NEW YORK STATE COMMON RETIREMENT FUND
13F-HR, 2000-02-22
Previous: PHOTRONICS INC, 8-K, 2000-02-22
Next: SKYLINE FUND, N-30D, 2000-02-22


                                 UNITED STATES
                             SECURITIES AND EXCHANGE COMMISSION
                                   Washington, D.C. 20549

                                       FORM 13F

                                    FORM 13F Cover Page



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

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

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

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


13F File Number: 28-01892

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   February 11, 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:      1,486

Form 13F Information Table Value Total: $  56,437,954 (Thousands)

<PAGE>

<TABLE>
<CAPTION>

ITEM 1                          ITEM 2       ITEM 3     ITEM 4     ITEM 5
ITEM 6 ITEM 7         ITEM 8
                                                        FAIR
INVSTMNT 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>

ABBOTT LABORATORIES          COMMON STOCK   002824100     177361       4884300
SH    SOLE          4884300      0      0
ABERCROMBIE FITCH CO CL A    COMMON STOCK   002896207      24606        922000
SH    SOLE           922000      0      0
ABGENIX INC                  COMMON STOCK   00339B107       1034          7800
SH    SOLE             7800      0      0
ACCLAIM ENTERTAINMENT INC    COMMON STOCK   004325205       1063        207333
SH    SOLE           207333      0      0
ACE LTD                      COMMON STOCK   G0070K103       3404        204000
SH    SOLE           204000      0      0
ACME COMMUNICATIONS INC      COMMON STOCK   004631107       4452        133900
SH    SOLE           133900      0      0
ACNIELSEN CORP               COMMON STOCK   004833109       9931        403300
SH    SOLE           403300      0      0
ACT MANUFACTURING INC        COMMON STOCK   000973107       7005        186800
SH    SOLE           186800      0      0
ACTUATE SOFTWARE CORP        COMMON STOCK   00508B102      11885        277200
SH    SOLE           277200      0      0
ACUSON CORP                  COMMON STOCK   005113105       2032        161750
SH    SOLE           161750      0      0
ACXIOM CORP                  COMMON STOCK   005125109      20170        840400
SH    SOLE           840400      0      0
ADAPTEC INC                  COMMON STOCK   00651F108      15765        316100
SH    SOLE           316100      0      0
ADAPTIVE BROADBAND CORP      COMMON STOCK   00650M104        753         10200
SH    SOLE            10200      0      0
ADC TELECOMMUNICATIONS       COMMON STOCK   000886101      36992        509800
SH    SOLE           509800      0      0
ADELPHIA COM CL A            COMMON STOCK   006848105       3570         54400
SH    SOLE            54400      0      0
ADOBE SYSTEMS                COMMON STOCK   00724F101      31157        463300
SH    SOLE           463300      0      0
ADTRAN INC                   COMMON STOCK   00738A106      18476        359200
SH    SOLE           359200      0      0
ADVANCE PARADIGM INC         COMMON STOCK   007491103       3929        182200
SH    SOLE           182200      0      0
ADVANCED DIGITAL INFO CP     COMMON STOCK   007525108      10600        218000
SH    SOLE           218000      0      0
ADVANCED FIBRE COMMUN        COMMON STOCK   00754A105       1005         22500
SH    SOLE            22500      0      0
ADVANCED MICRO DEVICES       COMMON STOCK   007903107      24345        841300
SH    SOLE           841300      0      0
ADVANCED ENERGY IND INC      COMMON STOCK   007973100      15474        314200
SH    SOLE           314200      0      0
ADVENT SOFTWARE INC          COMMON STOCK   007974108      17872        277347
SH    SOLE           277347      0      0
ADVO INC                     COMMON STOCK   007585102       1596         67200
SH    SOLE            67200      0      0
AEGON N V                    FOREIGN STOCK  007924103        377          3949
SH    SOLE             3949      0      0
AES CORP                     COMMON STOCK   00130H105     120363       1610206
SH    SOLE          1610206      0      0
AETNA INC                    COMMON STOCK   008117103      44925        804926
SH    SOLE           804926      0      0
AFFILIATED COMPUTER SVC A    COMMON STOCK   008190100      18064        392700
SH    SOLE           392700      0      0
AFFILIATED MANAGERS GROUP    COMMON STOCK   008252108       2483         61400
SH    SOLE            61400      0      0
AFFYMETRIX INC               COMMON STOCK   00826T108       7415         43700
SH    SOLE            43700      0      0
AFLAC INC                    COMMON STOCK   001055102      64420       1365182
SH    SOLE          1365182      0      0
AGCO CORP                    COMMON STOCK   001084102       5406        402300
SH    SOLE           402300      0      0
AGENCY.COM LTD               COMMON STOCK   008447104       1836         36000
SH    SOLE            36000      0      0
AGILENT TECHNOLOGIES INC     COMMON STOCK   00846U101      17264        223300
SH    SOLE           223300      0      0
AGL RESOURCES INC            COMMON STOCK   001204106       6863        403700
SH    SOLE           403700      0      0
AGRIUM INC                   FOREIGN STOCK  008916108       1319        167500
SH    SOLE           167500      0      0
AHL SERVICES INC             COMMON STOCK   001296102       5348        256200
SH    SOLE           256200      0      0
AIR EXPRESS INTL CORP        COMMON STOCK   009104100       8876        274700
SH    SOLE           274700      0      0
AIR PRODUCTS & CHEMICALS     COMMON STOCK   009158106      34663       1032800
SH    SOLE          1032800      0      0
AIRBORNE FREIGHT             COMMON STOCK   009266107       7396        336200
SH    SOLE           336200      0      0
AIRGAS INC                   COMMON STOCK   009363102       5663        596100
SH    SOLE           596100      0      0
AK STEEL HOLDING CORP        COMMON STOCK   001547108      14292        757200
SH    SOLE           757200      0      0
ALASKA AIRGROUP INC          COMMON STOCK   011659109       6586        187500
SH    SOLE           187500      0      0
ALBANY INTL CORP-CL A        COMMON STOCK   012348108       3195        206132
SH    SOLE           206132      0      0
ALBANY MOLECULAR RESEARCH    COMMON STOCK   012423109       2312         75800
SH    SOLE            75800      0      0
ALBEMARLE CORP               COMMON STOCK   012653101       6161        321100
SH    SOLE           321100      0      0
ALBERTO-CULVER CO-CL B       COMMON STOCK   013068101       2328         90200
SH    SOLE            90200      0      0
ALBERTSONS INC               COMMON STOCK   013104104      55260       1713484
SH    SOLE          1713484      0      0
ALCAN ALUMINUM LTD           COMMON STOCK   013716105      30915        747200
SH    SOLE           747200      0      0
ALCATEL ALSTHOLM CGE         FOREIGN STOCK  013904305       7407        164600
SH    SOLE           164600      0      0
ALCOA INC                    COMMON STOCK   013817101     187331       2256998
SH    SOLE          2256998      0      0
ALDILA INC                   COMMON STOCK   014384101        555        403800
SH    SOLE           403800      0      0
ALEXANDER & BALDWIN          COMMON STOCK   014482103       7690        337100
SH    SOLE           337100      0      0
ALKERMERS INC                COMMON STOCK   01642T108       4323         88000
SH    SOLE            88000      0      0
ALLAIRE CORP                 COMMON STOCK   016714107       7725         52800
SH    SOLE            52800      0      0
ALLEGHENY ENERGY INC         COMMON STOCK   017361106      23425        869600
SH    SOLE           869600      0      0
ALLEGHENY TECHNOLOGIES       COMMON STOCK   01741R102       6233        277808
SH    SOLE           277808      0      0
ALLERGAN INC                 COMMON STOCK   018490102      24378        490000
SH    SOLE           490000      0      0
ALLIANT ENERGY CORP          COMMON STOCK   018802108      15579        566500
SH    SOLE           566500      0      0
ALLIED WASTE INDUSTRIES      COMMON STOCK   019589308       2588        293700
SH    SOLE           293700      0      0
ALLMERICA FINANCIAL CP       COMMON STOCK   019754100      22372        402200
SH    SOLE           402200      0      0
ALLSTATE CORP                COMMON STOCK   020002101      91346       3796210
SH    SOLE          3796210      0      0
ALLTEL CORP                  COMMON STOCK   020039103      78127        944845
SH    SOLE           944845      0      0
ALPHARMA INC-CL A            COMMON STOCK   020813101       5203        169200
SH    SOLE           169200      0      0
ALTERA CORP                  COMMON STOCK   021441100      95616       1929200
SH    SOLE          1929200      0      0
ALZA CORP                    COMMON STOCK   022615108      14293        412800
SH    SOLE           412800      0      0
AMBAC FINANCIAL GROUP INC    COMMON STOCK   023139108      30665        587600
SH    SOLE           587600      0      0
AMER ELECTRIC POWER          COMMON STOCK   025537101      24486        762200
SH    SOLE           762200      0      0
AMER HOME PRODUCTS           COMMON STOCK   026609107     214360       5461400
SH    SOLE          5461400      0      0
AMER INTERNATIONAL GROUP     COMMON STOCK   026874107     575188       5319662
SH    SOLE          5319662      0      0
AMER POWER CONVERSION        COMMON STOCK   029066107      44671       1693700
SH    SOLE          1693700      0      0
AMERADA HESS CORP            COMMON STOCK   023551104      17905        315500
SH    SOLE           315500      0      0
AMERCREDIT CORP              COMMON STOCK   03060R101       9676        523000
SH    SOLE           523000      0      0
AMEREN CORPORATION           COMMON STOCK   023608102      14669        447900
SH    SOLE           447900      0      0
AMERICA ONLINE INC           COMMON STOCK   02364J104     599107       7895972
SH    SOLE          7895972      0      0
AMERICA WEST HOLDGS-CL B     COMMON STOCK   023657208       1567         75500
SH    SOLE            75500      0      0
AMERICAN EAGLE OUTFITTERS    COMMON STOCK   02553E106      17451        387800
SH    SOLE           387800      0      0
AMERICAN EXPRESS CO          COMMON STOCK   025816109     227155       1366348
SH    SOLE          1366348      0      0
AMERICAN FINANCIAL GROUP     COMMON STOCK   025932104      10954        415300
SH    SOLE           415300      0      0
AMERICAN GENERAL CORP        COMMON STOCK   026351106      57108        752655
SH    SOLE           752655      0      0
AMERICAN GREETINGS-CL A      COMMON STOCK   026375105      18231        771700
SH    SOLE           771700      0      0
AMERICAN NATL CAN GROUP      COMMON STOCK   027714104       4160        320000
SH    SOLE           320000      0      0
AMERICAN NATIONAL INSUR      COMMON STOCK   028591105        312          4900
SH    SOLE             4900      0      0
AMERICAN SOFTWARE-CL A       COMMON STOCK   029683109       9325        909800
SH    SOLE           909800      0      0
AMERICAN STANDARD CO INC     COMMON STOCK   029712106      25488        555600
SH    SOLE           555600      0      0
AMERICAN TOWER CORP-CL A     COMMON STOCK   029912201       3600        117800
SH    SOLE           117800      0      0
AMERICAN WATER WORKS CO      COMMON STOCK   030411102      14609        687500
SH    SOLE           687500      0      0
AMES DEPT STORES             COMMON STOCK   030789507       1639         56900
SH    SOLE            56900      0      0
AMETEK INC                   COMMON STOCK   031100100       4310        226100
SH    SOLE           226100      0      0
AMFM INC                     COMMON STOCK   001693100      78317       1000850
SH    SOLE          1000850      0      0
AMGEN INC                    COMMON STOCK   031162100     194271       3234474
SH    SOLE          3234474      0      0
AMKOR TECHNOLOGIES INC       COMMON STOCK   031652100       3108        110000
SH    SOLE           110000      0      0
AMR CORP                     COMMON STOCK   001765106      92346       1378300
SH    SOLE          1378300      0      0
AMSOUTH BANCORP              COMMON STOCK   032165102      26949       1395400
SH    SOLE          1395400      0      0
ANADARKO PETROLEUM           COMMON STOCK   032511107      37244       1091400
SH    SOLE          1091400      0      0
ANADIGICS INC                COMMON STOCK   032515108      11051        234200
SH    SOLE           234200      0      0
ANALOG DEVICES               COMMON STOCK   032654105      58227        626100
SH    SOLE           626100      0      0
ANALOGIC CORP                COMMON STOCK   032657207        439         13300
SH    SOLE            13300      0      0
ANCHOR GAMING                COMMON STOCK   033037102       1612         37100
SH    SOLE            37100      0      0
ANDREW CORP                  COMMON STOCK   034425108       4315        227850
SH    SOLE           227850      0      0
ANHEUSER BUSCH               COMMON STOCK   035229103     100381       1416314
SH    SOLE          1416314      0      0
ANNTAYLOR STORES             COMMON STOCK   036115103       4814        139800
SH    SOLE           139800      0      0
ANNUITY AND LIFE RE(HLDG)    COMMON STOCK   G03910109       4128        158000
SH    SOLE           158000      0      0
