              COMMON STOCK  22160N109       2041         55360
SH    SOLE            55360      0      0
COSTCO WHOLESALE CORP         COMMON STOCK  22160K105      83917       1596515
SH    SOLE          1596515      0      0
COUNTRYWIDE CREDIT IND        COMMON STOCK  222372104      34291       1258400
SH    SOLE          1258400      0      0
COVAD COMMUNICATIONS GRP      COMMON STOCK  222814204        338          7000
SH    SOLE             7000      0      0
COVANCE INC                   COMMON STOCK  222816100       5598        520725
SH    SOLE           520725      0      0
COX COMMUNICATIONS-CL A       COMMON STOCK  224044107       1731         35700
SH    SOLE            35700      0      0
COX RADIO INC                 COMMON STOCK  224051102        319          3800
SH    SOLE             3800      0      0
CRANE COMPANY                 COMMON STOCK  224399105      13491        572575
SH    SOLE           572575      0      0
CREATIVE TECHNOLOGY LTD       COMMON STOCK  Y1775U107       5271        166000
SH    SOLE           166000      0      0
CREDENCE SYSTEMS CORP         COMMON STOCK  225302108      30531        244000
SH    SOLE           244000      0      0
CREE RESEARCH INC             COMMON STOCK  225447101        914          8100
SH    SOLE             8100      0      0
CROSS TIMBERS OIL CO          COMMON STOCK  227573102       2015        154225
SH    SOLE           154225      0      0
CROWN CASTLE INTL CORP        COMMON STOCK  228227104       1939         51200
SH    SOLE            51200      0      0
CROWN CORK & SEAL CO INC      COMMON STOCK  228255105       4656        291000
SH    SOLE           291000      0      0
CSG SYSTEMS INTL INC          COMMON STOCK  126349109      25548        523400
SH    SOLE           523400      0      0
CSX CORP                      COMMON STOCK  126408103      14617        622000
SH    SOLE           622000      0      0
CUMMINS ENGINE                COMMON STOCK  231021106       7261        193300
SH    SOLE           193300      0      0
CVS CORP                      COMMON STOCK  126650100      67272       1790948
SH    SOLE          1790948      0      0
CYBERSOURCE CORP              COMMON STOCK  23251J106       4209        113000
SH    SOLE           113000      0      0
CYMER INC                     COMMON STOCK  232572107       4700         94000
SH    SOLE            94000      0      0
CYPRESS SEMICONDUCTOR         COMMON STOCK  232806109      42067        858500
SH    SOLE           858500      0      0
CYSIVE INC                    COMMON STOCK  23281T108       7590        110800
SH    SOLE           110800      0      0
CYTEC INDUSTRIES INC          COMMON STOCK  232820100       9380        306300
SH    SOLE           306300      0      0
CYTYC CORP                    COMMON STOCK  232946103      11927        247200
SH    SOLE           247200      0      0
D P L INC                     COMMON STOCK  233293109      21387        963900
SH    SOLE           963900      0      0
DANA CORP                     COMMON STOCK  235811106      14095        500060
SH    SOLE           500060      0      0
DANAHER CORP                  COMMON STOCK  235851102      19207        376600
SH    SOLE           376600      0      0
DARDEN RESTAURANTS INC        COMMON STOCK  237194105       6375        357900
SH    SOLE           357900      0      0
DATASTREAM SYSTEMS INC        COMMON STOCK  238124101      11896        410200
SH    SOLE           410200      0      0
DEAN FOODS CO                 COMMON STOCK  242361103       7205        269350
SH    SOLE           269350      0      0
DEERE & CO                    COMMON STOCK  244199105      32121        845300
SH    SOLE           845300      0      0
DELL COMPUTER CORP            COMMON STOCK  247025109     519947       9639800
SH    SOLE          9639800      0      0
DELPHI AUTOMOTIVE SYSTEMS     COMMON STOCK  247126105      39547       2471697
SH    SOLE          2471697      0      0
DELTA & PINE LAND CO          COMMON STOCK  247357106        808         40900
SH    SOLE            40900      0      0
DELTA AIR LINES INC           COMMON STOCK  247361108      21241        398900
SH    SOLE           398900      0      0
DELUXE CORP                   COMMON STOCK  248019101       5713        215600
SH    SOLE           215600      0      0
DENDRITE INTL INC             COMMON STOCK  248239105      10181        486250
SH    SOLE           486250      0      0
DENTSPLY INTERNATIONAL        COMMON STOCK  249030107      10984        387100
SH    SOLE           387100      0      0
DEVON ENERGY CORP             COMMON STOCK  25179M103      28676        590500
SH    SOLE           590500      0      0
DEVRY INC                     COMMON STOCK  251893103      18718        613700
SH    SOLE           613700      0      0
DEXTER CORP                   COMMON STOCK  252165105       9137        172400
SH    SOLE           172400      0      0
DIAGEO PLC-SP ADR             FOREIGN STOCK 25243Q205      30125       1000000
SH    SOLE          1000000      0      0
DIAGNOSTIC PRODUCTS CORP      COMMON STOCK  252450101       7339        300300
SH    SOLE           300300      0      0
DIAL CORP                     COMMON STOCK  25247D101      10608        771500
SH    SOLE           771500      0      0
DIAMOND OFFSHORE DRILLING     COMMON STOCK  25271C102       2280         57100
SH    SOLE            57100      0      0
DIAMOND TECH PARTNERS INC     COMMON STOCK  252762109      14958        227500
SH    SOLE           227500      0      0
DIEBOLD INC                   COMMON STOCK  253651103      13575        493630
SH    SOLE           493630      0      0
DIGI INTERNATIONAL INC        COMMON STOCK  253798102        507         54800
SH    SOLE            54800      0      0
DIGIMARC CORP                 COMMON STOCK  253807101        726         16500
SH    SOLE            16500      0      0
DIGITAL INSIGHT CORP          COMMON STOCK  25385P106       1194         23300
SH    SOLE            23300      0      0
DIGITAL LIGHTWAVE INC         COMMON STOCK  253855100      12353        198250
SH    SOLE           198250      0      0
DIGITAL MICROWAVE CORP        COMMON STOCK  253859102       1311         38700
SH    SOLE            38700      0      0
DIGITAL THINK INC             COMMON STOCK  25388M100       1103         28000
SH    SOLE            28000      0      0
DIGITAL GENERATION SYSTEM     COMMON STOCK  253921100       1166        162200
SH    SOLE           162200      0      0
DILLARDS INC-CL A             COMMON STOCK  254067101       4178        254200
SH    SOLE           254200      0      0
DIME BANCORP INC              COMMON STOCK  25429Q102      15930        861100
SH    SOLE           861100      0      0
DITECH COMMUNICATIONS CP      COMMON STOCK  25500M103       2927         27600
SH    SOLE            27600      0      0
DIVERSINET CORP               COMMON STOCK  25536K204       1616         90400
SH    SOLE            90400      0      0
DOBSON COMMUNICATIONS-CLA     COMMON STOCK  256069105       1162         50500
SH    SOLE            50500      0      0
DOCUMENTUM INC                COMMON STOCK  256159104       2114         27100
SH    SOLE            27100      0      0
DOLE FOOD CO                  COMMON STOCK  256605106       7557        388800
SH    SOLE           388800      0      0
DOLLAR GENERAL CORP           COMMON STOCK  256669102      18528        689406
SH    SOLE           689406      0      0
DOLLAR TREE STORES INC        COMMON STOCK  256747106      31822        610500
SH    SOLE           610500      0      0
DOMINION RESOURCES INC/VA     COMMON STOCK  25746U109      29913        778218
SH    SOLE           778218      0      0
DONALDSON CO INC              COMMON STOCK  257651109       7385        327300
SH    SOLE           327300      0      0
DONNELLEY (R R) & SONS        COMMON STOCK  257867101      16802        802500
SH    SOLE           802500      0      0
DORAL FINANCIAL CORP          COMMON STOCK  25811P100        882         78000
SH    SOLE            78000      0      0
DOUBLECLICK INC               COMMON STOCK  258609304       5908         63100
SH    SOLE            63100      0      0
DOVER CORP                    COMMON STOCK  260003108      52710       1101000
SH    SOLE          1101000      0      0
DOW CHEMICAL CO               COMMON STOCK  260543103      89798        787700
SH    SOLE           787700      0      0
DOW JONES & CO INC            COMMON STOCK  260561105      28811        401200
SH    SOLE           401200      0      0
DQE INC                       COMMON STOCK  23329J104      25098        551600
SH    SOLE           551600      0      0
DREYERS GRAND ICE CREAM       COMMON STOCK  261878102       4885        189700
SH    SOLE           189700      0      0
DSL.NET INC                   COMMON STOCK  262506108       3707        168000
SH    SOLE           168000      0      0
DSP GROUP INC                 COMMON STOCK  23332B106      16368        248000
SH    SOLE           248000      0      0
DST SYSTEMS INC               COMMON STOCK  233326107      30087        463400
SH    SOLE           463400      0      0
DTE ENERGY CO                 COMMON STOCK  233331107      18829        645100
SH    SOLE           645100      0      0
DUKE ENERGY CORP              COMMON STOCK  264399106      55333       1053968
SH    SOLE          1053968      0      0
DUN & BRADSTREET INC          COMMON STOCK  26483B106      12094        422500
SH    SOLE           422500      0      0
DUPONT (E I) DE NEMOURS       COMMON STOCK  263534109     206616       3903010
SH    SOLE          3903010      0      0
DURA PHARMACEUTICALS INC      COMMON STOCK  26632S109       3885        315500
SH    SOLE           315500      0      0
DUSA PHARMACEUTICALS INC      COMMON STOCK  266898105        831         34700
SH    SOLE            34700      0      0
DYNEGY INC CLASS A            COMMON STOCK  26816Q101      67460       1075258
SH    SOLE          1075258      0      0
E TRADE GROUP, INC            COMMON STOCK  269246104      64151       2129500
SH    SOLE          2129500      0      0
EARTHLINK INC                 COMMON STOCK  270321102       3075        158215
SH    SOLE           158215      0      0
EASTERN ENTERPRISES           COMMON STOCK  27637F100       4359         72800
SH    SOLE            72800      0      0
EASTMAN CHEMICAL CO           COMMON STOCK  277432100      12811        281550
SH    SOLE           281550      0      0
EASTMAN KODAK CO              COMMON STOCK  277461109      67586       1244400
SH    SOLE          1244400      0      0
EATON CORP                    COMMON STOCK  278058102      19859        254600
SH    SOLE           254600      0      0
EBAY INC                      COMMON STOCK  278642103       2306         13100
SH    SOLE            13100      0      0
ECHOSTAR COMMUN CL A          COMMON STOCK  278762109      31600        400000
SH    SOLE           400000      0      0
ECI TELECOM LTD               COMMON STOCK  268258100       1569         50000
SH    SOLE            50000      0      0
ECLIPSE SURGICAL TECH INC     COMMON STOCK  278849104       3039        408600
SH    SOLE           408600      0      0
ECOLAB INC                    COMMON STOCK  278865100      25978        708100
SH    SOLE           708100      0      0
EDISON INTERNATIONAL          COMMON STOCK  281020107      15830        955800
SH    SOLE           955800      0      0
EDWARDS (A G) INC             COMMON STOCK  281760108      28733        718329
SH    SOLE           718329      0      0
EEX CORPORATION               COMMON STOCK  26842V207        407        120499
SH    SOLE           120499      0      0
EFFICIENT NETWORKS INC        COMMON STOCK  282056100       7126         45752
SH    SOLE            45752      0      0
EL PASO ENERGY CORP           COMMON STOCK  283905107      63603       1575300
SH    SOLE          1575300      0      0
ELAN CORP PLC-SP ADR          COMMON STOCK  284131208      10023        211000
SH    SOLE           211000      0      0
ELANTEC SEMICONDUCTOR INC     COMMON STOCK  284155108      11071        150500
SH    SOLE           150500      0      0
ELCOR CORP                    COMMON STOCK  284443108        997         28900
SH    SOLE            28900      0      0
ELECTRO SCIENTIFIC INDS       COMMON STOCK  285229100       2274         39200
SH    SOLE            39200      0      0
ELECTROGLAS INC               COMMON STOCK  285324109       1891         55200
SH    SOLE            55200      0      0
ELECTRONIC ARTS INC           COMMON STOCK  285512109      33302        467800
SH    SOLE           467800      0      0
ELECTRONIC DATA SYSTEMS       COMMON STOCK  285661104      95158       1482500
SH    SOLE          1482500      0      0
ELECTRONICS FOR IMAGING       COMMON STOCK  286082102       2976         49600
SH    SOLE            49600      0      0
ELOYALTY CORPORATION          COMMON STOCK  290151109       2602        109000
SH    SOLE           109000      0      0
EMBOTELLADORA ANDINA S A      FOREIGN STOCK 29081P204        779         61400
SH    SOLE            61400      0      0
EMC CORPORATION               COMMON STOCK  268648102     418392       3320575
SH    SOLE          3320575      0      0
EMCORE CORP                   COMMON STOCK  290846104       1093          9500
SH    SOLE             9500      0      0
EMERSON ELECTRIC CO           COMMON STOCK  291011104     167349       3150100
SH    SOLE          3150100      0      0
EMISPHERE TECHNOLOGIES        COMMON STOCK  291345106       5105         98400
SH    SOLE            98400      0      0
EMMIS COMMUNICATIONS-CL A     COMMON STOCK  291525103      10676        229600
SH    SOLE           229600      0      0
EMULEX CORP                   COMMON STOCK  292475209       8926         81800
SH    SOLE            81800      0      0
ENERGY EAST CORPORATION       COMMON STOCK  29266M109      17869        901900
SH    SOLE           901900      0      0
ENERSIS ADS                   FOREIGN STOCK 29274F104       1816         89400
SH    SOLE            89400      0      0
ENESCO GROUP INC              COMMON STOCK  292973104        547         77500
SH    SOLE            77500      0      0
ENGAGE TECHNOLOGIES INC       COMMON STOCK  292827102       2831         37100
SH    SOLE            37100      0      0
ENGELHARD CORP                COMMON STOCK  292845104       5606        370612
SH    SOLE           370612      0      0
ENGINEERING ANIMATION INC     COMMON STOCK  292872108       2727        206800
SH    SOLE           206800      0      0
ENI SPA - ADR                 COMMON STOCK  26874R108        837         16500
SH    SOLE            16500      0      0
ENRON CORP                    COMMON STOCK  293561106     162055       2164334
SH    SOLE          2164334      0      0
ENSCO INTERNATIONAL INC       COMMON STOCK  26874Q100      36620       1013700
SH    SOLE          1013700      0      0
ENTERGY CORP                  COMMON STOCK  29364G103      19136        947900
SH    SOLE           947900      0      0
ENTRUST TECHNOLOGIES INC      COMMON STOCK  293848107      19258        226362
SH    SOLE           226362      0      0
ENZON INC                     COMMON STOCK  293904108       4975        132000
SH    SOLE           132000      0      0
EPRISE CORP                   COMMON STOCK  294352109          6           400
SH    SOLE              400      0      0
EQUANT NV-NY REG SHR          COMMON STOCK  294409107       9527        112000
SH    SOLE           112000      0      0
EQUIFAX INC                   COMMON STOCK  294429105      10986        435100
SH    SOLE           435100      0      0
ERICSSON L M TEL CO - ADR     FOREIGN STOCK 294821400      16771        178772
SH    SOLE           178772      0      0
ESS TECHNOLOGY INC            COMMON STOCK  269151106       1894        108200
SH    SOLE           108200      0      0
ESTEE LAUDER CO-CL A          COMMON STOCK  518439104       1657         33100
SH    SOLE            33100      0      0
ETHYL CORP                    COMMON STOCK  297659104       1509        492700
SH    SOLE           492700      0      0
ETINUUM INC                   COMMON STOCK  297664104         80          8400
SH    SOLE             8400      0      0
EVEREST RE GROUP LTD          COMMON STOCK  G3223R108      17888        548300
SH    SOLE           548300      0      0
EXAR CORP                     COMMON STOCK  300645108       9786        136750
SH    SOLE           136750      0      0
EXCHANGE APPLICATIONS INC     COMMON STOCK  300867108      16644        314500
SH    SOLE           314500      0      0
EXODUS COMMUNICATIONS INC     COMMON STOCK  302088109       5437         38700
SH    SOLE            38700      0      0
EXPEDITORS INTL WASH INC      COMMON STOCK  302130109       2421         60900
SH    SOLE            60900      0      0
EXPRESS SCRIPTS CL A          COMMON STOCK  302182100      14099        335700
SH    SOLE           335700      0      0