ANSWERTHINK CONSULTING GR    COMMON STOCK   036916104        603         17600
SH    SOLE            17600      0      0
AON CORP                     COMMON STOCK   037389103      34643        866087
SH    SOLE           866087      0      0
APACHE CORP                  COMMON STOCK   037411105      16230        439400
SH    SOLE           439400      0      0
APEX INC                     COMMON STOCK   037548104       3693        114500
SH    SOLE           114500      0      0
APOLLO GROUP INC-CL A        COMMON STOCK   037604105      12453        620700
SH    SOLE           620700      0      0
APPLE COMPUTER INC           COMMON STOCK   037833100      64690        629200
SH    SOLE           629200      0      0
APPLIED GRAPHICS TECHNOL     COMMON STOCK   037937109        448         51900
SH    SOLE            51900      0      0
APPLIED ANALYTICAL INDS      COMMON STOCK   037939105       2708        296800
SH    SOLE           296800      0      0
APPLIED MICRO CIRCUITS CP    COMMON STOCK   03822W109      32271        253600
SH    SOLE           253600      0      0
APPLIED MATERIALS INC        COMMON STOCK   038222105     215850       1703800
SH    SOLE          1703800      0      0
APPLIED POWER INC CL A       COMMON STOCK   038225108      17798        484300
SH    SOLE           484300      0      0
APRIA HEALTHCARE GROUP       COMMON STOCK   037933108       6013        335200
SH    SOLE           335200      0      0
ARCHER-DANIELS-MIDLAND CO    COMMON STOCK   039483102      26223       2162684
SH    SOLE          2162684      0      0
ARMSTRONG WORLD INDS         COMMON STOCK   042476101       3865        115800
SH    SOLE           115800      0      0
ARNOLD INDUSTRIES            COMMON STOCK   042595108       2073        147400
SH    SOLE           147400      0      0
ARROW ELECTRONICS            COMMON STOCK   042735100      28596       1126950
SH    SOLE          1126950      0      0
ART TECHNOLOGY GROUP INC     COMMON STOCK   04289L107       1948         15200
SH    SOLE            15200      0      0
ARTHROCARE CORP              COMMON STOCK   043136100      11657        191100
SH    SOLE           191100      0      0
ARVIN INDUSTRIES             COMMON STOCK   043339100       4985        175700
SH    SOLE           175700      0      0
ASHLAND INC                  COMMON STOCK   044204105      11439        347300
SH    SOLE           347300      0      0
ASM LITHOGRAPHY HLDG NV      COMMON STOCK   N07059111      30735        270200
SH    SOLE           270200      0      0
ASPECT DEVELOPMENT INC       COMMON STOCK   045234101       2521         36800
SH    SOLE            36800      0      0
ASSOC FIRST CAPITAL-CL A     COMMON STOCK   046008108     137780       5021610
SH    SOLE          5021610      0      0
ASSOCIATED BANC-CORP         COMMON STOCK   045487105      17646        515200
SH    SOLE           515200      0      0
ASTORIA FINANCIAL CORP       COMMON STOCK   046265104      13633        447900
SH    SOLE           447900      0      0
ASTRAZENECA PLC-SP ADR       COMMON STOCK   046353108      28817        690222
SH    SOLE           690222      0      0
ASYST TECHNOLOGIES INC       COMMON STOCK   04648X107       1587         24200
SH    SOLE            24200      0      0
AT & T CORP LIBERTY MEDIA    COMMON STOCK   001957208     193358       3403445
SH    SOLE          3403445      0      0
ATLANTIC RICHFIELD CO        COMMON STOCK   048825103      85306        986200
SH    SOLE           986200      0      0
ATMEL CORP                   COMMON STOCK   049513104      43309       1465000
SH    SOLE          1465000      0      0
AUTODESK INC                 COMMON STOCK   052769106      19244        570200
SH    SOLE           570200      0      0
AUTOMATIC DATA PROCESSING    COMMON STOCK   053015103     104916       1947400
SH    SOLE          1947400      0      0
AUTONATION INC               COMMON STOCK   05329W102       8336        901200
SH    SOLE           901200      0      0
AUTOZONE INC                 COMMON STOCK   053332102      14599        451800
SH    SOLE           451800      0      0
AVADO BRANDS INC             COMMON STOCK   05336P108        775        183700
SH    SOLE           183700      0      0
AVANT! CORP                  COMMON STOCK   053487104       2765        184300
SH    SOLE           184300      0      0
AVERY DENNISON CORP          COMMON STOCK   053611109      24763        339800
SH    SOLE           339800      0      0
AVNET INC                    COMMON STOCK   053807103      27201        449600
SH    SOLE           449600      0      0
AVON PRODUCTS INC            COMMON STOCK   054303102      59767       1811110
SH    SOLE          1811110      0      0
AVT CORP                     COMMON STOCK   002420107       4315         91800
SH    SOLE            91800      0      0
AVX CORP                     COMMON STOCK   002444107       5598        112100
SH    SOLE           112100      0      0
AXA FINANCIAL INC            COMMON STOCK   002451102       2142         63000
SH    SOLE            63000      0      0
BAKER HUGHES INC             COMMON STOCK   057224107      32545       1545160
SH    SOLE          1545160      0      0
BALL CORP                    COMMON STOCK   058498106       4615        117200
SH    SOLE           117200      0      0
BANCO SANTANDER CHILE ADR    FOREIGN STOCK  05965F108        924         60600
SH    SOLE            60600      0      0
BANCWEST CORP                COMMON STOCK   059790105        975         50000
SH    SOLE            50000      0      0
BANDAG INC                   COMMON STOCK   059815100       3693        147700
SH    SOLE           147700      0      0
BANK OF AMERICA CORP         COMMON STOCK   060505104     382358       7618587
SH    SOLE          7618587      0      0
BANK OF NEW YORK             COMMON STOCK   064057102      91341       2283513
SH    SOLE          2283513      0      0
BANK ONE CORP                COMMON STOCK   06423A103     152178       4755564
SH    SOLE          4755564      0      0
BANK UNITED CORP-CL A        COMMON STOCK   065412108       2725        100000
SH    SOLE           100000      0      0
BANTA CORP                   COMMON STOCK   066821109       5945        263500
SH    SOLE           263500      0      0
BARD (C R) INC               COMMON STOCK   067383109       7680        144900
SH    SOLE           144900      0      0
BARNES & NOBLE INC           COMMON STOCK   067774109      11329        549300
SH    SOLE           549300      0      0
BARNES GROUP INC             COMMON STOCK   067806109        113          6900
SH    SOLE             6900      0      0
BARR LABORATORIES INC        COMMON STOCK   068306109       5654        180200
SH    SOLE           180200      0      0
BARRICK GOLD CORP            COMMON STOCK   067901108      20307       1148100
SH    SOLE          1148100      0      0
BASIN EXPLORATION INC        COMMON STOCK   070107107       1310         74300
SH    SOLE            74300      0      0
BAUSCH & LOMB INC            COMMON STOCK   071707103      14283        208700
SH    SOLE           208700      0      0
BAXTER INTERNATIONAL INC     COMMON STOCK   071813109      52894        842100
SH    SOLE           842100      0      0
BB&T CORPORATION             COMMON STOCK   054937107      26713        975800
SH    SOLE           975800      0      0
BCE INC                      COMMON STOCK   05534B109      12626        140000
SH    SOLE           140000      0      0
BE AEROSPACE INC             COMMON STOCK   073302101        630         74700
SH    SOLE            74700      0      0
BEA SYSTEMS INC              COMMON STOCK   073325102      35228        503700
SH    SOLE           503700      0      0
BEAR STEARNS COMPANIES       COMMON STOCK   073902108      20171        471836
SH    SOLE           471836      0      0
BEBE STORES INC              COMMON STOCK   075571109       3065        113500
SH    SOLE           113500      0      0
BECKMAN COULTER INC          COMMON STOCK   075811109      10440        205200
SH    SOLE           205200      0      0
BECTON DICKINSON             COMMON STOCK   075887109      57385       2130300
SH    SOLE          2130300      0      0
BED BATH & BEYOND INC        COMMON STOCK   075896100      16534        475800
SH    SOLE           475800      0      0
BELL & HOWELL CO             COMMON STOCK   077852101       1295         40700
SH    SOLE            40700      0      0
BELL ATLANTIC CORP           COMMON STOCK   077853109     362028       5880657
SH    SOLE          5880657      0      0
BELLSOUTH CORP               COMMON STOCK   079860102     269802       5763456
SH    SOLE          5763456      0      0
BELO (A H) CORP SER A        COMMON STOCK   080555105      15736        825500
SH    SOLE           825500      0      0
BEMIS COMPANY                COMMON STOCK   081437105       5842        167500
SH    SOLE           167500      0      0
BERGEN BRUNSWIG CL A         COMMON STOCK   083739102       7477        899492
SH    SOLE           899492      0      0
BERKSHIRE HATHAWAY CL A      COMMON STOCK   084670108      20925           373
SH    SOLE              373      0      0
BERKSHIRE HATHAWAY CL B      COMMON STOCK   084670207      22052         12050
SH    SOLE            12050      0      0
BEST BUY CO INC              COMMON STOCK   086516101      29210        581300
SH    SOLE           581300      0      0
BEST SOFTWARE INC            COMMON STOCK   086579109       6372        216000
SH    SOLE           216000      0      0
BESTFOODS                    COMMON STOCK   08658U101      46975        893700
SH    SOLE           893700      0      0
BETHLEHEM STEEL CORP         COMMON STOCK   087509105       1432        171000
SH    SOLE           171000      0      0
BEVERLY ENTERPRISES          COMMON STOCK   087851309       2783        636000
SH    SOLE           636000      0      0
BINDVIEW DEVELOPMENT CORP    COMMON STOCK   090327107       9942        200100
SH    SOLE           200100      0      0
BIOCRYST PHARMACEUTICALS     COMMON STOCK   09058V103       2242         76000
SH    SOLE            76000      0      0
BIOGEN INC                   COMMON STOCK   090597105     100225       1186100
SH    SOLE          1186100      0      0
BIOMET INC                   COMMON STOCK   090613100      16336        408400
SH    SOLE           408400      0      0
BIORELIANCE CORP             COMMON STOCK   090951104       1414        247300
SH    SOLE           247300      0      0
BIOVAIL CORP INT             COMMON STOCK   09067K106       1331         14200
SH    SOLE            14200      0      0
BISYS GROUP (THE)            COMMON STOCK   055472104      14740        225900
SH    SOLE           225900      0      0
BJ SERVICES CO               COMMON STOCK   055482103      22834        546100
SH    SOLE           546100      0      0
BJ'S WHOLESALE CLUB INC      COMMON STOCK   05548J106      21871        599200
SH    SOLE           599200      0      0
BLACK & DECKER CORP          COMMON STOCK   091797100      13669        261600
SH    SOLE           261600      0      0
BLACK HILLS CORP             COMMON STOCK   092113109       3066        138200
SH    SOLE           138200      0      0
BLACKROCK INC                COMMON STOCK   09247X101       2011        117000
SH    SOLE           117000      0      0
BLOCK H & R INC              COMMON STOCK   093671105      13318        304400
SH    SOLE           304400      0      0
BLOCKBUSTER INC-CL A         COMMON STOCK   093679108       2608        195000
SH    SOLE           195000      0      0
BLUESTONE SOFTWARE INC       COMMON STOCK   09623P102       6084         52900
SH    SOLE            52900      0      0
BLYTH INDUSTRIES INC         COMMON STOCK   09643P108      13827        562950
SH    SOLE           562950      0      0
BMC SOFTWARE INC             COMMON STOCK   055921100      64975        812824
SH    SOLE           812824      0      0
BOB EVANS FARMS              COMMON STOCK   096761101       9084        588432
SH    SOLE           588432      0      0
BOEING CO                    COMMON STOCK   097023105     172853       4171422
SH    SOLE          4171422      0      0
BOISE CASCADE CORP           COMMON STOCK   097383103       9784        241573
SH    SOLE           241573      0      0
BOMBAY CO INC                COMMON STOCK   097924104        696        154700
SH    SOLE           154700      0      0
BORDERS GROUP INC            COMMON STOCK   099709107      10169        625800
SH    SOLE           625800      0      0
BORG WARNER AUTOMOTIVE       COMMON STOCK   099724106       8384        207000
SH    SOLE           207000      0      0
BOSTON SCIENTIFIC CORP       COMMON STOCK   101137107      27119       1239736
SH    SOLE          1239736      0      0
BOWATER INC                  COMMON STOCK   102183100      23197        427100
SH    SOLE           427100      0      0
BOWNE & CO                   COMMON STOCK   103043105        320         23700
SH    SOLE            23700      0      0
BP AMOCO PLC-ADR             FOREIGN STOCK  055622104       3445         58083
SH    SOLE            58083      0      0
BRAUNS FASHION CORP          COMMON STOCK   105658108        735         35000
SH    SOLE            35000      0      0
BRIGGS & STRATTON            COMMON STOCK   109043109       5255         98000
SH    SOLE            98000      0      0
BRINKER INTERNATIONAL INC    COMMON STOCK   109641100      14789        612999
SH    SOLE           612999      0      0
BRISTOL-MYERS SQUIBB CO      COMMON STOCK   110122108     538304       8386428
SH    SOLE          8386428      0      0
BROADVISION INC              COMMON STOCK   111412102       7109         41800
SH    SOLE            41800      0      0
BROADWING INC                COMMON STOCK   111620100      57400       1556600
SH    SOLE          1556600      0      0
BROKEN HILL PROPRIETARY      FOREIGN STOCK  112169602       2396         90200
SH    SOLE            90200      0      0
BROWN FORMAN-CL B            COMMON STOCK   115637209      12669        221300
SH    SOLE           221300      0      0
BROWN (TOM) INC              COMMON STOCK   115660201        746         55800
SH    SOLE            55800      0      0
BRUNSWICK CORP               COMMON STOCK   117043109       5636        253300
SH    SOLE           253300      0      0
BUFFETS INC                  COMMON STOCK   119882108       2552        255200
SH    SOLE           255200      0      0
BURLINGTON INDS INC          COMMON STOCK   121693105       1362        340500
SH    SOLE           340500      0      0
BURLINGTON NO SANTA FE       COMMON STOCK   12189T104      56907       2346692
SH    SOLE          2346692      0      0
BURLINGTON RESOURCES INC     COMMON STOCK   122014103      21776        658640
SH    SOLE           658640      0      0
BURR-BROWN CORP              COMMON STOCK   122574106       7234        200250
SH    SOLE           200250      0      0
C I T GROUP INC-CLA          COMMON STOCK   125577106      18060        854900
SH    SOLE           854900      0      0
CABLE & WIRELESS LTD         FOREIGN STOCK  126828102       4955        170129
SH    SOLE           170129      0      0
CABLE DESIGN TECHNOLOGIES    COMMON STOCK   126924109       1318         57300
SH    SOLE            57300      0      0
CABLETRON SYSTEMS            COMMON STOCK   126920107      12969        498800
SH    SOLE           498800      0      0
CABLEVISION SYSTEMS CORP     COMMON STOCK   12686C109       2567         34000
SH    SOLE            34000      0      0
CABOT CORP                   COMMON STOCK   127055101       9281        455500
SH    SOLE           455500      0      0
CADENCE DESIGN SYSTEMS       COMMON STOCK   127387108      59603       2483450
SH    SOLE          2483450      0      0
CALIPER TECHNOLOGIES CORP    COMMON STOCK   130876105       1509         22600
SH    SOLE            22600      0      0
CALLAWAY GOLF                COMMON STOCK   131193104      12735        720000
SH    SOLE           720000      0      0
CALPINE CORPORATION          COMMON STOCK   131347106      35290        551400
SH    SOLE           551400      0      0
CAMBRIDGE TECH PARTNERS      COMMON STOCK   132524109      10390        395800
SH    SOLE           395800      0      0
CAMPBELL SOUP CO             COMMON STOCK   134429109      60755       1570400
SH    SOLE          1570400      0      0
CANADIAN PACIFIC LTD         COMMON STOCK   135923100      20700        960000
SH    SOLE           960000      0      0
CANANDAIGUA BRANDS-CL A      COMMON STOCK   137219200       7701        151000
SH    SOLE           151000      0      0
CAPITAL ONE FINANCIAL        COMMON STOCK   14040H105      31650        656800
SH    SOLE           656800      0      0
CAPITAL SENIOR LIVING CP     COMMON STOCK   140475104        421         83200
SH    SOLE            83200      0      0
CARAUSTAR INDUSTRIES INC     COMMON STOCK   140909102        206          8600
SH    SOLE             8600      0      0
CARDINAL HEALTH INC          COMMON STOCK   14149Y108      60993       1273998
SH    SOLE          1273998      0      0
CAREINSITE INC               COMMON STOCK   14170M106       1425         17700
SH    SOLE            17700      0      0
CAREMARK RX INC              COMMON STOCK   141705103        896        177000
SH    SOLE           177000      0      0
CAREY INTL INC               COMMON STOCK   141750109       1187         48700
SH    SOLE            48700      0      0
CARLISLE COMPANIES INC       COMMON STOCK   142339100      22054        612600
SH    SOLE           612600      0      0
CARNIVAL CORP                COMMON STOCK   143658102     133096       2783700
SH    SOLE          2783700      0      0
CAROLINA POWER & LIGHT       COMMON STOCK   144141108      17876        587300
SH    SOLE           587300      0      0
CARPENTER TECHNOLOGY         COMMON STOCK   144285103       4063        148100
SH    SOLE           148100      0      0
CARRIER ACCESS CORP          COMMON STOCK   144460102       7492        111300
SH    SOLE           111300      0      0
CARTER-WALLACE INC           COMMON STOCK   146285101       5317        296400
SH    SOLE           296400      0      0
CATALINA MARKETING CORP      COMMON STOCK   148867104       6193         53500
SH    SOLE            53500      0      0
CATERPILLAR INC              COMMON STOCK   149123101     106484       2262600
SH    SOLE          2262600      0      0
CBRL GROUP INC               COMMON STOCK   12489V106       3666        377775
SH    SOLE           377775      0      0
CBS CORP                     COMMON STOCK   12490K107     161315       2523009
SH    SOLE          2523009      0      0
CBT GROUP PLC-SP ADR         COMMON STOCK   124853300       1648         49200
SH    SOLE            49200      0      0
C-COR.NET CORP               COMMON STOCK   125010108       8567        111800
SH    SOLE           111800      0      0
C-CUBE MICROSYSTEMS          COMMON STOCK   125015107       2490         40000
SH    SOLE            40000      0      0
CCB FIN'L CORP               COMMON STOCK   124875105      13313        305600
SH    SOLE           305600      0      0
CDW COMPUTER CENTERS         COMMON STOCK   125129106      25333        322200
SH    SOLE           322200      0      0
CEC ENTERTAINMENT INC        COMMON STOCK   125137109       8027        284150
SH    SOLE           284150      0      0
CELESTIAL SEASONINGS INC     COMMON STOCK   151016102        668         35900
SH    SOLE            35900      0      0
CELGENE CORP                 COMMON STOCK   151020104       7539        107700
SH    SOLE           107700      0      0
CENDANT CORP                 COMMON STOCK   151313103      64619       2432719
SH    SOLE          2432719      0      0
CENTEX CORP                  COMMON STOCK   152312104       5291        214300
SH    SOLE           214300      0      0
CENTRAIS ELETRICAS ADR       FOREIGN STOCK  15234Q207       6348        570600
SH    SOLE           570600      0      0
CENTRAL & SOUTH WEST CORP    COMMON STOCK   152357109      16016        800800
SH    SOLE           800800      0      0
CENTRAL GARDEN & PET CO      COMMON STOCK   153527106        651         62700
SH    SOLE            62700      0      0
CENTRAL NEWSPAPERS CL A      COMMON STOCK   154647101       1599         40600
SH    SOLE            40600      0      0
CENTURYTEL INC               COMMON STOCK   156700106      26113        551200
SH    SOLE           551200      0      0
CERIDIAN CORP                COMMON STOCK   15677T106       8532        395700
SH    SOLE           395700      0      0
CERNER CORP                  COMMON STOCK   156782104       3093        157100
SH    SOLE           157100      0      0
CFI PROSERVICES INC          COMMON STOCK   12525N100       2125        259600
SH    SOLE           259600      0      0
CH ROBINSON WORLD WIDE       COMMON STOCK   12541W100        342          8600
SH    SOLE             8600      0      0
CHAMPION INTERNATIONAL       COMMON STOCK   158525105      22310        360200
SH    SOLE           360200      0      0
CHARTER ONE FINANCIAL        COMMON STOCK   160903100      30824       1611687
SH    SOLE          1611687      0      0
CHARTER COMMUNICATN-CL A     COMMON STOCK   16117M107       7120        325500
SH    SOLE           325500      0      0
CHARTERED SEMICONDUCT-ADR    COMMON STOCK   16133R106      13498        184900
SH    SOLE           184900      0      0
CHASE MANHATTAN CORP         COMMON STOCK   16161A108     245271       3157148
SH    SOLE          3157148      0      0
CHECKFREE HOLDINGS CORP      COMMON STOCK   162816102      36450        348800
SH    SOLE           348800      0      0
CHEESECAKE FACTORY (THE)     COMMON STOCK   163072101       7534        215250
SH    SOLE           215250      0      0
CHESAPEAKE CORP              COMMON STOCK   165159104       4578        150100
SH    SOLE           150100      0      0
CHEVRON CORP                 COMMON STOCK   166751107     180310       2081500
SH    SOLE          2081500      0      0
CHICO'S FAS INC              COMMON STOCK   168615102       7803        207400
SH    SOLE           207400      0      0
CHIREX INC                   COMMON STOCK   170038103       3171        216800
SH    SOLE           216800      0      0
CHIRON CORP                  COMMON STOCK   170040109      56044       1322564
SH    SOLE          1322564      0      0
CHRIS-CRAFT INDUSTRIES       COMMON STOCK   170520100      17666        244941
SH    SOLE           244941      0      0
CHUBB CORP                   COMMON STOCK   171232101      41491        736800
SH    SOLE           736800      0      0
CHURCH & DWIGHT CO           COMMON STOCK   171340102       9581        359000
SH    SOLE           359000      0      0
CIA CERVECERIA UNIDAS-ADR    FOREIGN STOCK  204429104          0         50650
SH    SOLE            50650      0      0
CIA TELECOM CHILE-ADR NEW    FOREIGN STOCK  204449300       1542         84500
SH    SOLE            84500      0      0
CIENA CORP                   COMMON STOCK   171779101       2064         35900
SH    SOLE            35900      0      0
CIGNA CORP                   COMMON STOCK   125509109      62557        776500
SH    SOLE           776500      0      0
CINCINNATI FINANCIAL CP      COMMON STOCK   172062101      23344        748497
SH    SOLE           748497      0      0
CINERGY CORP                 COMMON STOCK   172474108      19847        829116
SH    SOLE           829116      0      0
CINTAS CORP                  COMMON STOCK   172908105      42973        808900
SH    SOLE           808900      0      0
CIRCLE.COM                   COMMON STOCK   832914204       1108         90000
SH    SOLE            90000      0      0
CIRCUIT CITY STORES          COMMON STOCK   172737108      34594        767700
SH    SOLE           767700      0      0
CIRRUS LOGIC INC             COMMON STOCK   172755100       7550        567100
SH    SOLE           567100      0      0
CISCO SYSTEMS INC            COMMON STOCK   17275R102    1330651      12421478
SH    SOLE         12421478      0      0
CITADEL COMMUNICATIONS CP    COMMON STOCK   172853202      11931        183900
SH    SOLE           183900      0      0
CITIGROUP INC                COMMON STOCK   172967101     835285      14999506
SH    SOLE         14999506      0      0
CITRIX SYSTEMS INC           COMMON STOCK   177376100      35129        285600
SH    SOLE           285600      0      0
CITY NATIONAL CORP           COMMON STOCK   178566105      10693        324633
SH    SOLE           324633      0      0
CK WITCO CORPORATION         COMMON STOCK   12562C108      10716        801216
SH    SOLE           801216      0      0
CLAIRES STORES INC           COMMON STOCK   179584107       8001        357575
SH    SOLE           357575      0      0
CLAYTON HOMES INC            COMMON STOCK   184190106       9381       1021110
SH    SOLE          1021110      0      0
CLEAR CHANNEL COMMUNICA      COMMON STOCK   184502102     123742       1386462
SH    SOLE          1386462      0      0
CLECO CORPORATION            COMMON STOCK   12561W105       5252        163800
SH    SOLE           163800      0      0
CLEVELAND-CLIFFS INC         COMMON STOCK   185896107       2431         78100
SH    SOLE            78100      0      0
CLOROX CO                    COMMON STOCK   189054109      57587       1143170
SH    SOLE          1143170      0      0
CMP GROUP INC                COMMON STOCK   125887109       6926        251300
SH    SOLE           251300      0      0
CMS ENERGY CORP              COMMON STOCK   125896100      13969        447900
SH    SOLE           447900      0      0
CNA FINANCIAL CORP           COMMON STOCK   126117100        751         19300
SH    SOLE            19300      0      0
CNF TRANSPORTATION INC       COMMON STOCK   12612W104      12475        361600
SH    SOLE           361600      0      0
COASTAL CORP                 COMMON STOCK   190441105      24374        687800
SH    SOLE           687800      0      0
COBALT NETWORKS INC          COMMON STOCK   19074R101        737          6800
SH    SOLE             6800      0      0
COCA-COLA COMPANY            COMMON STOCK   191216100     450406       7732300
SH    SOLE          7732300      0      0
COCA-COLA ENTERPRISES        COMMON STOCK   191219104      41440       2059140
SH    SOLE          2059140      0      0
COGNEX CORP                  COMMON STOCK   192422103      15623        400600
SH    SOLE           400600      0      0
COGNIZANT TECH SOLUTIONS     COMMON STOCK   192446102      12724        116400
SH    SOLE           116400      0      0
COLDWATER CREEK INC          COMMON STOCK   193068103        685         33400
SH    SOLE            33400      0      0
COLGATE-PALMOLIVE CO         COMMON STOCK   194162103     116227       1788100
SH    SOLE          1788100      0      0
COLONIAL BANCGROUP INC       COMMON STOCK   195493309         37          3600
SH    SOLE             3600      0      0