EXTENDED STAY AMERICA INC     COMMON STOCK  30224P101         51          6800
SH    SOLE             6800      0      0
EXTREME NETWORKS INC          COMMON STOCK  30226D106      12308        155800
SH    SOLE           155800      0      0
EXXON MOBIL CORP              COMMON STOCK  30231G102     880643      11299355
SH    SOLE         11299355      0      0
F5 NETWORKS INC               COMMON STOCK  315616102        705         10400
SH    SOLE            10400      0      0
FAIR ISAAC & CO INC           COMMON STOCK  303250104       7262        186800
SH    SOLE           186800      0      0
FAIRMARKET INC                COMMON STOCK  305158107        673         29600
SH    SOLE            29600      0      0
FAMILY DOLLAR STORES          COMMON STOCK  307000109      28534       1371000
SH    SOLE          1371000      0      0
FANNIE MAE                    COMMON STOCK  313586109     202861       3586500
SH    SOLE          3586500      0      0
FASTENAL CO                   COMMON STOCK  311900104      14973        312750
SH    SOLE           312750      0      0
FEDERAL HOME LN MTG CORP      COMMON STOCK  313400301     176458       3993400
SH    SOLE          3993400      0      0
FEDERAL SIGNAL CORP           COMMON STOCK  313855108       5767        319300
SH    SOLE           319300      0      0
FEDERAL-MOGUL CORP            COMMON STOCK  313549107      14692        880400
SH    SOLE           880400      0      0
FEDERATED DEPT STORES         COMMON STOCK  31410H101      33462        792000
SH    SOLE           792000      0      0
FEDEX CORPORATION             COMMON STOCK  31428X106      31378        808440
SH    SOLE           808440      0      0
FERRO CORP                    COMMON STOCK  315405100       4643        260650
SH    SOLE           260650      0      0
FIDELITY NAT'L FIN            COMMON STOCK  316326107        983         71200
SH    SOLE            71200      0      0
FIFTH THIRD BANCORP           COMMON STOCK  316773100      53812        854162
SH    SOLE           854162      0      0
FILENET CORP                  COMMON STOCK  316869106       1827         61400
SH    SOLE            61400      0      0
FINL SECURITY ASSURANCE       COMMON STOCK  31769P100        264          3600
SH    SOLE             3600      0      0
FINOVA GROUP INC              COMMON STOCK  317928109       7751        461000
SH    SOLE           461000      0      0
FIRST DATA CORP               COMMON STOCK  319963104     108511       2445326
SH    SOLE          2445326      0      0
FIRST HEALTH GROUP CORP       COMMON STOCK  320960107      11382        359900
SH    SOLE           359900      0      0
FIRST SECURITY CORP           COMMON STOCK  336294103      16662       1388482
SH    SOLE          1388482      0      0
FIRST TENNESSEE NATL CORP     COMMON STOCK  337162101      20158        992400
SH    SOLE           992400      0      0
FIRST UNION CORP              COMMON STOCK  337358105     116744       3134077
SH    SOLE          3134077      0      0
FIRST VIRGINIA BANKS INC      COMMON STOCK  337477103      14210        378300
SH    SOLE           378300      0      0
FIRSTAR CORP                  COMMON STOCK  33763V109      67907       2960524
SH    SOLE          2960524      0      0
FIRSTENERGY CORP              COMMON STOCK  337932107      12629        612300
SH    SOLE           612300      0      0
FIRSTMERIT CORP               COMMON STOCK  337915102      12628        684900
SH    SOLE           684900      0      0
FISERV INC                    COMMON STOCK  337738108      32904        884812
SH    SOLE           884812      0      0
FLEET BOSTON FINANCIAL CP     COMMON STOCK  339030108     193422       5299228
SH    SOLE          5299228      0      0
FLEXTRONICS INTL LTD          COMMON STOCK  Y2573F102       8960        127200
SH    SOLE           127200      0      0
FLORIDA PROGRESS CORP         COMMON STOCK  341109106      11427        249100
SH    SOLE           249100      0      0
FLOW INTERNATIONAL CORP       COMMON STOCK  343468104       3999        340300
SH    SOLE           340300      0      0
FLOWERS INDUSTRIES INC        COMMON STOCK  343496105      11066        728625
SH    SOLE           728625      0      0
FLOWSERVE CORP                COMMON STOCK  34354P105       3234        251200
SH    SOLE           251200      0      0
FLUOR CORP                    COMMON STOCK  343861100      11030        355800
SH    SOLE           355800      0      0
FMC CORP                      COMMON STOCK  302491303       5497         97300
SH    SOLE            97300      0      0
FOAMEX INTERNATIONAL INC      COMMON STOCK  344123104       1695        179600
SH    SOLE           179600      0      0
FORD MOTOR COMPANY            COMMON STOCK  345370100     178950       3895500
SH    SOLE          3895500      0      0
FOREST LABORATORIES INC       COMMON STOCK  345838106      71411        845100
SH    SOLE           845100      0      0
FOREST OIL CORP               COMMON STOCK  346091606       1384        130300
SH    SOLE           130300      0      0
FORRESTER RESEARCH INC        COMMON STOCK  346563109       2224         41000
SH    SOLE            41000      0      0
FORT JAMES CORP               COMMON STOCK  347471104      18885        858400
SH    SOLE           858400      0      0
FORTUNE BRANDS INC            COMMON STOCK  349631101      12425        497000
SH    SOLE           497000      0      0
FORWARD AIR CORP              COMMON STOCK  349853101       4264        180000
SH    SOLE           180000      0      0
FOSSIL INC                    COMMON STOCK  349882100        967         41275
SH    SOLE            41275      0      0
FOUNDATION HEALTH SYS CLA     COMMON STOCK  350404109       8496       1061940
SH    SOLE          1061940      0      0
FOX ENTERTAINMNT GRP-CL A     COMMON STOCK  35138T107      22537        752800
SH    SOLE           752800      0      0
FPL GROUP INC                 COMMON STOCK  302571104      27458        596100
SH    SOLE           596100      0      0
FRANKLIN RESOURCES INC        COMMON STOCK  354613101      24781        741100
SH    SOLE           741100      0      0
FREEPORT-MCMORAN COPPER A     COMMON STOCK  35671D105        233         20900
SH    SOLE            20900      0      0
FREEPORT-MCMORAN COPPER B     COMMON STOCK  35671D857       5938        492291
SH    SOLE           492291      0      0
FREMONT GENERAL CORP          COMMON STOCK  357288109         54          8400
SH    SOLE             8400      0      0
FRIEDMAN BILLNG RAMSEY-A      COMMON STOCK  358433100        227         20900
SH    SOLE            20900      0      0
FST AMER FINL COM             COMMON STOCK  318522307       1456        104500
SH    SOLE           104500      0      0
FULLER H B CO                 COMMON STOCK  359694106       4293        107500
SH    SOLE           107500      0      0
FURNITURE BRANDS INTL INC     COMMON STOCK  360921100       9028        479900
SH    SOLE           479900      0      0
GADZOOKS INC                  COMMON STOCK  362553109       2776        128000
SH    SOLE           128000      0      0
GALILEO INTERNATIONAL INC     COMMON STOCK  363547100       5919        246000
SH    SOLE           246000      0      0
GANNETT CO                    COMMON STOCK  364730101     136788       1943700
SH    SOLE          1943700      0      0
GAP INC                       COMMON STOCK  364760108     186587       3745785
SH    SOLE          3745785      0      0
GARTNER GROUP INC CL B        COMMON STOCK  366651206       8280        621988
SH    SOLE           621988      0      0
GASONICS INTL CORP            COMMON STOCK  367278108      11742        296100
SH    SOLE           296100      0      0
GATEWAY INC                   COMMON STOCK  367626108      48501        914300
SH    SOLE           914300      0      0
GATX CORP                     COMMON STOCK  361448103      13403        352700
SH    SOLE           352700      0      0
GENE LOGIC INC                COMMON STOCK  368689105        774         18400
SH    SOLE            18400      0      0
GENENTECH INC                 COMMON STOCK  368710406       4621         30400
SH    SOLE            30400      0      0
GENER SA                      FOREIGN STOCK 368731105        321         23800
SH    SOLE            23800      0      0
GENERAL DYNAMICS CORP         COMMON STOCK  369550108      37308        749900
SH    SOLE           749900      0      0
GENERAL ELECTRIC CO           COMMON STOCK  369604103    1736504      11158257
SH    SOLE         11158257      0      0
GENERAL MILLS INC             COMMON STOCK  370334104      52599       1453500
SH    SOLE          1453500      0      0
GENERAL MOTORS CORP           COMMON STOCK  370442105     156665       1891800
SH    SOLE          1891800      0      0
GENERAL MOTORS-CL H           COMMON STOCK  370442832       3187         25600
SH    SOLE            25600      0      0
GENERAL SEMICONDUCTOR INC     COMMON STOCK  370787103      10005        580000
SH    SOLE           580000      0      0
GENRAD INC                    COMMON STOCK  372447102       2218        179200
SH    SOLE           179200      0      0
GENUINE PARTS CO              COMMON STOCK  372460105      11890        498000
SH    SOLE           498000      0      0
GENZYME CORP-GENL DIV         COMMON STOCK  372917104      33308        664500
SH    SOLE           664500      0      0
GEORGIA GULF CORP             COMMON STOCK  373200203       6497        249900
SH    SOLE           249900      0      0
GEORGIA PACIFIC CORP          COMMON STOCK  373298108      26218        662700
SH    SOLE           662700      0      0
GEORGIA-PACIFIC (TIMBER)      COMMON STOCK  373298702      16057        626600
SH    SOLE           626600      0      0
GETTY IMAGES INC              COMMON STOCK  374276103      13067        363600
SH    SOLE           363600      0      0
GILEAD SCIENCES INC           COMMON STOCK  375558103      27511        434100
SH    SOLE           434100      0      0
GILLETTE COMPANY              COMMON STOCK  375766102     132931       3527200
SH    SOLE          3527200      0      0
GLATFELTER (P H) CO           COMMON STOCK  377316104       3006        282900
SH    SOLE           282900      0      0
GLENAYRE TECHNOLOGIES INC     COMMON STOCK  377899109        632         36000
SH    SOLE            36000      0      0
GLIATECH INC                  COMMON STOCK  37929C103        256         14800
SH    SOLE            14800      0      0
GLOBAL CROSSING LTD           COMMON STOCK  G3921A100      95019       2321085
SH    SOLE          2321085      0      0
GLOBAL INDUSTRIES LTD         COMMON STOCK  379336100       4693        320900
SH    SOLE           320900      0      0
GLOBAL MARINE INC             COMMON STOCK  379352404      34474       1358600
SH    SOLE          1358600      0      0
GLOBAL TELESYSTEMS GROUP      COMMON STOCK  37936U104      25376       1237854
SH    SOLE          1237854      0      0
GLOBESPAN INC                 COMMON STOCK  379571102       2294         22500
SH    SOLE            22500      0      0
GO2NET INC                    COMMON STOCK  383486107        846         10500
SH    SOLE            10500      0      0
GOLDEN STATE BANCORP          COMMON STOCK  381197102       2720        182100
SH    SOLE           182100      0      0
GOLDEN WEST FINANCIAL CP      COMMON STOCK  381317106      16835        539800
SH    SOLE           539800      0      0
GOLDMAN SACHS GROUP INC       COMMON STOCK  38141G104      14819        140800
SH    SOLE           140800      0      0
GOODRICH (B F) CO             COMMON STOCK  382388106       9990        348230
SH    SOLE           348230      0      0
GOODYEAR TIRE & RUBBER CO     COMMON STOCK  382550101      16193        694600
SH    SOLE           694600      0      0
GOTO.COM INC                  COMMON STOCK  38348T107        965         23500
SH    SOLE            23500      0      0
GPU INC                       COMMON STOCK  36225X100      12855        469600
SH    SOLE           469600      0      0
GRAINGER (W W) INC            COMMON STOCK  384802104      21993        405400
SH    SOLE           405400      0      0
GRANITE CONSTRUCTION INC      COMMON STOCK  387328107       6372        236000
SH    SOLE           236000      0      0
GREAT ATLANTIC & PACIFIC      COMMON STOCK  390064103       1870         95900
SH    SOLE            95900      0      0
GREAT LAKES CHEMICAL CORP     COMMON STOCK  390568103       9262        272400
SH    SOLE           272400      0      0
GREATER BAY BANCORP           COMMON STOCK  391648102       1984         49300
SH    SOLE            49300      0      0
GREENPORT FINANCIAL CORP      COMMON STOCK  395384100      17403        886800
SH    SOLE           886800      0      0
GRUPO TELEVISION SA           FOREIGN STOCK 40049J206       2040         30000
SH    SOLE            30000      0      0
GT GROUP TELECOM INC-CL B     COMMON STOCK  362359408       3131        150000
SH    SOLE           150000      0      0
GTE CORP                      COMMON STOCK  362320103     243686       3432200
SH    SOLE          3432200      0      0
GTECH HOLDINGS CORP           COMMON STOCK  400518106       4392        236600
SH    SOLE           236600      0      0
GUCCI GROUP                   COMMON STOCK  401566104       4269         48000
SH    SOLE            48000      0      0
GUIDANT CORP                  COMMON STOCK  401698105      89961       1528000
SH    SOLE          1528000      0      0
HADCO CORP                    COMMON STOCK  404681108       3899         60100
SH    SOLE            60100      0      0
HALLIBURTON CO                COMMON STOCK  406216101      51949       1263200
SH    SOLE          1263200      0      0
HANDLEMAN CO                  COMMON STOCK  410252100       1437        161900
SH    SOLE           161900      0      0
HANNA (M A) CO                COMMON STOCK  410522106       3714        328275
SH    SOLE           328275      0      0
HANNAFORD BROTHERS CO         COMMON STOCK  410550107      22464        304600
SH    SOLE           304600      0      0
HANOVER COMPRESSOR CO         COMMON STOCK  410768105      11694        205600
SH    SOLE           205600      0      0
HARBINGER CORP                COMMON STOCK  41145C103      10482        359900
SH    SOLE           359900      0      0
HARCOURT GENERAL INC          COMMON STOCK  41163G101       7815        209800
SH    SOLE           209800      0      0
HARLAND (JOHN H) CO           COMMON STOCK  412693103       1069         79200
SH    SOLE            79200      0      0
HARLEY DAVIDSON INC           COMMON STOCK  412822108      78871        993650
SH    SOLE           993650      0      0
HARMONIC INC                  COMMON STOCK  413160102       8883        106700
SH    SOLE           106700      0      0
HARRAHS ENTERTAINMENT INC     COMMON STOCK  413619107       8406        452850
SH    SOLE           452850      0      0
HARRIS CORP                   COMMON STOCK  413875105      17413        503800
SH    SOLE           503800      0      0
HARRIS INTERACTIVE INC        COMMON STOCK  414549105        455         70000
SH    SOLE            70000      0      0
HARSCO CORP                   COMMON STOCK  415864107       8534        294900
SH    SOLE           294900      0      0
HARTE-HANKS INC               COMMON STOCK  416196103      11412        503000
SH    SOLE           503000      0      0
HARTFORD FINANCIAL SVCS       COMMON STOCK  416515104      47670        903700
SH    SOLE           903700      0      0
HASBRO INC                    COMMON STOCK  418056107      22730       1362075
SH    SOLE          1362075      0      0
HAWAIIAN ELECTRIC INDS        COMMON STOCK  419870100       7536        236900
SH    SOLE           236900      0      0
HEALTH MGMT ASSOC-CL A        COMMON STOCK  421933102      27836       1953437
SH    SOLE          1953437      0      0
HEALTHSOUTH CORP              COMMON STOCK  421924101       5162        907633
SH    SOLE           907633      0      0
HEILIG-MEYERS CO              COMMON STOCK  422893107       1633        414612
SH    SOLE           414612      0      0
HEINZ (H J) CO                COMMON STOCK  423074103      46143       1323100
SH    SOLE          1323100      0      0
HELMERICH & PAYNE             COMMON STOCK  423452101      11179        360600
SH    SOLE           360600      0      0
HERCULES INC                  COMMON STOCK  427056106       3907        242300
SH    SOLE           242300      0      0
HERSHEY FOODS CORP            COMMON STOCK  427866108      28455        583700
SH    SOLE           583700      0      0
HEWLETT-PACKARD CO            COMMON STOCK  428236103     426060       3206472
SH    SOLE          3206472      0      0
HIBERNIA CORP-CL A            COMMON STOCK  428656102      12574       1197500
SH    SOLE          1197500      0      0
HILLENBRAND INDUSTRIES        COMMON STOCK  431573104      15453        454500
SH    SOLE           454500      0      0