COLUMBIA ENERGY GROUP        COMMON STOCK   197648108      22286        352350
SH    SOLE           352350      0      0
COLUMBIA HCA HEALTHCARE      COMMON STOCK   197677107      64201       2190216
SH    SOLE          2190216      0      0
COMCAST CORP CL A            COMMON STOCK   200300101       1192         24900
SH    SOLE            24900      0      0
COMCAST CORP-SPECIAL CL A    COMMON STOCK   200300200     140902       2786696
SH    SOLE          2786696      0      0
COMDISCO INC                 COMMON STOCK   200336105      41232       1106910
SH    SOLE          1106910      0      0
COMERICA INC                 COMMON STOCK   200340107      27762        594624
SH    SOLE           594624      0      0
COMMERCE BANCORP INC         COMMON STOCK   200519106        223          5516
SH    SOLE             5516      0      0
COMMERCE BANCSHARES INC      COMMON STOCK   200525103       3413        100741
SH    SOLE           100741      0      0
COMMERCIAL FEDERAL CORP      COMMON STOCK   201647104       2993        168000
SH    SOLE           168000      0      0
COMMERCIAL METALS CO         COMMON STOCK   201723103        445         13100
SH    SOLE            13100      0      0
COMMSCOPE INC                COMMON STOCK   203372107      13658        338800
SH    SOLE           338800      0      0
COMPAQ COMPUTER CORP         COMMON STOCK   204493100     199300       7364440
SH    SOLE          7364440      0      0
COMPASS BANCSHARES INC       COMMON STOCK   20449H109      18832        844000
SH    SOLE           844000      0      0
COMPUSA INC                  COMMON STOCK   204932107       3108        613900
SH    SOLE           613900      0      0
COMPUTER ASSOCIATES INTL     COMMON STOCK   204912109     203040       2903162
SH    SOLE          2903162      0      0
COMPUTER SCIENCES CORP       COMMON STOCK   205363104      43225        456800
SH    SOLE           456800      0      0
COMPUWARE CORP               COMMON STOCK   205638109      48865       1311800
SH    SOLE          1311800      0      0
COMSAT CORPORATION           COMMON STOCK   20564D107       6722        338214
SH    SOLE           338214      0      0
COMVERSE TECHNOLOGY INC      COMMON STOCK   205862402      36491        252100
SH    SOLE           252100      0      0
CONAGRA INC                  COMMON STOCK   205887102      37301       1644100
SH    SOLE          1644100      0      0
CONCORD COMMUNICATIONS       COMMON STOCK   206186108       4105         92500
SH    SOLE            92500      0      0
CONCORD EFS INC              COMMON STOCK   206197105      45565       1769505
SH    SOLE          1769505      0      0
CONCURRENT COMPUTER CORP     COMMON STOCK   206710204       3743        200300
SH    SOLE           200300      0      0
CONECTIV INC                 COMMON STOCK   206829103      11440        680475
SH    SOLE           680475      0      0
CONEXANT SYSTEMS INC         COMMON STOCK   207142100      24167        364100
SH    SOLE           364100      0      0
CONOCO INC-CL A              COMMON STOCK   208251306       1109         44800
SH    SOLE            44800      0      0
CONOCO INC-CL B              COMMON STOCK   208251405      49525       1990951
SH    SOLE          1990951      0      0
CONSECO INC                  COMMON STOCK   208464107      42657       2394776
SH    SOLE          2394776      0      0
CONSOLIDATED EDISON INC      COMMON STOCK   209115104      24523        710800
SH    SOLE           710800      0      0
CONSOLIDATED NATURAL GAS     COMMON STOCK   209615103      20897        321800
SH    SOLE           321800      0      0
CONSOLIDATED PAPERS          COMMON STOCK   209759109      20901        657000
SH    SOLE           657000      0      0
CONSOLIDATED STORES          COMMON STOCK   210149100       4466        274851
SH    SOLE           274851      0      0
CONSTELLATION ENERGY GRP     COMMON STOCK   210371100      16437        566800
SH    SOLE           566800      0      0
CONTINENTAL AIRLINES-CL B    COMMON STOCK   210795308       5991        135000
SH    SOLE           135000      0      0
CONVERGYS CORP               COMMON STOCK   212485106      33653       1094400
SH    SOLE          1094400      0      0
COOPER CAMERON CORP          COMMON STOCK   216640102        607         12400
SH    SOLE            12400      0      0
COOPER INDUSTRIES INC        COMMON STOCK   216669101      13013        321800
SH    SOLE           321800      0      0
COOPER TIRE & RUBBER         COMMON STOCK   216831107       3323        211000
SH    SOLE           211000      0      0
COORS (ADOLPH) CL B          COMMON STOCK   217016104       5927        112900
SH    SOLE           112900      0      0
COPPER MOUNTAIN NETWORK      COMMON STOCK   217510106       2330         47800
SH    SOLE            47800      0      0
COR THERAPUTICS INC          COMMON STOCK   217753102       3225        120000
SH    SOLE           120000      0      0
CORDANT TECHNOLOGIES INC     COMMON STOCK   218412104       8514        258000
SH    SOLE           258000      0      0
CORNELL CORRECTIONS INC      COMMON STOCK   219141108        463         55300
SH    SOLE            55300      0      0
CORNING INC                  COMMON STOCK   219350105      91326        708300
SH    SOLE           708300      0      0
CORPORATE EXECUTIVE BOARD    COMMON STOCK   21988R102       1335         23900
SH    SOLE            23900      0      0
CORRECTIONAL PROPERT TRST    COMMON STOCK   22025E104        973         79400
SH    SOLE            79400      0      0
COST PLUS INC                COMMON STOCK   221485105       8794        246850
SH    SOLE           246850      0      0
COSTAR GROUP INC             COMMON STOCK   22160N109       1986         55360
SH    SOLE            55360      0      0
COSTCO WHOLESALE CORP        COMMON STOCK   22160K105      99259       1087773
SH    SOLE          1087773      0      0
COUNTRYWIDE CREDIT IND       COMMON STOCK   222372104      32994       1306700
SH    SOLE          1306700      0      0
COVAD COMMUNICATIONS GRP     COMMON STOCK   222814204      22761        406900
SH    SOLE           406900      0      0
COVANCE INC                  COMMON STOCK   222816100       4656        430625
SH    SOLE           430625      0      0
COX COMMUNICATIONS-CL A      COMMON STOCK   224044107       3924         76200
SH    SOLE            76200      0      0
CRANE COMPANY                COMMON STOCK   224399105      11777        592575
SH    SOLE           592575      0      0
CREDENCE SYSTEMS CORP        COMMON STOCK   225302108      22715        262600
SH    SOLE           262600      0      0
CROSS TIMBERS OIL CO         COMMON STOCK   227573102       1398        154225
SH    SOLE           154225      0      0
CROWN CORK & SEAL CO INC     COMMON STOCK   228255105       6511        291000
SH    SOLE           291000      0      0
CSG SYSTEMS INTL INC         COMMON STOCK   126349109       8864        222300
SH    SOLE           222300      0      0
CSX CORP                     COMMON STOCK   126408103      21122        673200
SH    SOLE           673200      0      0
CTS CORP                     COMMON STOCK   126501105       8103        107500
SH    SOLE           107500      0      0
CUMMINS ENGINE               COMMON STOCK   231021106      10368        214600
SH    SOLE           214600      0      0
CUMULUS MEDIA INC-CL A       COMMON STOCK   231082108      10333        203600
SH    SOLE           203600      0      0
CVS CORP                     COMMON STOCK   126650100      74764       1874948
SH    SOLE          1874948      0      0
CYBERSOURCE CORP             COMMON STOCK   23251J106       2898         56000
SH    SOLE            56000      0      0
CYMER INC                    COMMON STOCK   232572107       4830        105000
SH    SOLE           105000      0      0
CYPRESS SEMICONDUCTOR        COMMON STOCK   232806109      28150        869500
SH    SOLE           869500      0      0
CYSIVE INC                   COMMON STOCK   23281T108       7985        110800
SH    SOLE           110800      0      0
CYTEC INDUSTRIES INC         COMMON STOCK   232820100       6695        291100
SH    SOLE           291100      0      0
CYTYC CORP                   COMMON STOCK   232946103       1404         23000
SH    SOLE            23000      0      0
D P L INC                    COMMON STOCK   233293109      19371       1118900
SH    SOLE          1118900      0      0
DALLAS SEMICONDUCTOR         COMMON STOCK   235204104        490          7600
SH    SOLE             7600      0      0
DANA CORP                    COMMON STOCK   235811106      17180        573860
SH    SOLE           573860      0      0
DANAHER CORP                 COMMON STOCK   235851102      20728        429600
SH    SOLE           429600      0      0
DARDEN RESTAURANTS INC       COMMON STOCK   237194105       8539        471100
SH    SOLE           471100      0      0
DATASTREAM SYSTEMS INC       COMMON STOCK   238124101      10076        410200
SH    SOLE           410200      0      0
DAYTON HUDSON CORP           COMMON STOCK   239753106     118220       1609800
SH    SOLE          1609800      0      0
DEAN FOODS CO                COMMON STOCK   242361103      11780        296350
SH    SOLE           296350      0      0
DEERE & CO                   COMMON STOCK   244199105      36713        846400
SH    SOLE           846400      0      0
DELL COMPUTER CORP           COMMON STOCK   247025109     512693      10052800
SH    SOLE         10052800      0      0
DELPHI AUTOMOTIVE SYSTEMS    COMMON STOCK   247126105      37945       2409197
SH    SOLE          2409197      0      0
DELTA AIR LINES INC          COMMON STOCK   247361108      23078        463300
SH    SOLE           463300      0      0
DELUXE CORP                  COMMON STOCK   248019101       5916        215600
SH    SOLE           215600      0      0
DENDRITE INTL INC            COMMON STOCK   248239105      14619        431550
SH    SOLE           431550      0      0
DENTSPLY INTERNATIONAL       COMMON STOCK   249030107       8649        366100
SH    SOLE           366100      0      0
DEVON ENERGY CORP            COMMON STOCK   25179M103      21260        646700
SH    SOLE           646700      0      0
DEVRY INC                    COMMON STOCK   251893103      10763        574000
SH    SOLE           574000      0      0
DEXTER CORP                  COMMON STOCK   252165105       6853        172400
SH    SOLE           172400      0      0
DIAGEO PLC-SPON ADR          FOREIGN STOCK  25243Q205      41600       1300000
SH    SOLE          1300000      0      0
DIAGNOSTIC PRODUCTS CORP     COMMON STOCK   252450101       5539        226100
SH    SOLE           226100      0      0
DIAL CORP                    COMMON STOCK   25247D101      17979        739500
SH    SOLE           739500      0      0
DIAMOND OFFSHORE DRILLING    COMMON STOCK   25271C102       1751         57300
SH    SOLE            57300      0      0
DIAMOND TECH PARTNERS INC    COMMON STOCK   252762109      21038        244800
SH    SOLE           244800      0      0
DIEBOLD INC                  COMMON STOCK   253651103      11201        476630
SH    SOLE           476630      0      0
DIGI INTERNATIONAL INC       COMMON STOCK   253798102        661         63300
SH    SOLE            63300      0      0
DIGIMARC CORP                COMMON STOCK   253807101        825         16500
SH    SOLE            16500      0      0
DIGITAL INSIGHT CORP         COMMON STOCK   25385P106        356          9800
SH    SOLE             9800      0      0
DIGITAL LIGHTWAVE INC        COMMON STOCK   253855100       9194        143650
SH    SOLE           143650      0      0
DILLARDS INC-CL A            COMMON STOCK   254067101       5132        254200
SH    SOLE           254200      0      0
DIME BANCORP INC             COMMON STOCK   25429Q102      13197        872500
SH    SOLE           872500      0      0
DITECH COMMUNICATIONS CP     COMMON STOCK   25500M103       1290         13800
SH    SOLE            13800      0      0
DOCUMENTUM INC               COMMON STOCK   256159104       1162         19400
SH    SOLE            19400      0      0
DOLE FOOD CO                 COMMON STOCK   256605106       6250        384600
SH    SOLE           384600      0      0
DOLLAR GENERAL CORP          COMMON STOCK   256669102      13409        589406
SH    SOLE           589406      0      0
DOLLAR TREE STORES INC       COMMON STOCK   256747106      28990        598500
SH    SOLE           598500      0      0
DOMINION RESOURCES OLD       COMMON STOCK   257470104      27636        704100
SH    SOLE           704100      0      0
DONALDSON CO INC             COMMON STOCK   257651109       7719        320800
SH    SOLE           320800      0      0
DONNELLEY (R R) & SONS       COMMON STOCK   257867101      31584       1272900
SH    SOLE          1272900      0      0
DORAL FINANCIAL CORP         COMMON STOCK   25811P100       1447        117500
SH    SOLE           117500      0      0
DOUBLECLICK INC              COMMON STOCK   258609304       8376         33100
SH    SOLE            33100      0      0
DOVER CORP                   COMMON STOCK   260003108      74406       1639800
SH    SOLE          1639800      0      0
DOW CHEMICAL CO              COMMON STOCK   260543103     111844        837000
SH    SOLE           837000      0      0
DOW JONES & CO INC           COMMON STOCK   260561105      26228        385700
SH    SOLE           385700      0      0
DQE INC                      COMMON STOCK   23329J104      19376        559600
SH    SOLE           559600      0      0
DREYERS GRAND ICE CREAM      COMMON STOCK   261878102       3053        179600
SH    SOLE           179600      0      0
DSP GROUP INC                COMMON STOCK   23332B106      10825        116400
SH    SOLE           116400      0      0
DST SYSTEMS INC              COMMON STOCK   233326107      41468        543400
SH    SOLE           543400      0      0
DTE ENERGY CO                COMMON STOCK   233331107      20910        661200
SH    SOLE           661200      0      0
DUKE ENERGY CORP             COMMON STOCK   264399106      56374       1124668
SH    SOLE          1124668      0      0
DUN & BRADSTREET INC         COMMON STOCK   26483B106      13939        472500
SH    SOLE           472500      0      0
DUPONT (E I) DE NEMOURS      COMMON STOCK   263534109     265253       4026611
SH    SOLE          4026611      0      0
DURA PHARMACEUTICALS INC     COMMON STOCK   26632S109       1066         76500
SH    SOLE            76500      0      0
DUSA PHARMACEUTICALS INC     COMMON STOCK   266898105        758         26600
SH    SOLE            26600      0      0
DYNEGY INC                   COMMON STOCK   26816L102        929         38200
SH    SOLE            38200      0      0
E TRADE GROUP, INC           COMMON STOCK   269246104      46257       1770600
SH    SOLE          1770600      0      0
E.W. BLANCH HLDG             COMMON STOCK   093210102       9310        152000
SH    SOLE           152000      0      0
EARTHLINK NETWORK INC        COMMON STOCK   270322100       1743         41000
SH    SOLE            41000      0      0
EASTERN ENTERPRISES          COMMON STOCK   27637F100       4181         72800
SH    SOLE            72800      0      0
EASTMAN CHEMICAL CO          COMMON STOCK   277432100      10808        226650
SH    SOLE           226650      0      0
EASTMAN KODAK CO             COMMON STOCK   277461109      81547       1230900
SH    SOLE          1230900      0      0
EATON CORP                   COMMON STOCK   278058102      20531        282700
SH    SOLE           282700      0      0
ECHOSTAR COMMUN CL A         COMMON STOCK   278762109      29084        298300
SH    SOLE           298300      0      0
ECI TELECOM LTD              COMMON STOCK   268258100       1581         50000
SH    SOLE            50000      0      0
ECLIPSYS CORP                COMMON STOCK   278856109       5163        201475
SH    SOLE           201475      0      0
ECOLAB INC                   COMMON STOCK   278865100      30197        771800
SH    SOLE           771800      0      0
EDISON INTERNATIONAL         COMMON STOCK   281020107      26984       1030400
SH    SOLE          1030400      0      0
EDWARDS (A G) INC            COMMON STOCK   281760108      25000        779729
SH    SOLE           779729      0      0
EEX CORPORATION              COMMON STOCK   26842V207        354        120499
SH    SOLE           120499      0      0
EGREETINGS NETWORK INC       COMMON STOCK   282343102        186         18400
SH    SOLE            18400      0      0
EL PASO ENERGY CORP          COMMON STOCK   283905107      65842       1696400
SH    SOLE          1696400      0      0
ELAN CORP PLC - ADR          COMMON STOCK   284131208       6879        233190
SH    SOLE           233190      0      0
ELCOR CORP                   COMMON STOCK   284443108       1181         39200
SH    SOLE            39200      0      0
ELECTRO SCIENTIFIC INDS      COMMON STOCK   285229100       2117         29000
SH    SOLE            29000      0      0
ELECTROGLAS INC              COMMON STOCK   285324109       1401         55200
SH    SOLE            55200      0      0
ELECTRONIC ARTS INC          COMMON STOCK   285512109      38203        454800
SH    SOLE           454800      0      0
ELECTRONIC DATA SYSTEMS      COMMON STOCK   285661104     109885       1641600
SH    SOLE          1641600      0      0
EMBOTELLADORA ANDINA S A     FOREIGN STOCK  29081P204       1094         61400
SH    SOLE            61400      0      0
EMC CORPORATION              COMMON STOCK   268648102     380788       3485475
SH    SOLE          3485475      0      0
EMERSON ELECTRIC CO          COMMON STOCK   291011104     170496       2971600
SH    SOLE          2971600      0      0
EMMIS COMMUNICATIONS-CL A    COMMON STOCK   291525103      16490        132300
SH    SOLE           132300      0      0
EMULEX CORP                  COMMON STOCK   292475209      18821        167300
SH    SOLE           167300      0      0
ENERGY EAST CORPORATION      COMMON STOCK   29266M109      17056        819500
SH    SOLE           819500      0      0
ENERSIS ADS                  FOREIGN STOCK  29274F104       2101         89400
SH    SOLE            89400      0      0
ENESCO GROUP INC             COMMON STOCK   292973104        857         77500
SH    SOLE            77500      0      0
ENGAGE TECHNOLOGIES INC      COMMON STOCK   292827102       3222         53700
SH    SOLE            53700      0      0
ENGELHARD CORP               COMMON STOCK   292845104       8096        428912
SH    SOLE           428912      0      0
ENI SPA - ADR                COMMON STOCK   26874R108        910         16500
SH    SOLE            16500      0      0
ENRON CORP                   COMMON STOCK   293561106      92663       2088184
SH    SOLE          2088184      0      0
ENSCO INTERNATIONAL INC      COMMON STOCK   26874Q100      23166       1012700
SH    SOLE          1012700      0      0
ENTERGY CORP                 COMMON STOCK   29364G103      24262        942200
SH    SOLE           942200      0      0
ENTRUST TECHNOLOGIES INC     COMMON STOCK   293848107      13568        226362
SH    SOLE           226362      0      0
ENZON INC                    COMMON STOCK   293904108       4164         96000
SH    SOLE            96000      0      0
EQUANT NV-NY REG SHR         COMMON STOCK   294409107      15680        140000
SH    SOLE           140000      0      0
EQUIFAX INC                  COMMON STOCK   294429105      10252        435100
SH    SOLE           435100      0      0
ERICSSON L M TEL CO - ADR    FOREIGN STOCK  294821400      11743        178772
SH    SOLE           178772      0      0
ESOFT INC                    COMMON STOCK   296904105        451         15500
SH    SOLE            15500      0      0
ESS TECHNOLOGY INC           COMMON STOCK   269151106       2401        108200
SH    SOLE           108200      0      0
ESTEE LAUDER CO-CL A         COMMON STOCK   518439104        651         12900
SH    SOLE            12900      0      0
ETHAN ALLEN INTERIORS INC    COMMON STOCK   297602104       2049         63900
SH    SOLE            63900      0      0
ETHYL CORP                   COMMON STOCK   297659104       1724        492700
SH    SOLE           492700      0      0
EVEREST REINSURANCE HLDGS    COMMON STOCK   299808105      13521        606000
SH    SOLE           606000      0      0
EXAR CORP                    COMMON STOCK   300645108       1154         19600
SH    SOLE            19600      0      0
EXCHANGE APPLICATIONS INC    COMMON STOCK   300867108       8415        150600
SH    SOLE           150600      0      0
EXODUS COMMUNICATIONS INC    COMMON STOCK   302088109       3410         38400
SH    SOLE            38400      0      0
EXPEDITORS INTL WASH INC     COMMON STOCK   302130109       2730         62300
SH    SOLE            62300      0      0
EXPRESS SCRIPTS CL A         COMMON STOCK   302182100      23219        362800
SH    SOLE           362800      0      0
EXTENDED STAY AMERICA INC    COMMON STOCK   30224P101         51          6800
SH    SOLE             6800      0      0
EXTREME NETWORKS INC         COMMON STOCK   30226D106       6880         82400
SH    SOLE            82400      0      0
EXXON CORP                   COMMON STOCK   302290101       3303         41000
SH    SOLE            41000      0      0
EXXON MOBIL CORP             COMMON STOCK   30231G102     940794      11677818
SH    SOLE         11677818      0      0
F5 NETWORKS INC              COMMON STOCK   315616102       1186         10400
SH    SOLE            10400      0      0
FAIR ISAAC & CO INC          COMMON STOCK   303250104       9900        186800
SH    SOLE           186800      0      0
FAMILY DOLLAR STORES         COMMON STOCK   307000109      22038       1351000
SH    SOLE          1351000      0      0
FANNIE MAE                   COMMON STOCK   313586109     222407       3562070
SH    SOLE          3562070      0      0
FASTENAL CO                  COMMON STOCK   311900104      14593        324750
SH    SOLE           324750      0      0
FDX CORPORATION              COMMON STOCK   31304N107      37292        910940
SH    SOLE           910940      0      0
FEDERAL HOME LN MTG CORP     COMMON STOCK   313400301     178216       3786800
SH    SOLE          3786800      0      0
FEDERAL SIGNAL CORP          COMMON STOCK   313855108       5129        319300
SH    SOLE           319300      0      0
FEDERAL-MOGUL CORP           COMMON STOCK   313549107      18630        925700
SH    SOLE           925700      0      0
FEDERATED DEPT STORES        COMMON STOCK   31410H101      40051        792100
SH    SOLE           792100      0      0
FERRO CORP                   COMMON STOCK   315405100       5250        238650
SH    SOLE           238650      0      0
FIDELITY NAT'L FIN           COMMON STOCK   316326107       1024         71200
SH    SOLE            71200      0      0
FIFTH THIRD BANCORP          COMMON STOCK   316773100      62711        854662
SH    SOLE           854662      0      0
FINISAR CORP                 COMMON STOCK   31787A101        548          6100
SH    SOLE             6100      0      0
FINL SECURITY ASSURANCE      COMMON STOCK   31769P100        563         10800
SH    SOLE            10800      0      0
FINOVA GROUP INC             COMMON STOCK   317928109      17182        484000
SH    SOLE           484000      0      0
FIRST DATA CORP              COMMON STOCK   319963104     130319       2642726
SH    SOLE          2642726      0      0
FIRST HEALTH GROUP CORP      COMMON STOCK   320960107       9344        347700
SH    SOLE           347700      0      0
FIRST SECURITY CORP          COMMON STOCK   336294103      35220       1379482
SH    SOLE          1379482      0      0
FIRST TENNESSEE NATL CORP    COMMON STOCK   337162101      28397        996400
SH    SOLE           996400      0      0
FIRST UNION CORP             COMMON STOCK   337358105     109078       3311677
SH    SOLE          3311677      0      0
FIRST VIRGINIA BANKS INC     COMMON STOCK   337477103      16267        378300
SH    SOLE           378300      0      0
FIRSTAR CORP                 COMMON STOCK   33763V109      66378       3142164
SH    SOLE          3142164      0      0
FIRSTENERGY CORP             COMMON STOCK   337932107      13892        612300
SH    SOLE           612300      0      0
FIRSTMERIT CORP              COMMON STOCK   337915102      15334        666700
SH    SOLE           666700      0      0
FISERV INC                   COMMON STOCK   337738108      33478        873812
SH    SOLE           873812      0      0
FLEET BOSTON FINANCIAL CP    COMMON STOCK   339030108     180471       5184088
SH    SOLE          5184088      0      0
FLEETWOOD ENTERPRISES        COMMON STOCK   339099103       1681         81500
SH    SOLE            81500      0      0
FLEXTRONICS INTL LTD         COMMON STOCK   Y2573F102      10304        224000
SH    SOLE           224000      0      0
FLORIDA EAST COAST INDUS     COMMON STOCK   340632108        301          7200
SH    SOLE             7200      0      0
FLORIDA PROGRESS CORP        COMMON STOCK   341109106      12571        297100
SH    SOLE           297100      0      0
FLOW INTERNATIONAL CORP      COMMON STOCK   343468104       3871        340300
SH    SOLE           340300      0      0
FLOWERS INDUSTRIES INC       COMMON STOCK   343496105      10892        683425
SH    SOLE           683425      0      0
FLOWSERVE CORP               COMMON STOCK   34354P105       4270        251200
SH    SOLE           251200      0      0
FLUOR CORP                   COMMON STOCK   343861100      13854        302000
SH    SOLE           302000      0      0
FMC CORP                     COMMON STOCK   302491303       5577         97300
SH    SOLE            97300      0      0
FOAMEX INTERNATIONAL INC     COMMON STOCK   344123104       1493        179600
SH    SOLE           179600      0      0
FOOTSTAR INC                 COMMON STOCK   344912100       1592         52200
SH    SOLE            52200      0      0
FORD MOTOR COMPANY           COMMON STOCK   345370100     216886       4068200
SH    SOLE          4068200      0      0
FOREST LABORATORIES INC      COMMON STOCK   345838106      52259        850600
SH    SOLE           850600      0      0
FOREST OIL CORP              COMMON STOCK   346091606       1170         88700
SH    SOLE            88700      0      0
FORRESTER RESEARCH INC       COMMON STOCK   346563109       1419         20600
SH    SOLE            20600      0      0
FORT JAMES CORP              COMMON STOCK   347471104      32229       1177300
SH    SOLE          1177300      0      0
FORTUNE BRANDS INC           COMMON STOCK   349631101      19391        586500
SH    SOLE           586500      0      0
FOSSIL INC                   COMMON STOCK   349882100       1966         85025
SH    SOLE            85025      0      0
FOSTER WHEELER CORP          COMMON STOCK   350244109        407         45900