HILTON HOTELS CORP            COMMON STOCK  432848109       7619        983100
SH    SOLE           983100      0      0
HISPANIC BROADCASTING CP      COMMON STOCK  43357B104      44960        397000
SH    SOLE           397000      0      0
HNC SOFTWARE INC              COMMON STOCK  40425P107       6630         92000
SH    SOLE            92000      0      0
HOME DEPOT INC                COMMON STOCK  437076102     535454       8301609
SH    SOLE          8301609      0      0
HOMEGROCER.COM INC            COMMON STOCK  43740K100       2386        230000
SH    SOLE           230000      0      0
HOMESTAKE MINING CO           COMMON STOCK  437614100       4100        683339
SH    SOLE           683339      0      0
HOMESTEAD VILLAGE INC         COMMON STOCK  437851108       1978        620600
SH    SOLE           620600      0      0
HON INDUSTRIES INC            COMMON STOCK  438092108      11021        428000
SH    SOLE           428000      0      0
HONEYWELL INT'L INC           COMMON STOCK  438516106     166879       3167337
SH    SOLE          3167337      0      0
HOOPER HOLMES INC             COMMON STOCK  439104100       1228         35800
SH    SOLE            35800      0      0
HORACE MANN EDUCATORS         COMMON STOCK  440327104       5299        287400
SH    SOLE           287400      0      0
HORMEL FOODS CORP             COMMON STOCK  440452100      16773       1020400
SH    SOLE          1020400      0      0
HOUGHTON MIFFLIN CO           COMMON STOCK  441560109       9875        232700
SH    SOLE           232700      0      0
HOUSEHOLD INTERNATIONAL       COMMON STOCK  441815107     137596       3687674
SH    SOLE          3687674      0      0
HSB GROUP INC                 COMMON STOCK  40428N109       5971        206350
SH    SOLE           206350      0      0
HUBBELL INC-CL B              COMMON STOCK  443510201      13346        487520
SH    SOLE           487520      0      0
HUMAN GENOME SCIENCES INC     COMMON STOCK  444903108      30557        367877
SH    SOLE           367877      0      0
HUMANA INC                    COMMON STOCK  444859102       5475        748700
SH    SOLE           748700      0      0
HUNT (J B) TRANSPORT SVC      COMMON STOCK  445658107       3288        240200
SH    SOLE           240200      0      0
HUNTINGTON BANKSHARES INC     COMMON STOCK  446150104      15590        696745
SH    SOLE           696745      0      0
HYPERION SOLUTIONS CORP       COMMON STOCK  44914M104       5505        169390
SH    SOLE           169390      0      0
I2 TECHNOLOGIES INC           COMMON STOCK  465754109        322          2634
SH    SOLE             2634      0      0
IBP INC                       COMMON STOCK  449223106      17487       1110300
SH    SOLE          1110300      0      0
ICG COMMUNICATIONS INC        COMMON STOCK  449246107      10729        297000
SH    SOLE           297000      0      0
ICN PHARMACEUTICALS INC       COMMON STOCK  448924100      15666        574900
SH    SOLE           574900      0      0
IDACORP INC                   COMMON STOCK  451107106       9584        275800
SH    SOLE           275800      0      0
IDEC PHARMACEUTICALS CORP     COMMON STOCK  449370105       4716         48000
SH    SOLE            48000      0      0
IDT CORP                      COMMON STOCK  448947101       1992         48000
SH    SOLE            48000      0      0
II-VI INC                     COMMON STOCK  902104108        840         22100
SH    SOLE            22100      0      0
IKON OFFICE SOLUTIONS INC     COMMON STOCK  451713101       2304        372300
SH    SOLE           372300      0      0
ILEX ONCOLOGY INC             COMMON STOCK  451923106       1352         32200
SH    SOLE            32200      0      0
ILLINOIS TOOL WORKS           COMMON STOCK  452308109      68373       1237516
SH    SOLE          1237516      0      0
ILLUMINET HOLDINGS INC        COMMON STOCK  452334105       1098         22300
SH    SOLE            22300      0      0
IMATION CORP                  COMMON STOCK  45245A107       7306        273750
SH    SOLE           273750      0      0
IMC GLOBAL INC                COMMON STOCK  449669100      15785       1074700
SH    SOLE          1074700      0      0
IMS HEALTH INC                COMMON STOCK  449934108      32344       1909590
SH    SOLE          1909590      0      0
IN FOCUS SYSTEMS INC          COMMON STOCK  452919103       1125         31400
SH    SOLE            31400      0      0
INCO LTD                      COMMON STOCK  453258402      14373        782200
SH    SOLE           782200      0      0
INCYTE PHARMACEUTICALS        COMMON STOCK  45337C102       2326         26600
SH    SOLE            26600      0      0
INDIANA ENERGY INC            COMMON STOCK  454707100       4085        209500
SH    SOLE           209500      0      0
INET TECHNOLOGIES INC         COMMON STOCK  45662V105       1255         23700
SH    SOLE            23700      0      0
INFINITY BROADCASTING-CLA     COMMON STOCK  45662S102       3645        112600
SH    SOLE           112600      0      0
INFORMATION HOLDINGS          COMMON STOCK  456727106       4108        131200
SH    SOLE           131200      0      0
INFORMIX CORP                 COMMON STOCK  456779107      34361       2028700
SH    SOLE          2028700      0      0
INFOUSA INC                   COMMON STOCK  456818301       3907        428200
SH    SOLE           428200      0      0
INGERSOLL-RAND CO             COMMON STOCK  456866102      26123        590350
SH    SOLE           590350      0      0
INKTOMI CORP                  COMMON STOCK  457277101       2301         11800
SH    SOLE            11800      0      0
INSIGHT ENTERPRISES INC       COMMON STOCK  45765U103      14328        393212
SH    SOLE           393212      0      0
INSIGHT COMMUNICATIONS        COMMON STOCK  45768V108        829         40200
SH    SOLE            40200      0      0
INSIGNIA FINANCIAL GROUP      COMMON STOCK  45767A105        951         67900
SH    SOLE            67900      0      0
INTEGRATED DEV TEC            COMMON STOCK  458118106      34391        867900
SH    SOLE           867900      0      0
INTEL CORP                    COMMON STOCK  458140100    1539520      11668553
SH    SOLE         11668553      0      0
INTERG SILICON SOLUTION       COMMON STOCK  45812P107       9239        315200
SH    SOLE           315200      0      0
INTERMEDIA COMMUNICATION      COMMON STOCK  458801107      15557        322000
SH    SOLE           322000      0      0
INTERMUNE PHARMACEUTICALS     COMMON STOCK  45885B100        193          9700
SH    SOLE             9700      0      0
INTERNATIONAL PAPER CO        COMMON STOCK  460146103      56338       1317851
SH    SOLE          1317851      0      0
INTERPUBLIC GROUP COS         COMMON STOCK  460690100      53785       1138300
SH    SOLE          1138300      0      0
INTERSIL HOLDING CORP         COMMON STOCK  46069S109       2739         53000
SH    SOLE            53000      0      0
INTERSTATE BAKERIES           COMMON STOCK  46072H108       6712        471000
SH    SOLE           471000      0      0
INTERVOICE INC                COMMON STOCK  461142101       5001        173200
SH    SOLE           173200      0      0
INTIMATE BRANDS INC           COMMON STOCK  461156101       6271        152265
SH    SOLE           152265      0      0
INTL BUSINESS MACHINES        COMMON STOCK  459200101     672104       5695800
SH    SOLE          5695800      0      0
INTL FLAVORS & FRAGRANCES     COMMON STOCK  459506101       9299        265200
SH    SOLE           265200      0      0
INTL GAME TECHNOLOGY          COMMON STOCK  459902102      12210        563000
SH    SOLE           563000      0      0
INTL MULTIFOODS CORP          COMMON STOCK  460043102       1769        132250
SH    SOLE           132250      0      0
INTL SPEEDWAY CORP CL A       COMMON STOCK  460335201      17593        391500
SH    SOLE           391500      0      0
INTRABIOTICS PHARMACEUTIC     COMMON STOCK  46116T100        138          9200
SH    SOLE             9200      0      0
INTRANET SOLUTIONS INC        COMMON STOCK  460939309       2953         64200
SH    SOLE            64200      0      0
INTRAWARE INC                 COMMON STOCK  46118M103       5714        138300
SH    SOLE           138300      0      0
INTUIT INC                    COMMON STOCK  461202103      76973       1415600
SH    SOLE          1415600      0      0
INVESTMENT TECHNOLOGY GP      COMMON STOCK  46145F105       8026        227700
SH    SOLE           227700      0      0
INVITROGEN CORP               COMMON STOCK  46185R100      11467        197500
SH    SOLE           197500      0      0
IPALCO ENTERPRISES INC        COMMON STOCK  462613100      12180        624600
SH    SOLE           624600      0      0
ISS GROUP INC                 COMMON STOCK  450306105       6140         52700
SH    SOLE            52700      0      0
ITC DELTACOM INC              COMMON STOCK  45031T104       3612        101400
SH    SOLE           101400      0      0
ITT EDUCATIONAL SERVICES      COMMON STOCK  45068B109       2016        126000
SH    SOLE           126000      0      0
ITT INDUSTRIES INC            COMMON STOCK  450911102      12142        390900
SH    SOLE           390900      0      0
IVAX CORP                     COMMON STOCK  465823102      37072       1360425
SH    SOLE          1360425      0      0
IXL ENTERPRISES INC           COMMON STOCK  450718101        638         22800
SH    SOLE            22800      0      0
IXNET INC                     COMMON STOCK  46601C109       1931         42100
SH    SOLE            42100      0      0
JABIL CIRCUIT INC             COMMON STOCK  466313103      61502       1422000
SH    SOLE          1422000      0      0
JACOBS ENGINEERING GROUP      COMMON STOCK  469814107       6034        189300
SH    SOLE           189300      0      0
JDA SOFTWARE GROUP INC        COMMON STOCK  46612K108       1569        107300
SH    SOLE           107300      0      0
JDS UNIPHASE CORP             COMMON STOCK  46612J101      25921        215000
SH    SOLE           215000      0      0
JEFFERSON-PILOT CORP          COMMON STOCK  475070108      25667        385612
SH    SOLE           385612      0      0
JOHN HANCOCK FINAN'L SCV      COMMON STOCK  41014S106      36318       2010700
SH    SOLE          2010700      0      0
JOHNSON & JOHNSON             COMMON STOCK  478160104     305547       4349422
SH    SOLE          4349422      0      0
JOHNSON CONTROLS INC          COMMON STOCK  478366107      16143        298600
SH    SOLE           298600      0      0
JONES APPAREL GROUP INC       COMMON STOCK  480074103      34631       1095055
SH    SOLE          1095055      0      0
JONES PHARMA INC              COMMON STOCK  480236108      10757        354150
SH    SOLE           354150      0      0
JOSTENS INC                   COMMON STOCK  481088102       9635        395300
SH    SOLE           395300      0      0
JUNIPER NETWORKS INC          COMMON STOCK  48203R104       3795         14400
SH    SOLE            14400      0      0
KANSAS CITY POWER & LIGHT     COMMON STOCK  485134100      13181        454500
SH    SOLE           454500      0      0
KANSAS CITY SOUTHERN INDS     COMMON STOCK  485170104      29227        340100
SH    SOLE           340100      0      0
KAUFMAN & BROAD HOME CORP     COMMON STOCK  486168107       3899        181900
SH    SOLE           181900      0      0
KAYDON CORP                   COMMON STOCK  486587108       6260        229200
SH    SOLE           229200      0      0
KEANE INC                     COMMON STOCK  486665102      14208        562700
SH    SOLE           562700      0      0
KEEBLER FOODS CO              COMMON STOCK  487256109       1733         60400
SH    SOLE            60400      0      0
KELLOGG CO                    COMMON STOCK  487836108      54029       2098200
SH    SOLE          2098200      0      0
KELLY SERVICES INC CL A       COMMON STOCK  488152208       6485        270925
SH    SOLE           270925      0      0
KEMET CORPORATION             COMMON STOCK  488360108      18184        287500
SH    SOLE           287500      0      0
KENDLE INTERNATIONAL INC      COMMON STOCK  48880L107       2686        247000
SH    SOLE           247000      0      0
KENNAMETAL INC                COMMON STOCK  489170100       6566        218400
SH    SOLE           218400      0      0
KENNETH COLE PRODUCTN-CLA     COMMON STOCK  193294105       9771        248950
SH    SOLE           248950      0      0
KERR MCGEE CORP               COMMON STOCK  492386107      18405        318699
SH    SOLE           318699      0      0
KEYCORP                       COMMON STOCK  493267108      24429       1285760
SH    SOLE          1285760      0      0
KEYNOTE SYSTEMS INC           COMMON STOCK  493308100       1288         12600
SH    SOLE            12600      0      0
KEYSPAN CORPORATION           COMMON STOCK  49337W100      28207       1021050
SH    SOLE          1021050      0      0
KEYSTONE FINANCIAL INC        COMMON STOCK  493482103       6367        346500
SH    SOLE           346500      0      0
KIMBERLY-CLARK CORP           COMMON STOCK  494368103     120436       2148252
SH    SOLE          2148252      0      0
KINDER MORGAN INC             COMMON STOCK  49455P101      29232        847300
SH    SOLE           847300      0      0
KING PHARMACEUTICALS INC      COMMON STOCK  495582108       7483        237550
SH    SOLE           237550      0      0
KLA-TENCOR CORP               COMMON STOCK  482480100      80155        951391
SH    SOLE           951391      0      0
KMART CORP                    COMMON STOCK  482584109      16143       1666400
SH    SOLE          1666400      0      0
KNIGHT/TRIMARK GROUP-CL A     COMMON STOCK  499068104       5936        116400
SH    SOLE           116400      0      0
KNIGHT-RIDDER INC             COMMON STOCK  499040103      24979        487400
SH    SOLE           487400      0      0
KOHLS CORP                    COMMON STOCK  500255104      96161        938152
SH    SOLE           938152      0      0
KOPIN CORP                    COMMON STOCK  500600101       6841         99500
SH    SOLE            99500      0      0
KROGER COMPANY                COMMON STOCK  501044101     153717       8752580
SH    SOLE          8752580      0      0
KULICKE & SOFFA IND INC       COMMON STOCK  501242101       9385        146500
SH    SOLE           146500      0      0
L-3 COMMUNICATIONS HLDGS      COMMON STOCK  502424104      12844        247300
SH    SOLE           247300      0      0
LABRANCHE & CO                COMMON STOCK  505447102       2030        160000
SH    SOLE           160000      0      0
LAM RESEARCH CORP             COMMON STOCK  512807108      14600        324000
SH    SOLE           324000      0      0
LAMAR ADVERTISING CO          COMMON STOCK  512815101       7853        172600
SH    SOLE           172600      0      0
LAN CHILE SA-SPONS ADR        FOREIGN STOCK 501723100        207         23000
SH    SOLE            23000      0      0
LANCASTER COLONY CORP         COMMON STOCK  513847103       8813        288363
SH    SOLE           288363      0      0
LANCE INC                     COMMON STOCK  514606102       2761        259900
SH    SOLE           259900      0      0
LANDMARK SYSTEMS CORP         COMMON STOCK  51506S100       1135        227004
SH    SOLE           227004      0      0
LANDS END INC                 COMMON STOCK  515086106      14556        237400
SH    SOLE           237400      0      0
LANDSTAR SYSTEM INC           COMMON STOCK  515098101       2480         45300
SH    SOLE            45300      0      0
LATTICE SEMICONDUCTOR         COMMON STOCK  518415104       1706         25200
SH    SOLE            25200      0      0
LCC INTL INC CL A             COMMON STOCK  501810105       1054         26600
SH    SOLE            26600      0      0
LEAR CORPORATION              COMMON STOCK  521865105      18706        665100
SH    SOLE           665100      0      0
LEARNING TREE INTL INC        COMMON STOCK  522015106       1864         52500
SH    SOLE            52500      0      0
LEE ENTERPRISES               COMMON STOCK  523768109       8389        321100
SH    SOLE           321100      0      0
LEGATO SYSTEMS INC            COMMON STOCK  524651106      27525        616800
SH    SOLE           616800      0      0
LEGG MASON                    COMMON STOCK  524901105      19043        440300
SH    SOLE           440300      0      0
LEGGETT & PLATT INC           COMMON STOCK  524660107      10864        505300
SH    SOLE           505300      0      0
LEHMAN BROTHERS HLDGS INC     COMMON STOCK  524908100      41438        427200
SH    SOLE           427200      0      0
LEXMARK INTL GROUP CL A       COMMON STOCK  529771107      97301        920100
SH    SOLE           920100      0      0
LG&E ENERGY CORP              COMMON STOCK  501917108      21306        931400
SH    SOLE           931400      0      0