SH    SOLE            45900      0      0
FOUNDATION HEALTH SYS CLA    COMMON STOCK   350404109       8814        886940
SH    SOLE           886940      0      0
FOX ENTERTAINMNT GRP-CL A    COMMON STOCK   35138T107      16925        678700
SH    SOLE           678700      0      0
FPL GROUP INC                COMMON STOCK   302571104      31060        725500
SH    SOLE           725500      0      0
FRANKLIN RESOURCES INC       COMMON STOCK   354613101      26205        817300
SH    SOLE           817300      0      0
FREEPORT-MCMORAN COPPER A    COMMON STOCK   35671D105        388         20900
SH    SOLE            20900      0      0
FREEPORT-MCMORAN COPPER B    COMMON STOCK   35671D857      11422        540691
SH    SOLE           540691      0      0
FREMONT GENERAL CORP         COMMON STOCK   357288109        187         25300
SH    SOLE            25300      0      0
FST AMER FINL COM            COMMON STOCK   318522307       1300        104500
SH    SOLE           104500      0      0
FULLER H B CO                COMMON STOCK   359694106       5566         99500
SH    SOLE            99500      0      0
FURNITURE BRANDS INTL INC    COMMON STOCK   360921100      11550        525000
SH    SOLE           525000      0      0
GADZOOKS INC                 COMMON STOCK   362553109       1281        130500
SH    SOLE           130500      0      0
GALILEO INTERNATIONAL INC    COMMON STOCK   363547100       7365        246000
SH    SOLE           246000      0      0
GANNETT CO                   COMMON STOCK   364730101     124530       1526800
SH    SOLE          1526800      0      0
GAP INC                      COMMON STOCK   364760108     179578       3903860
SH    SOLE          3903860      0      0
GARTNER GROUP INC CL B       COMMON STOCK   366651206       8449        611688
SH    SOLE           611688      0      0
GASONICS INTL CORP           COMMON STOCK   367278108       1256         63600
SH    SOLE            63600      0      0
GATEWAY INC                  COMMON STOCK   367626108      68063        944500
SH    SOLE           944500      0      0
GATX CORP                    COMMON STOCK   361448103      12477        369700
SH    SOLE           369700      0      0
GENCORP INC                  COMMON STOCK   368682100        141         14300
SH    SOLE            14300      0      0
GENENTECH INC                COMMON STOCK   368710406       4089         30400
SH    SOLE            30400      0      0
GENERAL DYNAMICS CORP        COMMON STOCK   369550108      40802        773500
SH    SOLE           773500      0      0
GENERAL ELECTRIC CO          COMMON STOCK   369604103    1774856      11469180
SH    SOLE         11469180      0      0
GENERAL INSTRUMENT CORP      COMMON STOCK   370120107      52828        621500
SH    SOLE           621500      0      0
GENERAL MILLS INC            COMMON STOCK   370334104      49035       1371600
SH    SOLE          1371600      0      0
GENERAL MOTORS CORP          COMMON STOCK   370442105     143180       1969800
SH    SOLE          1969800      0      0
GENERAL MOTORS-CL H          COMMON STOCK   370442832       2045         21300
SH    SOLE            21300      0      0
GENERAL SEMICONDUCTOR INC    COMMON STOCK   370787103       6431        453300
SH    SOLE           453300      0      0
GENRAD INC                   COMMON STOCK   372447102       3032        188000
SH    SOLE           188000      0      0
GENUINE PARTS CO             COMMON STOCK   372460105      14441        582000
SH    SOLE           582000      0      0
GENZYME CORP-GENL DIV        COMMON STOCK   372917104      30254        672300
SH    SOLE           672300      0      0
GEORGIA GULF CORP            COMMON STOCK   373200203       8185        268900
SH    SOLE           268900      0      0
GEORGIA PACIFIC CORP         COMMON STOCK   373298108      36266        714600
SH    SOLE           714600      0      0
GEORGIA-PACIFIC (TIMBER)     COMMON STOCK   373298702      15430        626600
SH    SOLE           626600      0      0
GETTY IMAGES INC             COMMON STOCK   374276103      14350        293600
SH    SOLE           293600      0      0
GILEAD SCIENCES INC          COMMON STOCK   375558103      25325        467900
SH    SOLE           467900      0      0
GILLETTE COMPANY             COMMON STOCK   375766102     155079       3765200
SH    SOLE          3765200      0      0
GLATFELTER (P H) CO          COMMON STOCK   377316104       4120        282900
SH    SOLE           282900      0      0
GLOBAL CROSSING LTD          COMMON STOCK   G3921A100     121974       2439485
SH    SOLE          2439485      0      0
GLOBAL INDUSTRIES LTD        COMMON STOCK   379336100        622         72100
SH    SOLE            72100      0      0
GLOBAL MARINE INC            COMMON STOCK   379352404      22848       1374300
SH    SOLE          1374300      0      0
GLOBAL TELESYSTEMS GROUP     COMMON STOCK   37936U104      42320       1217854
SH    SOLE          1217854      0      0
GO2NET INC                   COMMON STOCK   383486107        914         10500
SH    SOLE            10500      0      0
GOLDEN WEST FINANCIAL CP     COMMON STOCK   381317106      20740        619100
SH    SOLE           619100      0      0
GOLDMAN SACHS GROUP INC      COMMON STOCK   38141G104      15739        167100
SH    SOLE           167100      0      0
GOODRICH (B F) CO            COMMON STOCK   382388106       8166        296930
SH    SOLE           296930      0      0
GOODYEAR TIRE & RUBBER CO    COMMON STOCK   382550101      18387        655200
SH    SOLE           655200      0      0
GPU INC                      COMMON STOCK   36225X100      16154        543000
SH    SOLE           543000      0      0
GRAINGER (W W) INC           COMMON STOCK   384802104      19015        397700
SH    SOLE           397700      0      0
GRANITE CONSTRUCTION INC     COMMON STOCK   387328107       4049        219600
SH    SOLE           219600      0      0
GREAT ATLANTIC & PACIFIC     COMMON STOCK   390064103       2673         95900
SH    SOLE            95900      0      0
GREAT LAKES CHEMICAL CORP    COMMON STOCK   390568103      10402        272400
SH    SOLE           272400      0      0
GREATER BAY BANCORP          COMMON STOCK   391648102       1393         32500
SH    SOLE            32500      0      0
GREENPORT FINANCIAL CORP     COMMON STOCK   395384100      21117        886800
SH    SOLE           886800      0      0
GRUPO TELEVISION SA          FOREIGN STOCK  40049J206       2048         30000
SH    SOLE            30000      0      0
GTE CORP                     COMMON STOCK   362320103     257073       3643200
SH    SOLE          3643200      0      0
GTECH HOLDINGS CORP          COMMON STOCK   400518106       5777        262600
SH    SOLE           262600      0      0
GUCCI GROUP                  COMMON STOCK   401566104       5496         48000
SH    SOLE            48000      0      0
GUIDANT CORP                 COMMON STOCK   401698105      75919       1615300
SH    SOLE          1615300      0      0
GUILFORD MILLS INC           COMMON STOCK   401794102        157         21700
SH    SOLE            21700      0      0
HADCO CORP                   COMMON STOCK   404681108       1321         25900
SH    SOLE            25900      0      0
HALLIBURTON CO               COMMON STOCK   406216101      51749       1285700
SH    SOLE          1285700      0      0
HANDLEMAN CO                 COMMON STOCK   410252100       1717        128400
SH    SOLE           128400      0      0
HANGER ORTHOPEDIC GROUP      COMMON STOCK   41043F208        282         28200
SH    SOLE            28200      0      0
HANNA (M A) CO               COMMON STOCK   410522106       3591        328275
SH    SOLE           328275      0      0
HANNAFORD BROTHERS CO        COMMON STOCK   410550107      21667        312600
SH    SOLE           312600      0      0
HANOVER COMPRESSOR CO        COMMON STOCK   410768105       7648        202600
SH    SOLE           202600      0      0
HARBINGER CORP               COMMON STOCK   41145C103       8173        256900
SH    SOLE           256900      0      0
HARCOURT GENERAL INC         COMMON STOCK   41163G101       8444        209800
SH    SOLE           209800      0      0
HARLAND (JOHN H) CO          COMMON STOCK   412693103       1450         79200
SH    SOLE            79200      0      0
HARLEY DAVIDSON INC          COMMON STOCK   412822108     114822       1792350
SH    SOLE          1792350      0      0
HARMAN INTL IND INCP         COMMON STOCK   413086109        421          7500
SH    SOLE             7500      0      0
HARMONIC INC                 COMMON STOCK   413160102       8715         91800
SH    SOLE            91800      0      0
HARRAHS ENTERTAINMENT INC    COMMON STOCK   413619107      11972        452850
SH    SOLE           452850      0      0
HARRIS CORP                  COMMON STOCK   413875105      15473        579800
SH    SOLE           579800      0      0
HARRIS INTERACTIVE INC       COMMON STOCK   414549105        597         45700
SH    SOLE            45700      0      0
HARSCO CORP                  COMMON STOCK   415864107       9100        286600
SH    SOLE           286600      0      0
HARTE-HANKS INC              COMMON STOCK   416196103      10418        479000
SH    SOLE           479000      0      0
HARTFORD FINANCIAL SVCS      COMMON STOCK   416515104      36408        768500
SH    SOLE           768500      0      0
HASBRO INC                   COMMON STOCK   418056107      27688       1462075
SH    SOLE          1462075      0      0
HAWAIIAN ELECTRIC INDS       COMMON STOCK   419870100       7331        253900
SH    SOLE           253900      0      0
HEALTH MGMT ASSOC-CL A       COMMON STOCK   421933102      26630       1991037
SH    SOLE          1991037      0      0
HEALTHEON/WEBMD CORP         COMMON STOCK   422209106        484         12900
SH    SOLE            12900      0      0
HEALTHSOUTH CORP             COMMON STOCK   421924101       4395        817633
SH    SOLE           817633      0      0
HEALTHWORLD CORP             COMMON STOCK   42222E103       3428        165200
SH    SOLE           165200      0      0
HEILIG-MEYERS CO             COMMON STOCK   422893107       1140        414612
SH    SOLE           414612      0      0
HEINZ (H J) CO               COMMON STOCK   423074103      52158       1310100
SH    SOLE          1310100      0      0
HELMERICH & PAYNE            COMMON STOCK   423452101       3347        153900
SH    SOLE           153900      0      0
HERCULES INC                 COMMON STOCK   427056106      19783        709700
SH    SOLE           709700      0      0
HERSHEY FOODS CORP           COMMON STOCK   427866108      22262        469300
SH    SOLE           469300      0      0
HEWLETT-PACKARD CO           COMMON STOCK   428236103     360857       3172372
SH    SOLE          3172372      0      0
HIBERNIA CORP-CL A           COMMON STOCK   428656102      13318       1253500
SH    SOLE          1253500      0      0
HILLENBRAND INDUSTRIES       COMMON STOCK   431573104      15258        481500
SH    SOLE           481500      0      0
HILTON HOTELS CORP           COMMON STOCK   432848109      11195       1170699
SH    SOLE          1170699      0      0
HISPANIC BROADCASTING CP     COMMON STOCK   43357B104      36058        391000
SH    SOLE           391000      0      0
HNC SOFTWARE INC             COMMON STOCK   40425P107       3976         37600
SH    SOLE            37600      0      0
HOLLYWOOD ENTERTAINMENT      COMMON STOCK   436141105       1462        100800
SH    SOLE           100800      0      0
HOME DEPOT INC               COMMON STOCK   437076102     582350       8470542
SH    SOLE          8470542      0      0
HOMESTAKE MINING CO          COMMON STOCK   437614100       5339        683339
SH    SOLE           683339      0      0
HOMESTEAD VILLAGE INC        COMMON STOCK   437851108       1319        620600
SH    SOLE           620600      0      0
HON INDUSTRIES INC           COMMON STOCK   438092108       9284        423200
SH    SOLE           423200      0      0
HONEYWELL INT'L INC          COMMON STOCK   438516106     186662       3235737
SH    SOLE          3235737      0      0
HORACE MANN EDUCATORS        COMMON STOCK   440327104       5640        287400
SH    SOLE           287400      0      0
HORMEL FOODS CORP            COMMON STOCK   440452100      21401        526800
SH    SOLE           526800      0      0
HOUGHTON MIFFLIN CO          COMMON STOCK   441560109       9269        219700
SH    SOLE           219700      0      0
HOUSEHOLD INTERNATIONAL      COMMON STOCK   441815107     130650       3507374
SH    SOLE          3507374      0      0
HSB GROUP INC                COMMON STOCK   40428N109       7694        227550
SH    SOLE           227550      0      0
HUBBELL INC-CL B             COMMON STOCK   443510201      12931        474520
SH    SOLE           474520      0      0
HUGHES SUPPLY INC            COMMON STOCK   444482103        248         11500
SH    SOLE            11500      0      0
HUMAN GENOME SCIENCES INC    COMMON STOCK   444903108      41911        274600
SH    SOLE           274600      0      0
HUMANA INC                   COMMON STOCK   444859102       4194        512200
SH    SOLE           512200      0      0
HUNT (J B) TRANSPORT SVC     COMMON STOCK   445658107       3325        240200
SH    SOLE           240200      0      0
HUNTINGTON BANKSHARES INC    COMMON STOCK   446150104      17198        720345
SH    SOLE           720345      0      0
HUTTIG BUILDING PRODUCTS     COMMON STOCK   448451104        650        131682
SH    SOLE           131682      0      0
HYPERION SOLUTIONS CORP      COMMON STOCK   44914M104       6281        144390
SH    SOLE           144390      0      0
IBP INC                      COMMON STOCK   449223106      17516        973100
SH    SOLE           973100      0      0
ICG COMMUNICATIONS INC       COMMON STOCK   449246107       9369        499700
SH    SOLE           499700      0      0
ICN PHARMACEUTICALS INC      COMMON STOCK   448924100      14552        574900
SH    SOLE           574900      0      0
IDACORP INC                  COMMON STOCK   451107106       6966        259800
SH    SOLE           259800      0      0
IDEC PHARMACEUTICALS CORP    COMMON STOCK   449370105      10493        106800
SH    SOLE           106800      0      0
IDEXX LABORATORIES INC       COMMON STOCK   45168D104        195         12100
SH    SOLE            12100      0      0
IKON OFFICE SOLUTIONS INC    COMMON STOCK   451713101       2536        372300
SH    SOLE           372300      0      0
ILLINOIS TOOL WORKS          COMMON STOCK   452308109      77684       1149816
SH    SOLE          1149816      0      0
ILLINOVA CORP                COMMON STOCK   452317100      17823        512900
SH    SOLE           512900      0      0
ILLUMINET HOLDINGS INC       COMMON STOCK   452334105        935         17000
SH    SOLE            17000      0      0
IMATION CORP                 COMMON STOCK   45245A107       9188        273750
SH    SOLE           273750      0      0
IMC GLOBAL INC               COMMON STOCK   449669100      14516        886500
SH    SOLE           886500      0      0
IMS HEALTH INC               COMMON STOCK   449934108      26057        958400
SH    SOLE           958400      0      0
INCO LTD                     COMMON STOCK   453258402      16662        709000
SH    SOLE           709000      0      0
INCYTE PHARMACEUTICALS       COMMON STOCK   45337C102       5592         93200
SH    SOLE            93200      0      0
INDIANA ENERGY INC           COMMON STOCK   454707100       3481        196100
SH    SOLE           196100      0      0
INET TECHNOLOGIES INC        COMMON STOCK   45662V105       1656         23700
SH    SOLE            23700      0      0
INFINITY BROADCASTING-CLA    COMMON STOCK   45662S102       4075        112600
SH    SOLE           112600      0      0
INFORMATION HOLDINGS         COMMON STOCK   456727106       1721         59200
SH    SOLE            59200      0      0
INFORMIX CORP                COMMON STOCK   456779107      16525       1444800
SH    SOLE          1444800      0      0
INFOUSA INC                  COMMON STOCK   456818301       4142        297200
SH    SOLE           297200      0      0
INGERSOLL-RAND CO            COMMON STOCK   456866102      38886        706208
SH    SOLE           706208      0      0
INKTOMI CORP                 COMMON STOCK   457277101       1189         13400
SH    SOLE            13400      0      0
INSIGHT ENTERPRISES INC      COMMON STOCK   45765U103      17437        429212
SH    SOLE           429212      0      0
INSIGHT COMMUNICATIONS       COMMON STOCK   45768V108       1191         40200
SH    SOLE            40200      0      0
INSIGNIA FINANCIAL GROUP     COMMON STOCK   45767A105        590         67900
SH    SOLE            67900      0      0
INTEGRATED DEV TEC           COMMON STOCK   458118106      24174        833600
SH    SOLE           833600      0      0
INTEL CORP                   COMMON STOCK   458140100     998949      12136053
SH    SOLE         12136053      0      0
INTERMEDIA COMMUNICATION     COMMON STOCK   458801107      12886        332000
SH    SOLE           332000      0      0
INTERNATIONAL PAPER CO       COMMON STOCK   460146103      77413       1371651
SH    SOLE          1371651      0      0
INTERNET CAPITAL GROUP       COMMON STOCK   46059C106       1360          8000
SH    SOLE             8000      0      0
INTERPUBLIC GROUP COS        COMMON STOCK   460690100      64662       1120900
SH    SOLE          1120900      0      0
INTERSTATE BAKERIES          COMMON STOCK   46072H108       8646        477000
SH    SOLE           477000      0      0
INTERVOICE INC               COMMON STOCK   461142101       5457        234700
SH    SOLE           234700      0      0
INTIMATE BRANDS INC          COMMON STOCK   461156101       6027        139765
SH    SOLE           139765      0      0
INTL BUSINESS MACHINES       COMMON STOCK   459200101     613032       5682801
SH    SOLE          5682801      0      0
INTL FLAVORS & FRAGRANCES    COMMON STOCK   459506101      12236        325200
SH    SOLE           325200      0      0
INTL GAME TECHNOLOGY         COMMON STOCK   459902102      12833        631800
SH    SOLE           631800      0      0
INTL MULTIFOODS CORP         COMMON STOCK   460043102       1752        132250
SH    SOLE           132250      0      0
INTL SPEEDWAY CORP CL A      COMMON STOCK   460335201      19218        381500
SH    SOLE           381500      0      0
INTRAWARE INC                COMMON STOCK   46118M103       8314        104000
SH    SOLE           104000      0      0
INTUIT INC                   COMMON STOCK   461202103      80784       1347800
SH    SOLE          1347800      0      0
INVESTMENT TECHNOLOGY GP     COMMON STOCK   46145F105       7101        247000
SH    SOLE           247000      0      0
INVITROGEN CORP              COMMON STOCK   46185R100      11274        187900
SH    SOLE           187900      0      0
IPALCO ENTERPRISES INC       COMMON STOCK   462613100       9932        582100
SH    SOLE           582100      0      0
ISS GROUP INC                COMMON STOCK   450306105       4388         61700
SH    SOLE            61700      0      0
ITC DELTACOM INC             COMMON STOCK   45031T104       3315        120000
SH    SOLE           120000      0      0
ITT EDUCATIONAL SERVICES     COMMON STOCK   45068B109       1961        127000
SH    SOLE           127000      0      0
ITT INDUSTRIES INC           COMMON STOCK   450911102      10349        309500
SH    SOLE           309500      0      0
IVAX CORP                    COMMON STOCK   465823102      22167        860850
SH    SOLE           860850      0      0
IVEX PACKAGING CORP          COMMON STOCK   465855104        608         60800
SH    SOLE            60800      0      0
IXL ENTERPRISES INC          COMMON STOCK   450718101       1265         22800
SH    SOLE            22800      0      0
IXNET INC                    COMMON STOCK   46601C109       1591         52800
SH    SOLE            52800      0      0
JABIL CIRCUIT INC            COMMON STOCK   466313103      52049        713000
SH    SOLE           713000      0      0
JACOBS ENGINEERING GROUP     COMMON STOCK   469814107       5925        182300
SH    SOLE           182300      0      0
JARDINE STRATEGIC            FOREIGN STOCK  6472960         2189       1100000
SH    SOLE          1100000      0      0
JDA SOFTWARE GROUP INC       COMMON STOCK   46612K108       1228         75000
SH    SOLE            75000      0      0
JDS UNIPHASE CORP            COMMON STOCK   46612J101       8291         51400
SH    SOLE            51400      0      0
JEFFERSON-PILOT CORP         COMMON STOCK   475070108      28550        418312
SH    SOLE           418312      0      0
JOHNSON & JOHNSON            COMMON STOCK   478160104     425442       4562378
SH    SOLE          4562378      0      0
JOHNSON CONTROLS INC         COMMON STOCK   478366107      17415        306200
SH    SOLE           306200      0      0
JONES APPAREL GROUP INC      COMMON STOCK   480074103      28746       1059755
SH    SOLE          1059755      0      0
JONES PHARMA INC             COMMON STOCK   480236108       8166        188000
SH    SOLE           188000      0      0
JOSTENS INC                  COMMON STOCK   481088102       9611        395300
SH    SOLE           395300      0      0
JUNIPER NETWORKS INC         COMMON STOCK   48203R104       1224          3600
SH    SOLE             3600      0      0
KANSAS CITY POWER & LIGHT    COMMON STOCK   485134100       9564        433500
SH    SOLE           433500      0      0
KANSAS CITY SOUTHERN INDS    COMMON STOCK   485170104      25962        347900
SH    SOLE           347900      0      0
KAUFMAN & BROAD HOME CORP    COMMON STOCK   486168107       5244        216800
SH    SOLE           216800      0      0
KAYDON CORP                  COMMON STOCK   486587108       5848        218100
SH    SOLE           218100      0      0
KEANE INC                    COMMON STOCK   486665102      17698        550900
SH    SOLE           550900      0      0
KEEBLER FOODS CO             COMMON STOCK   487256109       1502         53400
SH    SOLE            53400      0      0
KELLOGG CO                   COMMON STOCK   487836108      58667       1904000
SH    SOLE          1904000      0      0
KELLWOOD CO                  COMMON STOCK   488044108        225         11600
SH    SOLE            11600      0      0
KELLY SERVICES INC CL A      COMMON STOCK   488152208       6382        254025
SH    SOLE           254025      0      0
KEMET CORPORATION            COMMON STOCK   488360108      12415        275500
SH    SOLE           275500      0      0
KENDLE INTERNATIONAL INC     COMMON STOCK   48880L107       2350        238000
SH    SOLE           238000      0      0
KENNAMETAL INC               COMMON STOCK   489170100       7993        237700
SH    SOLE           237700      0      0
KENNETH COLE PRODUCTN-CLA    COMMON STOCK   193294105       6776        148100
SH    SOLE           148100      0      0
KENT ELECTRONICS CORP        COMMON STOCK   490553104        530         23300
SH    SOLE            23300      0      0
KERR MCGEE CORP              COMMON STOCK   492386107      19673        317299
SH    SOLE           317299      0      0
KEYCORP                      COMMON STOCK   493267108      30859       1394760
SH    SOLE          1394760      0      0
KEYSPAN CORPORATION          COMMON STOCK   49337W100      24585       1060250
SH    SOLE          1060250      0      0
KEYSTONE FINANCIAL INC       COMMON STOCK   493482103       7111        337600
SH    SOLE           337600      0      0
KIMBERLY-CLARK CORP          COMMON STOCK   494368103     132521       2025152
SH    SOLE          2025152      0      0
KINDER MORGAN INC            COMMON STOCK   49455P101      18235        903300
SH    SOLE           903300      0      0
KING PHARMACEUTICALS INC     COMMON STOCK   495582108      13435        239650
SH    SOLE           239650      0      0
KLA-TENCOR CORP              COMMON STOCK   482480100      68262        612900
SH    SOLE           612900      0      0
KMART CORP                   COMMON STOCK   482584109      18777       1866000
SH    SOLE          1866000      0      0
KNIGHT-RIDDER INC            COMMON STOCK   499040103      30931        519300
SH    SOLE           519300      0      0
KOHLS CORP                   COMMON STOCK   500255104      80944       1121300
SH    SOLE          1121300      0      0
KROGER COMPANY               COMMON STOCK   501044101     141481       7495680
SH    SOLE          7495680      0      0
KULICKE & SOFFA IND INC      COMMON STOCK   501242101       6329        148700
SH    SOLE           148700      0      0
LABRANCHE & CO               COMMON STOCK   505447102       2040        160000
SH    SOLE           160000      0      0
LAIDLAW INC                  COMMON STOCK   50730K503       7789       1483700
SH    SOLE          1483700      0      0
LAKES GAMING INC             COMMON STOCK   51206P109         34          4250
SH    SOLE             4250      0      0
LAM RESEARCH CORP            COMMON STOCK   512807108      12049        108000
SH    SOLE           108000      0      0
LAMAR ADVERTISING CO         COMMON STOCK   512815101       5669         93600
SH    SOLE            93600      0      0
LANCASTER COLONY CORP        COMMON STOCK   513847103       9552        288363
SH    SOLE           288363      0      0
LANCE INC                    COMMON STOCK   514606102       2031        203100
SH    SOLE           203100      0      0
LANDMARK SYSTEMS CORP        COMMON STOCK   51506S100        770         73769
SH    SOLE            73769      0      0
LANDS END INC                COMMON STOCK   515086106       7509        216100
SH    SOLE           216100      0      0
LATTICE SEMICONDUCTOR        COMMON STOCK   518415104       1188         25200
SH    SOLE            25200      0      0
LEAR CORPORATION             COMMON STOCK   521865105      21091        659100
SH    SOLE           659100      0      0
LEARNING TREE INTL INC       COMMON STOCK   522015106       1159         41400
SH    SOLE            41400      0      0
LEE ENTERPRISES              COMMON STOCK   523768109       9936        311100
SH    SOLE           311100      0      0
LEGATO SYSTEMS INC           COMMON STOCK   524651106      51630        750300
SH    SOLE           750300      0      0
LEGG MASON                   COMMON STOCK   524901105      15961        440300
SH    SOLE           440300      0      0
LEGGETT & PLATT INC          COMMON STOCK   524660107      14024        654200
SH    SOLE           654200      0      0
LEHMAN BROTHERS HLDGS INC    COMMON STOCK   524908100      38736        457400
SH    SOLE           457400      0      0
LEVEL 3 COMMUNICATIONS       COMMON STOCK   52729N100       7467         91200