LIBERTY DIGITAL INC CL A      COMMON STOCK  530436104       8470        220000
SH    SOLE           220000      0      0
LILLY (ELI) & CO              COMMON STOCK  532457108     208306       3326250
SH    SOLE          3326250      0      0
LIMITED INC                   COMMON STOCK  532716107      27852        661165
SH    SOLE           661165      0      0
LINCARE HOLDINGS INC          COMMON STOCK  532791100      11288        397800
SH    SOLE           397800      0      0
LINCOLN ELECTRIC HOLDINGS     COMMON STOCK  533900106       1633         67500
SH    SOLE            67500      0      0
LINCOLN NATIONAL CORP         COMMON STOCK  534187109      20743        619200
SH    SOLE           619200      0      0
LINEAR TECHNOLOGY             COMMON STOCK  535678106      89254       1622800
SH    SOLE          1622800      0      0
LITTON INDUSTRIES INC         COMMON STOCK  538021106      17158        388300
SH    SOLE           388300      0      0
LIZ CLAIBORNE INC             COMMON STOCK  539320101       7472        163100
SH    SOLE           163100      0      0
LJL BIOSYSTEMS INC            COMMON STOCK  501873103        548         30000
SH    SOLE            30000      0      0
LOCKHEED MARTIN CORP          COMMON STOCK  539830109      48917       2393514
SH    SOLE          2393514      0      0
LOEWS CORP                    COMMON STOCK  540424108      14510        290200
SH    SOLE           290200      0      0
LONE-STAR STEAKHOUSE          COMMON STOCK  542307103       2353        231000
SH    SOLE           231000      0      0
LONGS DRUG STORES INC         COMMON STOCK  543162101       1806         79400
SH    SOLE            79400      0      0
LONGVIEW FIBRE CO             COMMON STOCK  543213102       5549        376200
SH    SOLE           376200      0      0
LORAL SPACE & COMMUNICA       COMMON STOCK  G56462107       2707        267400
SH    SOLE           267400      0      0
LOUISIANA-PACIFIC CORP        COMMON STOCK  546347105       5683        409580
SH    SOLE           409580      0      0
LOWES COMPANIES               COMMON STOCK  548661107     108733       1862661
SH    SOLE          1862661      0      0
LSI LOGIC CORP                COMMON STOCK  502161102      64411        886900
SH    SOLE           886900      0      0
LTX CORP                      COMMON STOCK  502392103      21907        484800
SH    SOLE           484800      0      0
LUBRIZOL CORP                 COMMON STOCK  549271104      12484        433300
SH    SOLE           433300      0      0
LUCENT TECHNOLOGIES INC       COMMON STOCK  549463107     635763      10379803
SH    SOLE         10379803      0      0
LUMINEX CORP                  COMMON STOCK  55027E102        251         11600
SH    SOLE            11600      0      0
LYONDELL CHEMICAL CO          COMMON STOCK  552078107      13154        891800
SH    SOLE           891800      0      0
M & T BANK CORP               COMMON STOCK  55261F104      18039         40400
SH    SOLE            40400      0      0
MACROMEDIA INC                COMMON STOCK  556100105      31799        352100
SH    SOLE           352100      0      0
MACROVISION CORP              COMMON STOCK  555904101       3006         34900
SH    SOLE            34900      0      0
MAGNETEK INC                  COMMON STOCK  559424106       1164        129300
SH    SOLE           129300      0      0
MALLINCKRODT INC              COMMON STOCK  561232109       5670        197200
SH    SOLE           197200      0      0
MANDALAY RESORT GROUP         COMMON STOCK  562567107      11709        693850
SH    SOLE           693850      0      0
MANITOWOC COMPANY INC         COMMON STOCK  563571108        798         29000
SH    SOLE            29000      0      0
MANOR CARE INC                COMMON STOCK  564055101       5052        374200
SH    SOLE           374200      0      0
MANPOWER INC                  COMMON STOCK  56418H100      19436        547500
SH    SOLE           547500      0      0
MANUGISTICS GROUP INC         COMMON STOCK  565011103      21201        415700
SH    SOLE           415700      0      0
MAPICS INC                    COMMON STOCK  564910107       3066        192400
SH    SOLE           192400      0      0
MARCUS CORP                   COMMON STOCK  566330106       2588        200000
SH    SOLE           200000      0      0
MARIMBA INC                   COMMON STOCK  56781Q109        600         13600
SH    SOLE            13600      0      0
MARINE DRILLING CO INC        COMMON STOCK  568240204       1152         42000
SH    SOLE            42000      0      0
MARK IV INDUSTRIES INC        COMMON STOCK  570387100       7603        344609
SH    SOLE           344609      0      0
MARKETING SERVICES GROUP      COMMON STOCK  570907105       2627        148000
SH    SOLE           148000      0      0
MARRIOTT INTL CLASS A         COMMON STOCK  571903202      22907        727200
SH    SOLE           727200      0      0
MARSH & MCLENNAN COS          COMMON STOCK  571748102      84742        768200
SH    SOLE           768200      0      0
MARSHALL & ILSLEY CORP        COMMON STOCK  571834100      46350        802600
SH    SOLE           802600      0      0
MARTIN MARIETTA MATERIALS     COMMON STOCK  573284106      16326        343700
SH    SOLE           343700      0      0
MASCO CORP                    COMMON STOCK  574599106      40356       1968600
SH    SOLE          1968600      0      0
MASTEC INC                    COMMON STOCK  576323109       3560         40000
SH    SOLE            40000      0      0
MATTEL INC                    COMMON STOCK  577081102      12967       1234977
SH    SOLE          1234977      0      0
MAXIM INTEGRATED PROD         COMMON STOCK  57772K101     155456       2187600
SH    SOLE          2187600      0      0
MAXIM PHARMACEUTICALS INC     COMMON STOCK  57772M107       2624         55900
SH    SOLE            55900      0      0
MAXXAM INC                    COMMON STOCK  577913106       1322         46400
SH    SOLE            46400      0      0
MAXYGEN INC                   COMMON STOCK  577776107        887         13600
SH    SOLE            13600      0      0
MAY DEPARTMENT STORES CO      COMMON STOCK  577778103      67958       2384500
SH    SOLE          2384500      0      0
MAYTAG CORP                   COMMON STOCK  578592107       7695        232300
SH    SOLE           232300      0      0
MBIA INC                      COMMON STOCK  55262C100      17243        331200
SH    SOLE           331200      0      0
MBNA CORP                     COMMON STOCK  55262L100     145117       5690850
SH    SOLE          5690850      0      0
MCCLATCHY NEWS CLASS A        COMMON STOCK  579489105        874         26700
SH    SOLE            26700      0      0
MCCORMICK & CO-NON VOTING     COMMON STOCK  579780206      16377        507800
SH    SOLE           507800      0      0
MCDERMOTT INTERNATIONAL       COMMON STOCK  580037109       1385        150700
SH    SOLE           150700      0      0
MCDONALDS CORP                COMMON STOCK  580135101     230458       6166100
SH    SOLE          6166100      0      0
MCGRAW-HILL COMPANIES INC     COMMON STOCK  580645109      26678        586328
SH    SOLE           586328      0      0
MCI WORLDCOM INC              COMMON STOCK  55268B106     505660      11159385
SH    SOLE         11159385      0      0
MCKESSON CORP HBOC INC        COMMON STOCK  58155Q103      21102       1004855
SH    SOLE          1004855      0      0
MCLEOD USA INC-CL A           COMMON STOCK  582266102      11874        140000
SH    SOLE           140000      0      0
MCN ENERGY GROUP INC          COMMON STOCK  55267J100      15673        626900
SH    SOLE           626900      0      0
MEAD CORP                     COMMON STOCK  582834107       9017        258100
SH    SOLE           258100      0      0
MEDIA GENERAL INC-CL A        COMMON STOCK  584404107      10271        196100
SH    SOLE           196100      0      0
MEDIALINK WORLDWIDE INC       COMMON STOCK  58445P105       1700        261585
SH    SOLE           261585      0      0
MEDIAONE GROUP INC            COMMON STOCK  58440J104     207036       2556000
SH    SOLE          2556000      0      0
MEDICIS PHARMACEUT CL A       COMMON STOCK  584690309       5805        145125
SH    SOLE           145125      0      0
MEDIMMUNE INC                 COMMON STOCK  584699102      86697        497900
SH    SOLE           497900      0      0
MEDQUIST INC                  COMMON STOCK  584949101       1006         37000
SH    SOLE            37000      0      0
MEDTRONIC INC                 COMMON STOCK  585055106     288176       5602445
SH    SOLE          5602445      0      0
MELLON FINANCIAL CORP         COMMON STOCK  58551A108      43551       1463884
SH    SOLE          1463884      0      0
MEMBERWORKS INC               COMMON STOCK  586002107       4733        117960
SH    SOLE           117960      0      0
MEN'S WEARHOUSE INC (THE)     COMMON STOCK  587118100       1126         38000
SH    SOLE            38000      0      0
MENTOR CORP                   COMMON STOCK  587188103       4320        160000
SH    SOLE           160000      0      0
MENTOR GRAPHICS CORP          COMMON STOCK  587200106       9452        624900
SH    SOLE           624900      0      0
MERCANTILE BANKSHARES         COMMON STOCK  587405101      16090        526475
SH    SOLE           526475      0      0
MERCK & CO INC                COMMON STOCK  589331107     458295       7376988
SH    SOLE          7376988      0      0
MERCURY GENERAL CORP          COMMON STOCK  589400100        330         11200
SH    SOLE            11200      0      0
MERCURY INTERACTIVE CORP      COMMON STOCK  589405109      13782        173900
SH    SOLE           173900      0      0
MEREDITH CORP                 COMMON STOCK  589433101      14998        541700
SH    SOLE           541700      0      0
MERITOR AUTOMOTIVE INC        COMMON STOCK  59000G100       7717        488000
SH    SOLE           488000      0      0
MERRILL LYNCH & CO            COMMON STOCK  590188108     131908       1256264
SH    SOLE          1256264      0      0
METALINK LTD                  COMMON STOCK  M69897102       1161         30255
SH    SOLE            30255      0      0
METHODE ELECTRONICS CL A      COMMON STOCK  591520200       1136         22500
SH    SOLE            22500      0      0
METRICOM INC                  COMMON STOCK  591596101        232          5000
SH    SOLE             5000      0      0
METRIS COMPANIES              COMMON STOCK  591598107       2772         71300
SH    SOLE            71300      0      0
METTLER-TOLEDO INTL INC       COMMON STOCK  592688105       4094        100000
SH    SOLE           100000      0      0
MGC COMMUNICATIONS INC        COMMON STOCK  552763302       7822        109400
SH    SOLE           109400      0      0
MGIC INVESTMENT CORP          COMMON STOCK  552848103      15325        351300
SH    SOLE           351300      0      0
MGM GRAND INC                 COMMON STOCK  552953101        974         40566
SH    SOLE            40566      0      0
MICHAELS STORES INC           COMMON STOCK  594087108       1915         47000
SH    SOLE            47000      0      0
MICROCHIP TECHNOLOGY INC      COMMON STOCK  595017104      43237        657600
SH    SOLE           657600      0      0
MICRON ELECTRONICS INC        COMMON STOCK  595100108       3745        267500
SH    SOLE           267500      0      0
MICRON TECHNOLOGY             COMMON STOCK  595112103      97373        772800
SH    SOLE           772800      0      0
MICROSOFT CORP                COMMON STOCK  594918104    1804993      16988171
SH    SOLE         16988171      0      0
MICROSOFT CORP RESTRICTED     COMMON STOCK  594918997       1673         15746
SH    SOLE            15746      0      0
MICROTEL INTL-RESTRICTED      COMMON STOCK  59514K993          0         76981
SH    SOLE            76981      0      0
MID ATLANTIC MED SVC          COMMON STOCK  59523C107        890         96200
SH    SOLE            96200      0      0
MILACRON INC                  COMMON STOCK  598709103        645         44700
SH    SOLE            44700      0      0
MILLENNIUM PHARMACEUTICAL     COMMON STOCK  599902103      67494        519682
SH    SOLE           519682      0      0
MILLER (HERMAN) INC           COMMON STOCK  600544100      16498        589200
SH    SOLE           589200      0      0
MILLIPORE CORP                COMMON STOCK  601073109       7783        137900
SH    SOLE           137900      0      0
MINERALS TECH                 COMMON STOCK  603158106       7019        157500
SH    SOLE           157500      0      0
MINIMED INC                   COMMON STOCK  60365K108      29332        226500
SH    SOLE           226500      0      0
MINNESOTA MINING & MFG CO     COMMON STOCK  604059105     150423       1698500
SH    SOLE          1698500      0      0
MINNESOTA POWER & LIGHT       COMMON STOCK  604110106       8936        537500
SH    SOLE           537500      0      0
MIRAGE RESORTS INC            COMMON STOCK  60462E104      11298        583100
SH    SOLE           583100      0      0
MKS INSTRUMENTS INC           COMMON STOCK  55306N104      18160        359600
SH    SOLE           359600      0      0
MOBILE MINI INC               COMMON STOCK  60740F105       4856        249000
SH    SOLE           249000      0      0
MODEM MEDIA POPPE TYSON       COMMON STOCK  607533106       1308         40400
SH    SOLE            40400      0      0
MODINE MANUFACTURING CO       COMMON STOCK  607828100       5181        206200
SH    SOLE           206200      0      0
MODIS PROFESSIONAL SVCS       COMMON STOCK  607830106      11097        896735
SH    SOLE           896735      0      0
MOHAWK IND INC                COMMON STOCK  608190104       9688        433000
SH    SOLE           433000      0      0
MOLECULAR DIVICES CORP        COMMON STOCK  60851C107      11252        146600
SH    SOLE           146600      0      0
MOLEX INC                     COMMON STOCK  608554101      32927        560453
SH    SOLE           560453      0      0
MOLEX INC CL A                COMMON STOCK  608554200      10095        227500
SH    SOLE           227500      0      0
MONSANTO CO                   COMMON STOCK  611662107     167293       3248400
SH    SOLE          3248400      0      0
MONTANA POWER CO              COMMON STOCK  612085100      53408        834500
SH    SOLE           834500      0      0
MORGAN J P & COMPANY          COMMON STOCK  616880100      66073        501500
SH    SOLE           501500      0      0
MORGAN ST DEAN WITTER         COMMON STOCK  617446448     327061       3946440
SH    SOLE          3946440      0      0
MOTOROLA INC                  COMMON STOCK  620076109     348218       2385052
SH    SOLE          2385052      0      0
MSC INDUSTRIAL DIRECT-CLA     COMMON STOCK  553530106        484         26900
SH    SOLE            26900      0      0
MURPHY OIL CORP               COMMON STOCK  626717102      19748        342700
SH    SOLE           342700      0      0
MYLAN LABORATORIES            COMMON STOCK  628530107      25570        929800
SH    SOLE           929800      0      0
NABISCO GROUP HOLDINGS CP     COMMON STOCK  62952P102       9453        783700
SH    SOLE           783700      0      0
NABISCO HOLDINGS-CL A         COMMON STOCK  629526104       2903         90000
SH    SOLE            90000      0      0
NABORS INDUSTRIES INC         COMMON STOCK  629568106      44075       1135600
SH    SOLE          1135600      0      0
NACCO INDUSTRIES-CL A         COMMON STOCK  629579103       1337         27900
SH    SOLE            27900      0      0
NANOMETRICS INC               COMMON STOCK  630077105       1901         39000
SH    SOLE            39000      0      0
NATIONAL CITY CORP            COMMON STOCK  635405103      38438       1863680
SH    SOLE          1863680      0      0
NATIONAL DISCOUNT BROKERS     COMMON STOCK  635646102        997         20200
SH    SOLE            20200      0      0
NATIONAL FUEL GAS CO          COMMON STOCK  636180101      12593        282600
SH    SOLE           282600      0      0
NATIONAL SEMICONDUCTOR        COMMON STOCK  637640103      32040        527400
SH    SOLE           527400      0      0
NATIONAL SERVICE INDS INC     COMMON STOCK  637657107       2075         98500
SH    SOLE            98500      0      0
NATIONAL-OILWELL INC          COMMON STOCK  637071101        889         28800
SH    SOLE            28800      0      0
NATL COMMERCE BANCORP         COMMON STOCK  635449101      14302        773100
SH    SOLE           773100      0      0
NATURAL MICROSYSTEMS CORP     COMMON STOCK  638882100      11954        139400
SH    SOLE           139400      0      0
NAVIGANT CONSULTING CO        COMMON STOCK  63935N107       3190        290000
SH    SOLE           290000      0      0
NAVISTAR INTERNATIONAL CP     COMMON STOCK  63934E108       6589        164200
SH    SOLE           164200      0      0
NBTY INC                      COMMON STOCK  628782104        725         53000
SH    SOLE            53000      0      0
NCH CORP                      COMMON STOCK  628850109       1853         40900
SH    SOLE            40900      0      0
NCO GROUP INC                 COMMON STOCK  628858102       6320        197900
SH    SOLE           197900      0      0
NCR CORPORATION               COMMON STOCK  62886E108      13861        345444
SH    SOLE           345444      0      0
NEIMAN MARCUS GROUP-CL A      COMMON STOCK  640204202      10569        380000
SH    SOLE           380000      0      0
NEOFORMA.COM INC              COMMON STOCK  640475109        286         17460
SH    SOLE            17460      0      0
NET PERCEPTIONS INC           COMMON STOCK  64107U101        698         18900
SH    SOLE            18900      0      0
NET2000 COMMUNICATIONS        COMMON STOCK  64122G103        689         29000
SH    SOLE            29000      0      0
NETSCOUT SYSTEMS INC          COMMON STOCK  64115T104       2590        154600
SH    SOLE           154600      0      0
NETWORK ASSOCIATES INC        COMMON STOCK  640938106      36891       1143903
SH    SOLE          1143903      0      0
NETWORK APPLIANCE INC         COMMON STOCK  64120L104      75451        911800
SH    SOLE           911800      0      0
NETWORK ACCESS SOLUTIONS      COMMON STOCK  64120S109       1230         55900
SH    SOLE            55900      0      0
NETWORK PERIPHERALS           COMMON STOCK  64121R100       1853         52200
SH    SOLE            52200      0      0
NEW CENTURY ENERGIES INC      COMMON STOCK  64352U103       9555        317825
SH    SOLE           317825      0      0
NEW YORK TIMES-CL A           COMMON STOCK  650111107      23862        555740
SH    SOLE           555740      0      0
NEWBRIDGE NETWORKS CORP       COMMON STOCK  650901101       7211        222300
SH    SOLE           222300      0      0
NEWELL RUBBERMAID INC         COMMON STOCK  651229106      18659        752013
SH    SOLE           752013      0      0
NEWMONT MINING CORP           COMMON STOCK  651639106      14469        644844
SH    SOLE           644844      0      0
NEWPARK RESOURCES INC         COMMON STOCK  651718504       2467        308400
SH    SOLE           308400      0      0
NEWPORT CORP                  COMMON STOCK  651824104       1647         12200
SH    SOLE            12200      0      0
NEWPORT NEWS SHIPBUILDING     COMMON STOCK  652228107       7426        245500
SH    SOLE           245500      0      0
NEWS CORP LTD-ADR             FOREIGN STOCK 652487703       9543        169660
SH    SOLE           169660      0      0
NEXTEL COMMUNICATIONS-CLA     COMMON STOCK  65332V103     166897       1125782
SH    SOLE          1125782      0      0
NEXTLINK COMMUN CL A          COMMON STOCK  65333H707        717          5800
SH    SOLE             5800      0      0
NFO WORLDWIDE INC             COMMON STOCK  62910N108       1025         44000
SH    SOLE            44000      0      0
NIAGARA MOHAWK HOLDINGS       COMMON STOCK  653520106      12011        889700
SH    SOLE           889700      0      0
NICOR INC                     COMMON STOCK  654086107       4878        148100
SH    SOLE           148100      0      0
NIKE INC-CL B                 COMMON STOCK  654106103      38052        960300
SH    SOLE           960300      0      0
NISOURCE INC                  COMMON STOCK  65473P105      16073        952500
SH    SOLE           952500      0      0
NOBLE AFFILIATES              COMMON STOCK  654894104      13594        414300
SH    SOLE           414300      0      0
NOBLE DRILLING CORP           COMMON STOCK  655042109      82142       1985300
SH    SOLE          1985300      0      0
NOKIA CORP-SP ADR             FOREIGN STOCK 654902204      44511        200500
SH    SOLE           200500      0      0
NORDSON CORP                  COMMON STOCK  655663102       5555        120600
SH    SOLE           120600      0      0
NORDSTROM INC                 COMMON STOCK  655664100      14042        476000
SH    SOLE           476000      0      0
NORFOLK SOUTHERN              COMMON STOCK  655844108      15021       1054100
SH    SOLE          1054100      0      0
NORTEL NETWORKS CORP          COMMON STOCK  656569100     581440       4610026
SH    SOLE          4610026      0      0
NORTH FORK BANCORPORATION     COMMON STOCK  659424105      23659       1323600
SH    SOLE          1323600      0      0
NORTHEAST UTILITIES           COMMON STOCK  664397106      22212       1033100
SH    SOLE          1033100      0      0
NORTHERN STATES POWER CO      COMMON STOCK  665772109       8763        440900
SH    SOLE           440900      0      0
NORTHERN TRUST CORP           COMMON STOCK  665859104      40348        597200
SH    SOLE           597200      0      0
NORTHROP GRUMMAN CORP         COMMON STOCK  666807102      12297        232300
SH    SOLE           232300      0      0
NORTHWEST AIRLINES            COMMON STOCK  667280101        412         18200
SH    SOLE            18200      0      0
NOVA CORP                     COMMON STOCK  669784100      25927        890200
SH    SOLE           890200      0      0
NOVELL INC                    COMMON STOCK  670006105      28227        986100
SH    SOLE           986100      0      0
NOVELLUS SYSTEMS INC          COMMON STOCK  670008101      47667        849300
SH    SOLE           849300      0      0
NOVEN PHARMACEUTICALS INC     COMMON STOCK  670009109       3276        299500
SH    SOLE           299500      0      0
NSTAR                         COMMON STOCK  67019E107      18603        442928
SH    SOLE           442928      0      0
NUCOR CORP                    COMMON STOCK  670346105      17845        356900
SH    SOLE           356900      0      0
NVIDIA CORP                   COMMON STOCK  67066G104      17074        202100
SH    SOLE           202100      0      0
NYFIX INC                     COMMON STOCK  670712108        891         17695
SH    SOLE            17695      0      0
OCCIDENTAL PETROLEUM CORP     COMMON STOCK  674599105      24201       1166300
SH    SOLE          1166300      0      0
OCEAN ENERGY INC              COMMON STOCK  67481E106      18186       1265100
SH    SOLE          1265100      0      0
OCWEN FINANCIAL CORP          COMMON STOCK  675746101         21          2600
SH    SOLE             2600      0      0
OFFICE DEPOT INC              COMMON STOCK  676220106      10909        943512
SH    SOLE           943512      0      0
OFFICEMAX INC                 COMMON STOCK  67622M108       6817       1048800
SH    SOLE          1048800      0      0
OGDEN CORP                    COMMON STOCK  676346109       3969        332500
SH    SOLE           332500      0      0
OGE ENERGY CORP               COMMON STOCK  670837103      10887        567400
SH    SOLE           567400      0      0
OHIO CASUALTY CORP            COMMON STOCK  677240103       7525        421000
SH    SOLE           421000      0      0
OLD KENT FINANCIAL CORP       COMMON STOCK  679833103      10557        329905
SH    SOLE           329905      0      0
OLD REPUBLIC INTL CORP        COMMON STOCK  680223104      13999       1018125
SH    SOLE          1018125      0      0
OLIN CORP                     COMMON STOCK  680665205       5884        331500
SH    SOLE           331500      0      0
OMNICARE INC                  COMMON STOCK  681904108       8912        738800
SH    SOLE           738800      0      0
OMNICOM GROUP INC             COMMON STOCK  681919106      64255        686300
SH    SOLE           686300      0      0
ONEOK INC                     COMMON STOCK  682680103       2648        105900
SH    SOLE           105900      0      0
ONYX SOFTWARE CORP            COMMON STOCK  683402101        765         24000
SH    SOLE            24000      0      0
OPEN MARKET INC               COMMON STOCK  68370M100        631         24500
SH    SOLE            24500      0      0
ORACLE CORPORATION            COMMON STOCK  68389X105     676439       8665346
SH    SOLE          8665346      0      0
ORAPHARMA INC                 COMMON STOCK  68554E106        178          9600
SH    SOLE             9600      0      0
ORBOTECH LTD                  COMMON STOCK  M75253100       1692         19900
SH    SOLE            19900      0      0
OREGON STEEL MILLS INC        COMMON STOCK  686079104        599        154700
SH    SOLE           154700      0      0
OSI PHARMACEUTICALS INC       COMMON STOCK  671040103        733         37600
SH    SOLE            37600      0      0
OTG SOFTWARE INC              COMMON STOCK  671059103        210          5200
SH    SOLE             5200      0      0
OUTBACK STEAKHOUSE INC        COMMON STOCK  689899102      20549        640900
SH    SOLE           640900      0      0
OVERSEAS SHIPHOLDING          COMMON STOCK  690368105       5479        238880
SH    SOLE           238880      0      0
OWENS CORNING                 COMMON STOCK  69073F103       2017        104100
SH    SOLE           104100      0      0
OWENS & MINOR INC HLDG CO     COMMON STOCK  690732102       1526        143600
SH    SOLE           143600      0      0
OWENS-ILLINOIS INC            COMMON STOCK  690768403       6841        405400
SH    SOLE           405400      0      0
OXFORD HEALTH PLANS           COMMON STOCK  691471106       8613        564800
SH    SOLE           564800      0      0
P G & E CORP                  COMMON STOCK  69331C108      26585       1265938
SH    SOLE          1265938      0      0
P F CHANGS CHINA BISTRO       COMMON STOCK  69333Y108       8666        261600
SH    SOLE           261600      0      0
P T TELEKOMUNIKASI-ADR        FOREIGN STOCK 715684106       1900        200000
SH    SOLE           200000      0      0
PACCAR INC                    COMMON STOCK  693718108      14150        282990
SH    SOLE           282990      0      0
PACIFIC CENTURY FINL CORP     COMMON STOCK  694058108      12172        599230
SH    SOLE           599230      0      0
PACIFICARE HEALTH SYSTEMS     COMMON STOCK  695112102      28044        562283
SH    SOLE           562283      0      0
PACTIV CORP                   COMMON STOCK  695257105       2823        324900
SH    SOLE           324900      0      0
PAINE WEBBER GROUP INC        COMMON STOCK  695629105      19669        447025
SH    SOLE           447025      0      0
PALL CORP                     COMMON STOCK  696429307       7517        335033
SH    SOLE           335033      0      0
PALM INC                      COMMON STOCK  696642107        128          2853
SH    SOLE             2853      0      0
PANERA BREAD CO CLASS A       COMMON STOCK  69840W108       3018        402400
SH    SOLE           402400      0      0
PAPA JOHN'S INTL INC          COMMON STOCK  698813102       7349        222700
SH    SOLE           222700      0      0
PARADYNE NETWORKS INC         COMMON STOCK  69911G107       1544         49800
SH    SOLE            49800      0      0
PARAMETRIC TECHNOLOGY CP      COMMON STOCK  699173100      17305        821600
SH    SOLE           821600      0      0
PARK PLACE ENTERTAINMENT      COMMON STOCK  700690100      52652       4553700
SH    SOLE          4553700      0      0
PARKER HANNIFIN CORP          COMMON STOCK  701094104      30276        732850
SH    SOLE           732850      0      0
PARTNERRE LTD                 FOREIGN STOCK G6852T105       2080         56500
SH    SOLE            56500      0      0
PATTERSON ENERGY INC          COMMON STOCK  703414102       2188         68900
SH    SOLE            68900      0      0
PAUL HARRIS STORES INC        COMMON STOCK  703555201        570        187900
SH    SOLE           187900      0      0
PAYCHEX INC                   COMMON STOCK  704326107      40222        767962
SH    SOLE           767962      0      0
PAYLESS SHOESOURCE INC        COMMON STOCK  704379106      11633        223988
SH    SOLE           223988      0      0
PC CONNECTION INC             COMMON STOCK  69318J100       7079        250600
SH    SOLE           250600      0      0
PC-TEL INC                    COMMON STOCK  69325Q105      10896        144800
SH    SOLE           144800      0      0
PE CORP-PE BIOSYSTEMS GRP     COMMON STOCK  69332S102      75492        782300
SH    SOLE           782300      0      0
PECO ENERGY CO                COMMON STOCK  693304107      19717        534700
SH    SOLE           534700      0      0
PEGASUS COMMUNICATIONS CP     COMMON STOCK  705904100      32654        232000
SH    SOLE           232000      0      0
PENNEY (J C) CO INC           COMMON STOCK  708160106      13252        890900
SH    SOLE           890900      0      0
PENNZOIL-QUAKER STATE CO      COMMON STOCK  709323109       5814        557035
SH    SOLE           557035      0      0
PENTAIR INC                   COMMON STOCK  709631105      12761        344300
SH    SOLE           344300      0      0
PENTON MEDIA INC              COMMON STOCK  709668107        335         12900
SH    SOLE            12900      0      0
PEOPLES ENERGY CORP           COMMON STOCK  711030106       3416        124500
SH    SOLE           124500      0      0
PEOPLES HERITAGE FIN'L GP     COMMON STOCK  711147108        353         23500
SH    SOLE            23500      0      0
PEOPLESOFT INC                COMMON STOCK  712713106      34814       1740700
SH    SOLE          1740700      0      0
PEP BOYS MANNY MO JK          COMMON STOCK  713278109        868        146200
SH    SOLE           146200      0      0
PEPSI BOTTLING GROUP INC      COMMON STOCK  713409100       1904         95200
SH    SOLE            95200      0      0
PEPSICO INC                   COMMON STOCK  713448108     162945       4672254
SH    SOLE          4672254      0      0
PEREGRINE SYSTEMS INC         COMMON STOCK  71366Q101      36361        542200
SH    SOLE           542200      0      0
PERFORMANCE FOOD GROUP        COMMON STOCK  713755106       1146         52400
SH    SOLE            52400      0      0
PERICOM SEMICONDUCTOR         COMMON STOCK  713831105       6509        182400
SH    SOLE           182400      0      0
PERKINELMER INC               COMMON STOCK  714046109      16339        245700
SH    SOLE           245700      0      0
PERRIGO COMPANY               COMMON STOCK  714290103       3838        505400
SH    SOLE           505400      0      0
PERSONNEL GROUP OF AMER       COMMON STOCK  715338109        331         54100
SH    SOLE            54100      0      0
PETROLEO BRASILEIRO S.A.      FOREIGN STOCK 71654V101       3445        127000
SH    SOLE           127000      0      0
PETSMART                      COMMON STOCK  716768106       1092        364000
SH    SOLE           364000      0      0
PFIZER INC                    COMMON STOCK  717081103     459033      12554746
SH    SOLE         12554746      0      0
PHARMACIA & UPJOHN INC        COMMON STOCK  716941109     148815       2501085
SH    SOLE          2501085      0      0
PHARMACOPEIA INC              COMMON STOCK  71713B104      15651        319400
SH    SOLE           319400      0      0
PHARMACYCLICS INC             COMMON STOCK  716933106       6126        110000
SH    SOLE           110000      0      0
PHELPS DODGE CORP             COMMON STOCK  717265102      12681        267670
SH    SOLE           267670      0      0
PHILIP MORRIS COMPANIES       COMMON STOCK  718154107     134372       6360800
SH    SOLE          6360800      0      0
PHILLIPS PETROLEUM            COMMON STOCK  718507106      38651        835700
SH    SOLE           835700      0      0
PHOENIX INVT PARTNERS         COMMON STOCK  719085102        334         43100
SH    SOLE            43100      0      0
PHOTON DYNAMICS INC           COMMON STOCK  719364101      11647        168800
SH    SOLE           168800      0      0
PHOTRONICS INC                COMMON STOCK  719405102        742         21000
SH    SOLE            21000      0      0
PIER 1 IMPORTS INC            COMMON STOCK  720279108       3105        302900
SH    SOLE           302900      0      0
PILOT NETWORK SERVICES        COMMON STOCK  721596104       1160         35100
SH    SOLE            35100      0      0
PINNACLE HOLDINGS INC         COMMON STOCK  72346N101       2924         54400
SH    SOLE            54400      0      0
PINNACLE SYSTEMS INC          COMMON STOCK  723481107      23132        695700
SH    SOLE           695700      0      0
PINNACLE WEST CAPITAL CP      COMMON STOCK  723484101       7143        253400
SH    SOLE           253400      0      0
PIONEER NATURAL RESOURCES     COMMON STOCK  723787107       7077        674000
SH    SOLE           674000      0      0
PITNEY-BOWES INC              COMMON STOCK  724479100      32291        722600
SH    SOLE           722600      0      0
PITTSTON BRINKS GROUP         COMMON STOCK  725701106       6307        371000
SH    SOLE           371000      0      0
PLACER DOME INC               COMMON STOCK  725906101       6015        740300
SH    SOLE           740300      0      0
PMC-SIERRA INC                COMMON STOCK  69344F106      16002         78561
SH    SOLE            78561      0      0
PNC FINANCIAL SERVICES GR     COMMON STOCK  693475105      39975        887100
SH    SOLE           887100      0      0
POGO PRODUCING CO             COMMON STOCK  730448107       1351         47300
SH    SOLE            47300      0      0
POHANG IRON & STEEL - ADR     FOREIGN STOCK 730450103        203          7394
SH    SOLE             7394      0      0
POLAROID CORP                 COMMON STOCK  731095105       2474        104153
SH    SOLE           104153      0      0
POLICY MGMT SYSTEMS           COMMON STOCK  731108106       4696        391300
SH    SOLE           391300      0      0
POLYCOM INC                   COMMON STOCK  73172K104      37867        478200
SH    SOLE           478200      0      0
PORTAL SOFTWARE INC           COMMON STOCK  736126103       2055         36100
SH    SOLE            36100      0      0
POST PROPERTIES INC           COMMON STOCK  737464107       1790         44400
SH    SOLE            44400      0      0
POTLATCH CORP                 COMMON STOCK  737628107       3143         73100
SH    SOLE            73100      0      0
POTOMAC ELECTRIC POWER        COMMON STOCK  737679100      19548        864000
SH    SOLE           864000      0      0
POWERTEL INC                  COMMON STOCK  73936C109        789         11400
SH    SOLE            11400      0      0
POWERWAVE TECHNOLOGIES        COMMON STOCK  739363109      19000        152000
SH    SOLE           152000      0      0
PPG INDUSTRIES                COMMON STOCK  693506107      38638        738600
SH    SOLE           738600      0      0
PPL CORPORATION               COMMON STOCK  69351T106      11375        543300
SH    SOLE           543300      0      0
PRAXAIR INC                   COMMON STOCK  74005P104      24792        595600
SH    SOLE           595600      0      0
PRECISION CASTPARTS           COMMON STOCK  740189105       6592        180600
SH    SOLE           180600      0      0
PRECISION DRILLING CORP       COMMON STOCK  74022D100        881         26400
SH    SOLE            26400      0      0
PRECISION RESPONSE CORP       COMMON STOCK  740314109       2529        104300
SH    SOLE           104300      0      0
PREMIER PARKS INC             COMMON STOCK  740540208      13161        626700
SH    SOLE           626700      0      0
PREPAID LEGAL SERVICES        COMMON STOCK  740065107       1188         40000
SH    SOLE            40000      0      0
PRI AUTOMATION INC            COMMON STOCK  69357H106      19095        312400
SH    SOLE           312400      0      0
PRICE (T ROWE) ASSOC          COMMON STOCK  741477103      16535        418600
SH    SOLE           418600      0      0
PRIDE INTERNATIONAL INC       COMMON STOCK  741932107       2885        126100
SH    SOLE           126100      0      0
PRIMUS KNOWLEDGE SOLUTION     COMMON STOCK  74163Q100        989         11500
SH    SOLE            11500      0      0
PRIORITY HEALTHCARE-CL B      COMMON STOCK  74264T102       1432         28500
SH    SOLE            28500      0      0
PROCTER & GAMBLE CO           COMMON STOCK  742718109     243251       4305334
SH    SOLE          4305334      0      0
PROFESSIONAL DETAILING        COMMON STOCK  74312N107       8645        345800
SH    SOLE           345800      0      0
PROGRESS SOFTWARE CORP        COMMON STOCK  743312100       2269         96800
SH    SOLE            96800      0      0
PROGRESSIVE CORP              COMMON STOCK  743315103      14832        195000
SH    SOLE           195000      0      0
PROJECT SOFTWARE & DEVLOP     COMMON STOCK  74339P101       2825         50000
SH    SOLE            50000      0      0
PROLOGIS TRUST                COMMON STOCK  743410102      10226        531200
SH    SOLE           531200      0      0
PROTECTIVE LIFE CORP          COMMON STOCK  743674103      27562        868100
SH    SOLE           868100      0      0
PROVIDENT FINANCIAL GROUP     COMMON STOCK  743866105      11339        332900
SH    SOLE           332900      0      0
PROVIDIAN FINANCIAL CORP      COMMON STOCK  74406A102      41173        475300
SH    SOLE           475300      0      0
PROVINCE HEALTHCARE CO        COMMON STOCK  743977100       5218        182278
SH    SOLE           182278      0      0
PROXICOM INC                  COMMON STOCK  744282104      16475        371800
SH    SOLE           371800      0      0
PROXIM INC                    COMMON STOCK  744284100      12591        105200
SH    SOLE           105200      0      0
PSS WORLD MEDICAL INC         COMMON STOCK  69366A100       3174        468000
SH    SOLE           468000      0      0
PUBLIC SERVICE OF N MEX       COMMON STOCK  744499104       4407        279800
SH    SOLE           279800      0      0
PUBLIC SERVICE ENTERPRISE     COMMON STOCK  744573106      19763        667100
SH    SOLE           667100      0      0
PUGET SOUND ENERGY INC        COMMON STOCK  745332106      13672        616200
SH    SOLE           616200      0      0
PULTE CORP                    COMMON STOCK  745867101       4202        201300
SH    SOLE           201300      0      0
QLOGIC CORP                   COMMON STOCK  747277101      92899        685600
SH    SOLE           685600      0      0
QLT PHOTOTHERAPEUTICS INC     COMMON STOCK  746927102       2240         40550
SH    SOLE            40550      0      0
QRS CORP                      COMMON STOCK  74726X105      16600        220600
SH    SOLE           220600      0      0
QUAKER OATS CO                COMMON STOCK  747402105      35981        593500
SH    SOLE           593500      0      0
QUALCOMM INC                  COMMON STOCK  747525103     322933       2162800
SH    SOLE          2162800      0      0
QUANTA SERVICES INC           COMMON STOCK  74762E102      12216        201300
SH    SOLE           201300      0      0
QUANTUM CORP DSSG             COMMON STOCK  747906204      14296       1197600
SH    SOLE          1197600      0      0
QUESTAR CORP                  COMMON STOCK  748356102      11067        596200
SH    SOLE           596200      0      0
QUINTILES TRANSNATIONAL       COMMON STOCK  748767100      33712       1975770
SH    SOLE          1975770      0      0
QUORUM HEALTH GROUP INC       COMMON STOCK  749084109       4948        491700
SH    SOLE           491700      0      0
R & B FALCON CORP             COMMON STOCK  74912E101       1648         83700
SH    SOLE            83700      0      0
RADIAN GROUP INC              COMMON STOCK  750236101       6477        136000
SH    SOLE           136000      0      0
RADIO ONE INC                 COMMON STOCK  75040P108       6583         98800
SH    SOLE            98800      0      0
RADISYS CORP                  COMMON STOCK  750459109       9824        163400
SH    SOLE           163400      0      0
RADWARE LTD                   COMMON STOCK  M81873107        667         17200
SH    SOLE            17200      0      0
RAINBOW TECHNOLOGIES INC      COMMON STOCK  750862104        908         24300
SH    SOLE            24300      0      0
RALSTON-RALSTON PURINA GR     COMMON STOCK  751277302      28919       1051600
SH    SOLE          1051600      0      0
RARE HOSPITALITY INTL INC     COMMON STOCK  753820109       1493         76800
SH    SOLE            76800      0      0
RATIONAL SOFTWARE CORP        COMMON STOCK  75409P202      50130        655300
SH    SOLE           655300      0      0
RAVISENT TECHNOLOGIES INC     COMMON STOCK  754440105        778         56084
SH    SOLE            56084      0      0
RAYONIER INC                  COMMON STOCK  754907103       9809        201200
SH    SOLE           201200      0      0
RAYTHEON CO-CL A              COMMON STOCK  755111309       3823        203200
SH    SOLE           203200      0      0
RAYTHEON CO-CL B              COMMON STOCK  755111408      26359       1485000
SH    SOLE          1485000      0      0
RAZORFISH INC                 COMMON STOCK  755236106        633         23000
SH    SOLE            23000      0      0
READERS DIGEST ASSN-CL A      COMMON STOCK  755267101      27610        780500
SH    SOLE           780500      0      0
REALNETWORKS INC              COMMON STOCK  75605L104       1008         17700
SH    SOLE            17700      0      0
REEBOK INTERNATIONAL          COMMON STOCK  758110100       1520        164300
SH    SOLE           164300      0      0
REGENT COMMUNICATIONS INC     COMMON STOCK  758865109       1733        140000
SH    SOLE           140000      0      0
REGIONS FINANCIAL CORP        COMMON STOCK  758940100      14398        631140
SH    SOLE           631140      0      0
REHABCARE GROUP INC           COMMON STOCK  759148109        642         26000
SH    SOLE            26000      0      0
RELIANT ENERGY INC            COMMON STOCK  75952J108      21960        931984
SH    SOLE           931984      0      0
RELIASTAR FINANCIAL CORP      COMMON STOCK  75952U103      22026        650200
SH    SOLE           650200      0      0
REMEDY CORP                   COMMON STOCK  759548100       8766        208100
SH    SOLE           208100      0      0
REMEDYTEMP INC-CL A           COMMON STOCK  759549108        746         33700
SH    SOLE            33700      0      0
RENAISSANCERE HLDGS LTD       COMMON STOCK  G7496G103       9835        240600
SH    SOLE           240600      0      0
RENT-A-CENTER INC             COMMON STOCK  76009N100       4005        267000
SH    SOLE           267000      0      0
RENT-WAY INC                  COMMON STOCK  76009U104       4085        209500
SH    SOLE           209500      0      0
REPSOL S A-SP ADR             FOREIGN STOCK 76026T205      35168       1650100
SH    SOLE          1650100      0      0
REPUBLIC BANCORP              COMMON STOCK  760282103       1023        109450
SH    SOLE           109450      0      0
RESTORATION HARDWARE INC      COMMON STOCK  760981100       1703        324300
SH    SOLE           324300      0      0
REUTERS GRP PLC - ADR         FOREIGN STOCK 76132M102        176          1473
SH    SOLE             1473      0      0
REYNOLDS & REYNOLDS-CL A      COMMON STOCK  761695105      15271        565600
SH    SOLE           565600      0      0
REYNOLDS METALS CO            COMMON STOCK  761763101      13609        203500
SH    SOLE           203500      0      0
RF MICRO DEVICES INC          COMMON STOCK  749941100      11395         84800
SH    SOLE            84800      0      0
RITCHIE BROS AUCTIONEERS      COMMON STOCK  767744105        775         30400
SH    SOLE            30400      0      0
RITE AID CORP                 COMMON STOCK  767754104       3883        690300
SH    SOLE           690300      0      0
RJ REYNOLDS TOBACCO HLDGS     COMMON STOCK  76182K105      13412        788933
SH    SOLE           788933      0      0
ROBERT HALF INTL INC          COMMON STOCK  770323103      33459        705500
SH    SOLE           705500      0      0
ROCKWELL INTL CORP            COMMON STOCK  773903109      60670       1451000
SH    SOLE          1451000      0      0
ROGERS COMMUNICATIONS B       FOREIGN STOCK 775109200        987         33100
SH    SOLE            33100      0      0
ROHM & HAAS CO                COMMON STOCK  775371107      35334        791800
SH    SOLE           791800      0      0
ROLLINS INC                   COMMON STOCK  775711104       2987        200800
SH    SOLE           200800      0      0
ROMAC INTERNATIONAL INC       COMMON STOCK  775835101       1288        142100
SH    SOLE           142100      0      0
ROSS STORES INC               COMMON STOCK  778296103      18194        756100
SH    SOLE           756100      0      0
ROSTELECOM-SP ADR             FOREIGN STOCK 778529107       3896        164060
SH    SOLE           164060      0      0
ROWAN COMPANIES INC           COMMON STOCK  779382100      13862        470900
SH    SOLE           470900      0      0
ROYAL DUTCH PETRO-NY SH       COMMON STOCK  780257804     396438       6857300
SH    SOLE          6857300      0      0
RPM INC                       COMMON STOCK  749685103       8514        774045
SH    SOLE           774045      0      0
RSA SECURITY INC              COMMON STOCK  749719100        653         12600
SH    SOLE            12600      0      0
RUDDICK CORP                  COMMON STOCK  781258108       3368        307900
SH    SOLE           307900      0      0
RURAL CELLULAR CORP           COMMON STOCK  781904107       1784         26400
SH    SOLE            26400      0      0
RUSSELL CORP                  COMMON STOCK  782352108       1192         83300
SH    SOLE            83300      0      0
RYDER SYSTEM INC              COMMON STOCK  783549108       3414        150500
SH    SOLE           150500      0      0
RYERSON TULL INC              COMMON STOCK  78375P107       2626        169400
SH    SOLE           169400      0      0
S3 INC                        COMMON STOCK  784849101       2125        101200
SH    SOLE           101200      0      0
SABRE HOLDINGS CORP           COMMON STOCK  785905100      41273       1130774
SH    SOLE          1130774      0      0
SAFECO CORP                   COMMON STOCK  786429100      16873        635200
SH    SOLE           635200      0      0
SAFEGUARD SCIENTIFICS INC     COMMON STOCK  786449108        497          7200
SH    SOLE             7200      0      0
SAFEWAY INC                   COMMON STOCK  786514208      82563       1824600
SH    SOLE          1824600      0      0
SAGA SYSTEMS INC              COMMON STOCK  786610105       1073         30000
SH    SOLE            30000      0      0
SAKS INC                      COMMON STOCK  79377W108      15728       1084680
SH    SOLE          1084680      0      0
SANDISK CORP                  COMMON STOCK  80004C101      28040        228900
SH    SOLE           228900      0      0
SANMINA CORP                  COMMON STOCK  800907107     118437       1753000
SH    SOLE          1753000      0      0
SANTA FE SNYDER CORP          COMMON STOCK  80218K105      12182       1282300
SH    SOLE          1282300      0      0
SARA LEE CORP                 COMMON STOCK  803111103      59231       3290600
SH    SOLE          3290600      0      0
SAWTEK INC                    COMMON STOCK  805468105      17566        334200
SH    SOLE           334200      0      0
SBC COMMUNICATIONS INC        COMMON STOCK  78387G103     446380      10596561
SH    SOLE         10596561      0      0
SBS BROADCASTING SA           COMMON STOCK  L8137F102       2183         35500
SH    SOLE            35500      0      0
SBS TECHNOLOGIES INC          COMMON STOCK  78387P103        903         31400
SH    SOLE            31400      0      0
SCANA CORP                    COMMON STOCK  80589M102      18493        752900
SH    SOLE           752900      0      0
SCANSOURCE INC                COMMON STOCK  806037107       5233        147400
SH    SOLE           147400      0      0
SCHEIN PHARMACEUTICAL INC     COMMON STOCK  806416103        431         26200
SH    SOLE            26200      0      0
SCHERING-PLOUGH CORP          COMMON STOCK  806605101     231571       6237600
SH    SOLE          6237600      0      0
SCHLUMBERGER LTD              COMMON STOCK  806857108     122577       1602316
SH    SOLE          1602316      0      0
SCHOLASTIC CORP               COMMON STOCK  807066105       6586        122100
SH    SOLE           122100      0      0
SCHULMAN (A) INC              COMMON STOCK  808194104       2768        208937
SH    SOLE           208937      0      0
SCHWAB (CHARLES) CORP         COMMON STOCK  808513105     126112       2219800
SH    SOLE          2219800      0      0
SCI SYSTEM INC                COMMON STOCK  783890106      57319       1066400
SH    SOLE          1066400      0      0
SCIENTIFIC-ATLANTA INC        COMMON STOCK  808655104      31941        505000
SH    SOLE           505000      0      0
SCIQUEST.COM INC              COMMON STOCK  80908Q107        443         17200
SH    SOLE            17200      0      0
SEAGATE TECHNOLOGY            COMMON STOCK  811804103      43331        701720
SH    SOLE           701720      0      0
SEAGRAM CO LTD                COMMON STOCK  811850106      84317       1417100
SH    SOLE          1417100      0      0
SEALED AIR CORP               COMMON STOCK  81211K100      18570        341904
SH    SOLE           341904      0      0
SEARS ROEBUCK & CO            COMMON STOCK  812387108      39497       1289700
SH    SOLE          1289700      0      0
SEITEL INC                    COMMON STOCK  816074306       1939        244300
SH    SOLE           244300      0      0
SELECTICA INC                 COMMON STOCK  816288104        459          5200
SH    SOLE             5200      0      0
SEMPRA ENERGY                 COMMON STOCK  816851109      11572        690875
SH    SOLE           690875      0      0
SEMTECH CORP                  COMMON STOCK  816850101       4004         62500
SH    SOLE            62500      0      0
SENSORMATIC ELECTRONICS       COMMON STOCK  817265101      30183       1345200
SH    SOLE          1345200      0      0
SEPRACOR INC                  COMMON STOCK  817315104      35343        485400
SH    SOLE           485400      0      0
SEQUA CORP-CL A               COMMON STOCK  817320104       2980         75200
SH    SOLE            75200      0      0
SEQUENOM INC                  COMMON STOCK  817337108        556         14120
SH    SOLE            14120      0      0
SERVICE CORP INTL             COMMON STOCK  817565104       4346       1448600
SH    SOLE          1448600      0      0
SFX ENTERTAINMENT CL A        COMMON STOCK  784178105      15774        386500
SH    SOLE           386500      0      0
SHARED MEDICAL SYSTEMS        COMMON STOCK  819486101       4529         87300
SH    SOLE            87300      0      0
SHAW INDUSTRIES INC           COMMON STOCK  820286102      14665        965600
SH    SOLE           965600      0      0
SHELL TRANS & TRADING-ADR     FOREIGN STOCK 822703609       5544        113000
SH    SOLE           113000      0      0
SHERWIN-WILLIAMS CO           COMMON STOCK  824348106       9839        444700
SH    SOLE           444700      0      0
SIEBEL SYSTEMS INC            COMMON STOCK  826170102     174196       1458470
SH    SOLE          1458470      0      0
SIERRA PACIFIC RESOURCES      COMMON STOCK  826428104       7139        571100
SH    SOLE           571100      0      0
SIGMA-ALDRICH CORP            COMMON STOCK  826552101       6692        249000
SH    SOLE           249000      0      0
SILICON GRAPHICS              COMMON STOCK  827056102       4426        419000
SH    SOLE           419000      0      0
SILICON STORAGE TECH          COMMON STOCK  827057100      16954        229500
SH    SOLE           229500      0      0
SILICON VALLEY BANCSHRS       COMMON STOCK  827064106        970         13500
SH    SOLE            13500      0      0
SIMON PROPERTY SER B-PFD      COMMON STOCK  828806406      11833        170875
SH    SOLE           170875      0      0
SITEL CORP                    COMMON STOCK  82980K107        417         60600
SH    SOLE            60600      0      0
SLI INC                       COMMON STOCK  78442T108       1700        100000
SH    SOLE           100000      0      0
SLM HOLDING CORP              COMMON STOCK  78442A109      49736       1493000
SH    SOLE          1493000      0      0
SMARTFORCE PLC-SP ADR         COMMON STOCK  83170A206       2257         49200
SH    SOLE            49200      0      0
SMITH INTERNATIONAL INC       COMMON STOCK  832110100      27497        354800
SH    SOLE           354800      0      0
SMITHFIELD FOODS INC          COMMON STOCK  832248108       5760        288000
SH    SOLE           288000      0      0
SMUCKER (J M) CO              COMMON STOCK  832696108       3978        221000
SH    SOLE           221000      0      0
SMURFIT-STONE CONTAINER       COMMON STOCK  832727101       2761        163000
SH    SOLE           163000      0      0
SNAP-ON INC                   COMMON STOCK  833034101       4536        173200
SH    SOLE           173200      0      0
SOLECTRON CORP                COMMON STOCK  834182107     169693       4229120
SH    SOLE          4229120      0      0
SOLUTIA INC                   COMMON STOCK  834376105      11182        836000
SH    SOLE           836000      0      0
SONICWALL INC                 COMMON STOCK  835470105       1746         26200
SH    SOLE            26200      0      0
SONOCO PRODUCTS CO            COMMON STOCK  835495102      16993        738824
SH    SOLE           738824      0      0
SONY CORP-SP ADR              FOREIGN STOCK 835699307      41851        149400
SH    SOLE           149400      0      0
SOTHEBYS  HLDS-CL A           COMMON STOCK  835898107       8048        429200
SH    SOLE           429200      0      0
SOUTHDOWN INC                 COMMON STOCK  841297104      17899        302100
SH    SOLE           302100      0      0
SOUTHERN CO                   COMMON STOCK  842587107      40740       1873100
SH    SOLE          1873100      0      0
SOUTHTRUST CORP               COMMON STOCK  844730101      14085        553700
SH    SOLE           553700      0      0
SOUTHWEST AIRLINES CO         COMMON STOCK  844741108      30065       1444587
SH    SOLE          1444587      0      0
SOVEREIGN BANCORP INC         COMMON STOCK  845905108      13918       1840400
SH    SOLE          1840400      0      0
SPANISH BROADCASTING SYS      COMMON STOCK  846425882        712         30350
SH    SOLE            30350      0      0
SPECTRALINK CORP              COMMON STOCK  847580107        666         37000
SH    SOLE            37000      0      0
SPRINGS INDUSTRIES-CL A       COMMON STOCK  851783100       3439         90500
SH    SOLE            90500      0      0
SPRINT CORP (FON GROUP)       COMMON STOCK  852061100     273227       4319800
SH    SOLE          4319800      0      0
SPRINT CORP (PCS GROUP)       COMMON STOCK  852061506     167542       2557900
SH    SOLE          2557900      0      0
SPSS INC                      COMMON STOCK  78462K102       5772        181800
SH    SOLE           181800      0      0
SPX CORPORATION               COMMON STOCK  784635104      25750        226001
SH    SOLE           226001      0      0
ST JOE CORP (THE)             COMMON STOCK  790148100       8681        300000
SH    SOLE           300000      0      0
ST JUDE MEDICAL INC           COMMON STOCK  790849103       6861        265797
SH    SOLE           265797      0      0
ST PAUL COMPANIES             COMMON STOCK  792860108      37700       1104760
SH    SOLE          1104760      0      0
STANDARD REGISTER CO          COMMON STOCK  853887107       2535        196900
SH    SOLE           196900      0      0
STANLEY WORKS                 COMMON STOCK  854616109       6736        255400
SH    SOLE           255400      0      0
STAPLES INC                   COMMON STOCK  855030102      23944       1197187
SH    SOLE          1197187      0      0
STARBUCKS CORP                COMMON STOCK  855244109      61716       1377200
SH    SOLE          1377200      0      0
STARWOOD HOTELS & RESORTS     COMMON STOCK  85590A203       1826         70900
SH    SOLE            70900      0      0
STATE STREET CORP             COMMON STOCK  857477103      47343        488700
SH    SOLE           488700      0      0
STATION CASINOS INC           COMMON STOCK  857689103       1736         79600
SH    SOLE            79600      0      0
STERIS CORP                   COMMON STOCK  859152100       4651        453800
SH    SOLE           453800      0      0
STERLING SOFTWARE INC         COMMON STOCK  859547101      19506        595600
SH    SOLE           595600      0      0
STEWART & STEVENSON SERV      COMMON STOCK  860342104       1960        174200
SH    SOLE           174200      0      0
STEWART ENTERPRISES CL A      COMMON STOCK  860370105       3597        728600
SH    SOLE           728600      0      0
STMICROELECTRONICS NV         FOREIGN STOCK 861012102      48744        260400
SH    SOLE           260400      0      0
STORAGE TECHNOLOGY CORP       COMMON STOCK  862111200      11653        731164
SH    SOLE           731164      0      0
STRUCTURAL DYNAMICS RES       COMMON STOCK  863555108       7011        519363
SH    SOLE           519363      0      0
STRYKER CORP                  COMMON STOCK  863667101      48895        701000
SH    SOLE           701000      0      0
SUIZA FOODS CORP              COMMON STOCK  865077101       8952        222400
SH    SOLE           222400      0      0
SUMMIT BANCORP                COMMON STOCK  866005101      13113        499550
SH    SOLE           499550      0      0
SUN MICROSYSTEMS INC          COMMON STOCK  866810104     489466       5223580
SH    SOLE          5223580      0      0
SUNGARD DATA SYSTEMS          COMMON STOCK  867363103      40419       1070700
SH    SOLE          1070700      0      0
SUNOCO INC                    COMMON STOCK  86764P109       7450        272133
SH    SOLE           272133      0      0
SUNTRUST BANKS INC            COMMON STOCK  867914103      64903       1123864
SH    SOLE          1123864      0      0
SUPERGEN INC                  COMMON STOCK  868059106        994         20700
SH    SOLE            20700      0      0
SUPERIOR INDUSTRIES INC       COMMON STOCK  868168105       6184        195150
SH    SOLE           195150      0      0
SUPERVALU INC                 COMMON STOCK  868536103       6194        327100
SH    SOLE           327100      0      0
SWIFT TRANSPORTATION CO       COMMON STOCK  870756103      10793        526500
SH    SOLE           526500      0      0
SYBASE INC                    COMMON STOCK  871130100      15062        741500
SH    SOLE           741500      0      0
SYBRON INTL CORP              COMMON STOCK  87114F106      21823        752500
SH    SOLE           752500      0      0
SYKES ENTERPRISES INC         COMMON STOCK  871237103       6014        315500
SH    SOLE           315500      0      0
SYLVAN LEARNING SYSTEMS       COMMON STOCK  871399101       6710        421000
SH    SOLE           421000      0      0
SYMANTEC CORP                 COMMON STOCK  871503108      35271        469500
SH    SOLE           469500      0      0
SYMBOL TECHNOLOGIES INC       COMMON STOCK  871508107      53357        648225
SH    SOLE           648225      0      0
SYNBIOTICS CORP               COMMON STOCK  871566105        153         43600
SH    SOLE            43600      0      0
SYNOPSYS INC                  COMMON STOCK  871607107      24468        501900
SH    SOLE           501900      0      0
SYNOVUS FINANCIAL CORP        COMMON STOCK  87161C105      14165        750450
SH    SOLE           750450      0      0
SYNTHETECH INC                COMMON STOCK  87162E100       1381        329800
SH    SOLE           329800      0      0
SYSCO CO                      COMMON STOCK  871829107      41977       1162000
SH    SOLE          1162000      0      0
TALBOTS INC                   COMMON STOCK  874161102       2908         49400
SH    SOLE            49400      0      0
TALISMAN ENERGY INC           COMMON STOCK  87425E103      10094        353400
SH    SOLE           353400      0      0
TALK CITY INC                 COMMON STOCK  874263106          0        159323
SH    SOLE           159323      0      0
TANDY CORP                    COMMON STOCK  875382103      25778        507936
SH    SOLE           507936      0      0
TARGET CORP                   COMMON STOCK  87612E106     117658       1574021
SH    SOLE          1574021      0      0
TCF FINANCIAL CORP            COMMON STOCK  872275102      14909        626100
SH    SOLE           626100      0      0
TD WATERHOUSE GROUP           COMMON STOCK  872362108       2898        115900
SH    SOLE           115900      0      0
TECH DATA CORP                COMMON STOCK  878237106      13926        423600
SH    SOLE           423600      0      0
TECHNE CORP                   COMMON STOCK  878377100       9474        137300
SH    SOLE           137300      0      0
TECO ENERGY                   COMMON STOCK  872375100      19006        977800
SH    SOLE           977800      0      0
TECUMSEH PRODUCTS-CL A        COMMON STOCK  878895200       6340        144100
SH    SOLE           144100      0      0
TEKELEC                       COMMON STOCK  879101103       2331         62800
SH    SOLE            62800      0      0
TEKTRONIX INC                 COMMON STOCK  879131100       8660        154650
SH    SOLE           154650      0      0
TELE NORTE LESTE PART-ADR     FOREIGN STOCK 879246106       7886        296200
SH    SOLE           296200      0      0
TELEBRAS-SPONS ADR            FOREIGN STOCK 879287308       9613         64300
SH    SOLE            64300      0      0
TELEDYNE TECHNOLOGIES INC     COMMON STOCK  879360105          0             5
SH    SOLE                5      0      0
TELEFLEX INC                  COMMON STOCK  879369106       9919        280400
SH    SOLE           280400      0      0
TELEFONICA DE ARGENTINA       FOREIGN STOCK 879378206       5785        147400
SH    SOLE           147400      0      0
TELEFONOS DE MEXICO S A       FOREIGN STOCK 879403780       5070         76100
SH    SOLE            76100      0      0
TELEGLOBE INC                 FOREIGN STOCK 87941V100        388         14100
SH    SOLE            14100      0      0
TELEPHONE & DATA SYSTEMS      COMMON STOCK  879433100      50838        458000
SH    SOLE           458000      0      0
TELLABS INC                   COMMON STOCK  879664100      71918       1141833
SH    SOLE          1141833      0      0
TEMPLE-INLAND INC             COMMON STOCK  879868107       9410        188900
SH    SOLE           188900      0      0
TENET HEALTHCARE CORP         COMMON STOCK  88033G100      74058       3185300
SH    SOLE          3185300      0      0
TERADYNE INC                  COMMON STOCK  880770102      65051        793300
SH    SOLE           793300      0      0
TETRA TECH INC                COMMON STOCK  88162G103       9513        400535
SH    SOLE           400535      0      0
TEVA PHARMACEUTICAL-ADR       COMMON STOCK  881624209       9216        247000
SH    SOLE           247000      0      0
TEXACO INC                    COMMON STOCK  881694103      97383       1811772
SH    SOLE          1811772      0      0
TEXAS INSTRUMENTS INC         COMMON STOCK  882508104     483324       3020776
SH    SOLE          3020776      0      0
TEXAS UTILITIES CO            COMMON STOCK  882848104      29633        998177
SH    SOLE           998177      0      0
TEXTRON INC                   COMMON STOCK  883203101      66956       1099900
SH    SOLE          1099900      0      0
THE PMI GROUP INC             COMMON STOCK  69344M101      18726        394750
SH    SOLE           394750      0      0
THERMA-WAVE INC               COMMON STOCK  88343A108       1326         39000
SH    SOLE            39000      0      0
THERMO ELECTRON CORP          COMMON STOCK  883556102       8549        419587
SH    SOLE           419587      0      0
THOMAS & BETTS CORP           COMMON STOCK  884315102       3387        119900
SH    SOLE           119900      0      0
THQ INC                       COMMON STOCK  872443403        550         30750
SH    SOLE            30750      0      0
THREE-FIVE SYSTEMS INC        COMMON STOCK  88554L108       3720         62000
SH    SOLE            62000      0      0
TIDEWATER INC                 COMMON STOCK  886423102      13053        410300
SH    SOLE           410300      0      0
TIFFANY & CO                  COMMON STOCK  886547108      54853        655945
SH    SOLE           655945      0      0
TIME WARNER INC               COMMON STOCK  887315109     517100       5171000
SH    SOLE          5171000      0      0
TIMES MIRROR CO CL A          COMMON STOCK  887364107      15669        168600
SH    SOLE           168600      0      0
TIMKEN CO                     COMMON STOCK  887389104       2602        160100
SH    SOLE           160100      0      0
TITAN CORP                    COMMON STOCK  888266103      11567        226800
SH    SOLE           226800      0      0
TITAN INTERNATIONAL INC       COMMON STOCK  88830M102        164         22800
SH    SOLE            22800      0      0
TITAN PHARMACEUTICALS INC     COMMON STOCK  888314101       5069        163500
SH    SOLE           163500      0      0
TJX COMPANIES INC             COMMON STOCK  872540109      26510       1194800
SH    SOLE          1194800      0      0
TMP WORLDWIDE INC             COMMON STOCK  872941109       2923         37600
SH    SOLE            37600      0      0
TOLLGRADE COMMUNICATIONS      COMMON STOCK  889542106       9413        177600
SH    SOLE           177600      0      0
TOMMY HILFIGER                COMMON STOCK  G8915Z102       5728        395000
SH    SOLE           395000      0      0
TOO INC                       COMMON STOCK  890333107       1111         35200
SH    SOLE            35200      0      0
TOPPS COMPANY (THE)           COMMON STOCK  890786106       1391        167300
SH    SOLE           167300      0      0
TORCHMARK CORP                COMMON STOCK  891027104       8619        372700
SH    SOLE           372700      0      0
TOSCO CORP                    COMMON STOCK  891490302      16289        531900
SH    SOLE           531900      0      0
TOTAL RENAL CARE HLDGS        COMMON STOCK  89151A107       1665        532800
SH    SOLE           532800      0      0
TOYS R US INC                 COMMON STOCK  892335100      14727        994250
SH    SOLE           994250      0      0
TRANSACTION SYS ARCHITECT     COMMON STOCK  893416107      11299        391300
SH    SOLE           391300      0      0
TRANSOCEAN SEDCO FOREX        COMMON STOCK  G90078109      36118        703876
SH    SOLE           703876      0      0
TRANSWITCH CORP               COMMON STOCK  894065101      42946        446775
SH    SOLE           446775      0      0
TRAVELERS PROP CASUAL-CLA     COMMON STOCK  893939108        573         13900
SH    SOLE            13900      0      0
TRIBUNE COMPANY               COMMON STOCK  896047107      27513        752500
SH    SOLE           752500      0      0
TRICON GLOBAL RESTAURANTS     COMMON STOCK  895953107      13155        423485
SH    SOLE           423485      0      0
TRIGON HEALTHCARE INC         COMMON STOCK  89618L100      11369        318000
SH    SOLE           318000      0      0
TRINITY INDUSTRIES INC        COMMON STOCK  896522109       6467        273000
SH    SOLE           273000      0      0
TRIPOS INC                    COMMON STOCK  896928108       3537        134100
SH    SOLE           134100      0      0
TRIQUINT SEMICONDUCTOR        COMMON STOCK  89674K103      36574        497600
SH    SOLE           497600      0      0
TRW INC                       COMMON STOCK  872649108      19030        325300
SH    SOLE           325300      0      0
TSI INTL SOFTWARE LTD         COMMON STOCK  872879101       1287         15500
SH    SOLE            15500      0      0
TULARIK INC                   COMMON STOCK  899165104        312         10100
SH    SOLE            10100      0      0
TUPPERWARE CORP               COMMON STOCK  899896104       3060        193500
SH    SOLE           193500      0      0
TUT SYSTEMS INC               COMMON STOCK  901103101       7034        118100
SH    SOLE           118100      0      0
TV GUIDE INC-CL A             COMMON STOCK  87307Q109       1394         29000
SH    SOLE            29000      0      0
TYCO INTERNATIONAL LTD        COMMON STOCK  902124106     413222       8243835
SH    SOLE          8243835      0      0
TYSON FOODS INC-CL A          COMMON STOCK  902494103      20349       1829150
SH    SOLE          1829150      0      0
U S BANCORP                   COMMON STOCK  902973106      48647       2223853
SH    SOLE          2223853      0      0
UAL CORP                      COMMON STOCK  902549500       2656         43900
SH    SOLE            43900      0      0
UCAR INTERNATIONAL            COMMON STOCK  90262K109       4725        358300
SH    SOLE           358300      0      0
ULTRAMAR DIAMOND SHAMROCK     COMMON STOCK  904000106      20660        814176
SH    SOLE           814176      0      0
UN PLANTERS CORP              COMMON STOCK  908068109      12260        397900
SH    SOLE           397900      0      0
UNICOM CORP                   COMMON STOCK  904911104      26054        713800
SH    SOLE           713800      0      0
UNIFI INC                     COMMON STOCK  904677101       3624        405450
SH    SOLE           405450      0      0
UNIFY CORP                    COMMON STOCK  904743101       2199        107600
SH    SOLE           107600      0      0
UNILEVER N V - NY SHARES      COMMON STOCK  904784709      88893       1847128
SH    SOLE          1847128      0      0
UNION CARBIDE CORP            COMMON STOCK  905581104      25284        433600
SH    SOLE           433600      0      0
UNION PACIFIC CORP            COMMON STOCK  907818108      32427        828800
SH    SOLE           828800      0      0
UNION PACIFIC RESOURCES       COMMON STOCK  907834105      10701        737968
SH    SOLE           737968      0      0
UNIONBANCAL CORP              COMMON STOCK  908906100       3478        126200
SH    SOLE           126200      0      0
UNIROYAL TECHNOLOGY CORP      COMMON STOCK  909163107       4296         91400
SH    SOLE            91400      0      0
UNISYS CORP                   COMMON STOCK  909214108      21989        856000
SH    SOLE           856000      0      0
UNITED HEALTHCARE CORP        COMMON STOCK  910581107      51242        859400
SH    SOLE           859400      0      0
UNITED PAN-EUROPE             FOREIGN STOCK 911300200         89          1800
SH    SOLE             1800      0      0
UNITED RENTALS INC            COMMON STOCK  911363109       4713        273200
SH    SOLE           273200      0      0
UNITED STATIONERS INC         COMMON STOCK  913004107       1303         36500
SH    SOLE            36500      0      0
UNITED TECHNOLOGIES CORP      COMMON STOCK  913017109     196794       3114444
SH    SOLE          3114444      0      0
UNITEDGLOBALCOM INC CL A      COMMON STOCK  913247508        278          3700
SH    SOLE             3700      0      0
UNITRIN INC                   COMMON STOCK  913275103      20435        514100
SH    SOLE           514100      0      0
UNIVERSAL CORP                COMMON STOCK  913456109       3397        225500
SH    SOLE           225500      0      0
UNIVERSAL FOODS CORP          COMMON STOCK  913538104       7443        348200
SH    SOLE           348200      0      0
UNIVERSAL HEALTH SVC-CL B     COMMON STOCK  913903100       1764         36000
SH    SOLE            36000      0      0
UNIVISION COMMUNICATIONS      COMMON STOCK  914906102      83677        740500
SH    SOLE           740500      0      0
UNOCAL CORP                   COMMON STOCK  915289102      49248       1655400
SH    SOLE          1655400      0      0
UNOVA INC                     COMMON STOCK  91529B106       1295         95900
SH    SOLE            95900      0      0
UNUMPROVIDENT CORP            COMMON STOCK  91529Y106      15346        906030
SH    SOLE           906030      0      0
US FOOD SERVICE INC           COMMON STOCK  90331R101      24457        949800
SH    SOLE           949800      0      0
US ONCOLOGY INC               COMMON STOCK  90338W103        456        101300
SH    SOLE           101300      0      0
US CELLULAR                   COMMON STOCK  911684108       1065         15000
SH    SOLE            15000      0      0
US AIRWAYS GROUP INC          COMMON STOCK  911905107       4831        173700
SH    SOLE           173700      0      0
US WEST INC                   COMMON STOCK  91273H101     132647       1826460
SH    SOLE          1826460      0      0
USA NETWORKS INC              COMMON STOCK  902984103      17590        779600
SH    SOLE           779600      0      0
USG CORP                      COMMON STOCK  903293405      18897        450600
SH    SOLE           450600      0      0
USINTERNETWORKING INC         COMMON STOCK  917311805       6960        179625
SH    SOLE           179625      0      0
UST INC                       COMMON STOCK  902911106       7086        453500
SH    SOLE           453500      0      0
USX-MARATHON GROUP            COMMON STOCK  902905827      23808        913500
SH    SOLE           913500      0      0
USX-U S STEEL GROUP INC       COMMON STOCK  90337T101       8619        344740
SH    SOLE           344740      0      0
UTILICORP UNITED INC          COMMON STOCK  918005109      13658        756150
SH    SOLE           756150      0      0
VALASSIS COMMUNICATIONS       COMMON STOCK  918866104      13558        407000
SH    SOLE           407000      0      0
VALERO ENERGY CORP            COMMON STOCK  91913Y100      12720        414500
SH    SOLE           414500      0      0
VARCO INTERNATIONAL INC       COMMON STOCK  922126107       6483        513500
SH    SOLE           513500      0      0
VARIAN MEDICAL SYSTEMS        COMMON STOCK  92220P105       2893         63400
SH    SOLE            63400      0      0
VARIAN INC                    COMMON STOCK  922206107      14057        366300
SH    SOLE           366300      0      0
VARIAN SEMICONDUCTER EQUP     COMMON STOCK  922207105       4530         71200
SH    SOLE            71200      0      0
VEECO INSTRUMENTS INC         COMMON STOCK  922417100       3700         50000
SH    SOLE            50000      0      0
VENTANA MEDICAL SYSTEMS       COMMON STOCK  92276H106        626         14500
SH    SOLE            14500      0      0
VERIO INC                     COMMON STOCK  923433106      28697        636833
SH    SOLE           636833      0      0
VERISIGN INC                  COMMON STOCK  92343E102       2183         14600
SH    SOLE            14600      0      0
VERITAS SOFTWARE CORP         COMMON STOCK  923436109     352439       2690371
SH    SOLE          2690371      0      0
VERTEX PHARMACEUTICALS        COMMON STOCK  92532F100       1119         23900
SH    SOLE            23900      0      0
VERTICALNET INC               COMMON STOCK  92532L107       6038         44400
SH    SOLE            44400      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      14601        606800
SH    SOLE           606800      0      0
VIACOM INC-CL B               COMMON STOCK  925524308     130431       2472624
SH    SOLE          2472624      0      0
VIAD CORP                     COMMON STOCK  92552R109      15793        690400
SH    SOLE           690400      0      0
VIANT CORP                    COMMON STOCK  92553N107        938         28000
SH    SOLE            28000      0      0
VIASYSTEMS GROUP INC          COMMON STOCK  92553H100       5276        340400
SH    SOLE           340400      0      0
VIATEL INC                    COMMON STOCK  925529208      12848        256000
SH    SOLE           256000      0      0
VICINITY CORP                 COMMON STOCK  925653107       1981         57000
SH    SOLE            57000      0      0
VIRATA CORP                   COMMON STOCK  927646109        390          3900
SH    SOLE             3900      0      0
VISHAY INTERTECHNOLOGY        COMMON STOCK  928298108      37236        669403
SH    SOLE           669403      0      0
VISIBLE GNEETICS INC          COMMON STOCK  92829S104       1806         48800
SH    SOLE            48800      0      0
VISUAL NETWORKS INC           COMMON STOCK  928444108       1084         19100
SH    SOLE            19100      0      0
VISX INC                      COMMON STOCK  92844S105       9278        508400
SH    SOLE           508400      0      0
VITESSE SEMICONDUCTOR CP      COMMON STOCK  928497106     110524       1148300
SH    SOLE          1148300      0      0
VULCAN MATERIALS              COMMON STOCK  929160109      11966        261200
SH    SOLE           261200      0      0
W R GRACE & CO                COMMON STOCK  38388F108       2536        197000
SH    SOLE           197000      0      0
WACHOVIA CORP                 COMMON STOCK  929771103      40092        593410
SH    SOLE           593410      0      0
WADDELL & REED FINL CL A      COMMON STOCK  930059100       2560         60500
SH    SOLE            60500      0      0
WALGREEN CO                   COMMON STOCK  931422109      70699       2745600
SH    SOLE          2745600      0      0
WALLACE COMPUTER SERVICES     COMMON STOCK  932270101       3303        279600
SH    SOLE           279600      0      0
WAL-MART STORES INC           COMMON STOCK  931142103     811395      14360981
SH    SOLE         14360981      0      0
WALT DISNEY CO (THE)          COMMON STOCK  254687106     316467       7671939
SH    SOLE          7671939      0      0
WARNACO GROUP INC-CL A        COMMON STOCK  934390105       4268        361300
SH    SOLE           361300      0      0
WARNER-LAMBERT CO             COMMON STOCK  934488107     354137       3625204
SH    SOLE          3625204      0      0
WARRANTS MICRTEL INTL         COMMON STOCK  59514K928          0         11730
SH    SOLE            11730      0      0
WASHINGTON FEDERAL INC        COMMON STOCK  938824109         51          2700
SH    SOLE             2700      0      0
WASHINGTON GAS LIGHT          COMMON STOCK  938837101       9203        338500
SH    SOLE           338500      0      0
WASHINGTON MUTUAL INC         COMMON STOCK  939322103      65228       2461433
SH    SOLE          2461433      0      0
WASHINGTON POST-CL B          COMMON STOCK  939640108      38086         70400
SH    SOLE            70400      0      0
WASTE MANAGEMENT INC          COMMON STOCK  94106L109      48098       3513990
SH    SOLE          3513990      0      0
WATER PIK TECHNOLOGIES        COMMON STOCK  94113U100          0             5
SH    SOLE                5      0      0
WATERS CORP                   COMMON STOCK  941848103      50025        525200
SH    SOLE           525200      0      0
WATSON PHARMACEUTICAL INC     COMMON STOCK  942683103      15597        393000
SH    SOLE           393000      0      0
WAUSAU-MOSINEE PAPER CORP     COMMON STOCK  943315101       4544        351222
SH    SOLE           351222      0      0
WEATHERFORD INTERNATIONAL     COMMON STOCK  947074100      45778        782537
SH    SOLE           782537      0      0
WEBSENSE INC                  COMMON STOCK  947684106         72          1500
SH    SOLE             1500      0      0
WEBSTER FINANCIAL CORP        COMMON STOCK  947890109       7558        328600
SH    SOLE           328600      0      0
WEBTRENDS CORP                COMMON STOCK  94844D104      13867        192600
SH    SOLE           192600      0      0
WELLMAN INC                   COMMON STOCK  949702104       4812        242900
SH    SOLE           242900      0      0
WELLPOINT HEALTH NETWORKS     COMMON STOCK  94973H108      18950        271200
SH    SOLE           271200      0      0
WELLS FARGO COMPANY           COMMON STOCK  949746101     294126       7217820
SH    SOLE          7217820      0      0
WENDY'S INTL INC              COMMON STOCK  950590109       6119        303100
SH    SOLE           303100      0      0
WESTAMERICA BANCORP           COMMON STOCK  957090103       7493        270000
SH    SOLE           270000      0      0
WESTPOINT STEVENS INC         COMMON STOCK  961238102       7258        382000
SH    SOLE           382000      0      0
WESTVACO CORP                 COMMON STOCK  961548104       8883        266150
SH    SOLE           266150      0      0
WESTWOOD ONE INC              COMMON STOCK  961815107      31248        862000
SH    SOLE           862000      0      0
WEYERHAEUSER CO               COMMON STOCK  962166104      36879        647000
SH    SOLE           647000      0      0
WHIRLPOOL CORP                COMMON STOCK  963320106      16761        285900
SH    SOLE           285900      0      0
WHITMAN CORP                  COMMON STOCK  96647R107      13733        985300
SH    SOLE           985300      0      0
WHOLE FOODS MARKET INC        COMMON STOCK  966837106       7036        169800
SH    SOLE           169800      0      0
WILLAMETTE INDUSTRIES         COMMON STOCK  969133107      12451        310300
SH    SOLE           310300      0      0
WILLIAMS COMPANIES INC        COMMON STOCK  969457100      79918       1818894
SH    SOLE          1818894      0      0
WILLIAMS-SONOMA INC           COMMON STOCK  969904101      22339        720600
SH    SOLE           720600      0      0
WILMINGTON TRUST CORP         COMMON STOCK  971807102      11675        240100
SH    SOLE           240100      0      0
WIND RIVER SYSTEMS INC        COMMON STOCK  973149107        798         22000
SH    SOLE            22000      0      0
WINN-DIXIE STORES INC         COMMON STOCK  974280109       5722        294400
SH    SOLE           294400      0      0
WINSTAR COMMUNICATIONS        COMMON STOCK  975515107      14760        246000
SH    SOLE           246000      0      0
WISCONSIN CTRL TRANSPORT      COMMON STOCK  976592105       4258        347600
SH    SOLE           347600      0      0
WISCONSIN ENERGY CORP         COMMON STOCK  976657106      18041        904900
SH    SOLE           904900      0      0
WORTHINGTON INDUSTRIES        COMMON STOCK  981811102       1768        142900
SH    SOLE           142900      0      0
WPP GROUP PLC-SP ADR          COMMON STOCK  929309300       1405         16200
SH    SOLE            16200      0      0
WRIGLEY (WM) JR CO            COMMON STOCK  982526105      28183        366900
SH    SOLE           366900      0      0
XEROX CORP                    COMMON STOCK  984121103      50363       1937047
SH    SOLE          1937047      0      0
XILINX INC                    COMMON STOCK  983919101      80278        969400
SH    SOLE           969400      0      0
XIRCOM INC                    COMMON STOCK  983922105        444         12000
SH    SOLE            12000      0      0
XL CAPITAL LTD-CL A           COMMON STOCK  G98255105      71689       1294605
SH    SOLE          1294605      0      0
YAHOO! INC                    COMMON STOCK  984332106     267146       1558840
SH    SOLE          1558840      0      0
YORK INTERNATIONAL CORP       COMMON STOCK  986670107       6494        277800
SH    SOLE           277800      0      0
YOUNG & RUBICAM INC           COMMON STOCK  987425105      17634        375200
SH    SOLE           375200      0      0
ZALE CORP                     COMMON STOCK  988858106       9310        197300
SH    SOLE           197300      0      0
ZION BANCORPORATION           COMMON STOCK  989701107      26707        641600
SH    SOLE           641600      0      0
ZOLL MEDICAL CORP             COMMON STOCK  989922109      10491        204700
SH    SOLE           204700      0      0
ZOMAX INC                     COMMON STOCK  989929104      11743        194900
SH    SOLE           194900      0      0
</TABLE>


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