SH    SOLE            91200      0      0
LEXMARK INTL GROUP CL A      COMMON STOCK   529771107      90789       1003190
SH    SOLE          1003190      0      0
LG&E ENERGY CORP             COMMON STOCK   501917108      16241        931400
SH    SOLE           931400      0      0
LIBBEY INC                   COMMON STOCK   529898108        129          4500
SH    SOLE             4500      0      0
LIBERTY DIGITAL INC CL A     COMMON STOCK   530436104      10469        141000
SH    SOLE           141000      0      0
LILLY (ELI) & CO             COMMON STOCK   532457108     227234       3417050
SH    SOLE          3417050      0      0
LIMITED INC                  COMMON STOCK   532716107      29611        683665
SH    SOLE           683665      0      0
LINCARE HOLDINGS INC         COMMON STOCK   532791100      14232        410300
SH    SOLE           410300      0      0
LINCOLN ELECTRIC HOLDINGS    COMMON STOCK   533900106       1392         67500
SH    SOLE            67500      0      0
LINCOLN NATIONAL CORP        COMMON STOCK   534187109      25800        645000
SH    SOLE           645000      0      0
LINEAR TECHNOLOGY            COMMON STOCK   535678106      82068       1146800
SH    SOLE          1146800      0      0
LITTON INDUSTRIES INC        COMMON STOCK   538021106      17870        358300
SH    SOLE           358300      0      0
LIZ CLAIBORNE INC            COMMON STOCK   539320101       7137        189700
SH    SOLE           189700      0      0
LJL BIOSYSTEMS INC           COMMON STOCK   501873103        236         30000
SH    SOLE            30000      0      0
LOCKHEED MARTIN CORP         COMMON STOCK   539830109      47703       2180714
SH    SOLE          2180714      0      0
LOEWS CORP                   COMMON STOCK   540424108      20112        331400
SH    SOLE           331400      0      0
LONE-STAR STEAKHOUSE         COMMON STOCK   542307103       2061        231000
SH    SOLE           231000      0      0
LONGS DRUG STORES INC        COMMON STOCK   543162101       2979        115400
SH    SOLE           115400      0      0
LONGVIEW FIBRE CO            COMMON STOCK   543213102       4844        339900
SH    SOLE           339900      0      0
LORAL SPACE & COMMUNICA      COMMON STOCK   G56462107       3961        162900
SH    SOLE           162900      0      0
LOUISIANA-PACIFIC CORP       COMMON STOCK   546347105       6058        430780
SH    SOLE           430780      0      0
LOWES COMPANIES              COMMON STOCK   548661107      94686       1584700
SH    SOLE          1584700      0      0
LSI LOGIC CORP               COMMON STOCK   502161102      35579        527100
SH    SOLE           527100      0      0
LTX CORP                     COMMON STOCK   502392103      10501        469300
SH    SOLE           469300      0      0
LUBRIZOL CORP                COMMON STOCK   549271104      13471        436300
SH    SOLE           436300      0      0
LUCENT TECHNOLOGIES INC      COMMON STOCK   549463107     791183      10549103
SH    SOLE         10549103      0      0
LYONDELL CHEMICAL CO         COMMON STOCK   552078107      11001        862800
SH    SOLE           862800      0      0
M & T BANK CORP              COMMON STOCK   55261F104      17067         41200
SH    SOLE            41200      0      0
MACROMEDIA INC               COMMON STOCK   556100105      13477        184300
SH    SOLE           184300      0      0
MACROVISION CORP             COMMON STOCK   555904101       1850         25000
SH    SOLE            25000      0      0
MAGNETEK INC                 COMMON STOCK   559424106       1574        204700
SH    SOLE           204700      0      0
MALLINCKRODT INC             COMMON STOCK   561232109       7279        228800
SH    SOLE           228800      0      0
MANDALAY RESORT GROUP        COMMON STOCK   562567107      15340        762250
SH    SOLE           762250      0      0
MANOR CARE INC               COMMON STOCK   564055101       5987        374200
SH    SOLE           374200      0      0
MANPOWER INC                 COMMON STOCK   56418H100      20600        547500
SH    SOLE           547500      0      0
MANUGISTICS GROUP INC        COMMON STOCK   565011103       8695        269100
SH    SOLE           269100      0      0
MAPICS INC                   COMMON STOCK   564910107       2429        192400
SH    SOLE           192400      0      0
MARCUS CORP                  COMMON STOCK   566330106       2688        200000
SH    SOLE           200000      0      0
MARINE DRILLING CO INC       COMMON STOCK   568240204       1102         49100
SH    SOLE            49100      0      0
MARK IV INDUSTRIES INC       COMMON STOCK   570387100       6099        344809
SH    SOLE           344809      0      0
MARRIOTT INTL CLASS A        COMMON STOCK   571903202      21911        694200
SH    SOLE           694200      0      0
MARSH & MCLENNAN COS         COMMON STOCK   571748102      79727        833200
SH    SOLE           833200      0      0
MARSHALL & ILSLEY CORP       COMMON STOCK   571834100      49050        780900
SH    SOLE           780900      0      0
MARTIN MARIETTA MATERIALS    COMMON STOCK   573284106      14526        354300
SH    SOLE           354300      0      0
MASCO CORP                   COMMON STOCK   574599106      35436       1396500
SH    SOLE          1396500      0      0
MASTEC INC                   COMMON STOCK   576323109       1780         40000
SH    SOLE            40000      0      0
MATTEL INC                   COMMON STOCK   577081102      18484       1408314
SH    SOLE          1408314      0      0
MAXIM INTEGRATED PROD        COMMON STOCK   57772K101     100349       2126600
SH    SOLE          2126600      0      0
MAXXAM INC                   COMMON STOCK   577913106       1989         46400
SH    SOLE            46400      0      0
MAXYGEN INC                  COMMON STOCK   577776107       1235         17400
SH    SOLE            17400      0      0
MAY DEPARTMENT STORES CO     COMMON STOCK   577778103      86353       2677600
SH    SOLE          2677600      0      0
MAYTAG CORP                  COMMON STOCK   578592107      13613        283600
SH    SOLE           283600      0      0
MBIA INC                     COMMON STOCK   55262C100      19541        370000
SH    SOLE           370000      0      0
MBNA CORP                    COMMON STOCK   55262L100     156084       5727850
SH    SOLE          5727850      0      0
MCCLATCHY NEWS CLASS A       COMMON STOCK   579489105       1155         26700
SH    SOLE            26700      0      0
MCCORMICK & CO-NON VOTING    COMMON STOCK   579780206      15672        526800
SH    SOLE           526800      0      0
MCDERMOTT INTERNATIONAL      COMMON STOCK   580037109       1366        150700
SH    SOLE           150700      0      0
MCDONALDS CORP               COMMON STOCK   580135101     249738       6195044
SH    SOLE          6195044      0      0
MCGRAW-HILL COMPANIES INC    COMMON STOCK   580645109      36330        589528
SH    SOLE           589528      0      0
MCI WORLDCOM INC             COMMON STOCK   55268B106     598421      11277661
SH    SOLE         11277661      0      0
MCKESSON CORP HBOC INC       COMMON STOCK   58155Q103      25354       1126855
SH    SOLE          1126855      0      0
MCLEOD USA INC-CL A          COMMON STOCK   582266102      14130        240000
SH    SOLE           240000      0      0
MCN ENERGY GROUP INC         COMMON STOCK   55267J100      14666        617500
SH    SOLE           617500      0      0
MEAD CORP                    COMMON STOCK   582834107      13279        305700
SH    SOLE           305700      0      0
MEDIA GENERAL INC-CL A       COMMON STOCK   584404107      10000        192300
SH    SOLE           192300      0      0
MEDIALINK WORLDWIDE INC      COMMON STOCK   58445P105       2109        261585
SH    SOLE           261585      0      0
MEDIAONE GROUP INC           COMMON STOCK   58440J104     199014       2590900
SH    SOLE          2590900      0      0
MEDICALOGIC INC              COMMON STOCK   584642102        370         17600
SH    SOLE            17600      0      0
MEDICIS PHARMACEUT CL A      COMMON STOCK   584690309       6177        145125
SH    SOLE           145125      0      0
MEDIMMUNE INC                COMMON STOCK   584699102      81776        493000
SH    SOLE           493000      0      0
MEDQUIST INC                 COMMON STOCK   584949101       4419        171200
SH    SOLE           171200      0      0
MEDTRONIC INC                COMMON STOCK   585055106     219483       6023545
SH    SOLE          6023545      0      0
MELLON FINANCIAL CORP        COMMON STOCK   58551A108      53093       1558684
SH    SOLE          1558684      0      0
MEMBERWORKS INC              COMMON STOCK   586002107       4358        131300
SH    SOLE           131300      0      0
MEN'S WEARHOUSE INC (THE)    COMMON STOCK   587118100       1116         38000
SH    SOLE            38000      0      0
MENTOR CORP                  COMMON STOCK   587188103       4646        180000
SH    SOLE           180000      0      0
MENTOR GRAPHICS CORP         COMMON STOCK   587200106       6900        523200
SH    SOLE           523200      0      0
MERCANTILE BANKSHARES        COMMON STOCK   587405101      17031        533275
SH    SOLE           533275      0      0
MERCK & CO INC               COMMON STOCK   589331107     519924       7738404
SH    SOLE          7738404      0      0
MERCURY GENERAL CORP         COMMON STOCK   589400100        418         18800
SH    SOLE            18800      0      0
MERCURY INTERACTIVE CORP     COMMON STOCK   589405109      16180        149900
SH    SOLE           149900      0      0
MEREDITH CORP                COMMON STOCK   589433101      22620        542600
SH    SOLE           542600      0      0
MERITOR AUTOMOTIVE INC       COMMON STOCK   59000G100       9339        482000
SH    SOLE           482000      0      0
MERRILL LYNCH & CO           COMMON STOCK   590188108     108781       1305700
SH    SOLE          1305700      0      0
MESA AIR GROUP INC           COMMON STOCK   590479101        554        116700
SH    SOLE           116700      0      0
METAMOR WORLDWIDE INC        COMMON STOCK   59133P100       3632        124700
SH    SOLE           124700      0      0
METRIS COMPANIES             COMMON STOCK   591598107       2545         71300
SH    SOLE            71300      0      0
METTLER-TOLEDO INTL INC      COMMON STOCK   592688105       3819        100000
SH    SOLE           100000      0      0
MGIC INVESTMENT CORP         COMMON STOCK   552848103      23383        388500
SH    SOLE           388500      0      0
MGM GRAND INC                COMMON STOCK   552953101        789         15683
SH    SOLE            15683      0      0
MICHAELS STORES INC          COMMON STOCK   594087108       1337         46900
SH    SOLE            46900      0      0
MICRO WAREHOUSE INC          COMMON STOCK   59501B105       4311        233000
SH    SOLE           233000      0      0
MICROCHIP TECHNOLOGY INC     COMMON STOCK   595017104      31618        462000
SH    SOLE           462000      0      0
MICRON TECHNOLOGY            COMMON STOCK   595112103      70185        902700
SH    SOLE           902700      0      0
MICROSOFT CORP               COMMON STOCK   594918104    2045827      17523141
SH    SOLE         17523141      0      0
MICROSOFT CORP RESTRICTED    COMMON STOCK   594918997       1838         15746
SH    SOLE            15746      0      0
MID ATLANTIC MED SVC         COMMON STOCK   59523C107        681         81900
SH    SOLE            81900      0      0
MIDAMERICAN ENERGY HLDGS     COMMON STOCK   59562V107      15335        455200
SH    SOLE           455200      0      0
MIDWAY GAMES INC             COMMON STOCK   598148104       1671         69800
SH    SOLE            69800      0      0
MILACRON INC                 COMMON STOCK   598709103        687         44700
SH    SOLE            44700      0      0
MILLENNIUM PHARMACEUTICAL    COMMON STOCK   599902103      69174        567000
SH    SOLE           567000      0      0
MILLER (HERMAN) INC          COMMON STOCK   600544100      13634        592800
SH    SOLE           592800      0      0
MILLIPORE CORP               COMMON STOCK   601073109       5326        137900
SH    SOLE           137900      0      0
MINDSPRING ENTERPRISES       COMMON STOCK   602683104       2429         92000
SH    SOLE            92000      0      0
MINERALS TECH                COMMON STOCK   603158106       6871        171500
SH    SOLE           171500      0      0
MINIMED INC                  COMMON STOCK   60365K108      17324        236500
SH    SOLE           236500      0      0
MINNESOTA MINING & MFG CO    COMMON STOCK   604059105     180579       1845000
SH    SOLE          1845000      0      0
MINNESOTA POWER & LIGHT      COMMON STOCK   604110106       8545        504500
SH    SOLE           504500      0      0
MIRAGE RESORTS INC           COMMON STOCK   60462E104      13962        923100
SH    SOLE           923100      0      0
MISSISSIPPI CHEMICAL CORP    COMMON STOCK   605288208         83         13400
SH    SOLE            13400      0      0
MKS INSTRUMENTS INC          COMMON STOCK   55306N104      12189        337400
SH    SOLE           337400      0      0
MOBILE MINI INC              COMMON STOCK   60740F105       5480        254900
SH    SOLE           254900      0      0
MODEM MEDIA POPPE TYSON      COMMON STOCK   607533106       1422         20200
SH    SOLE            20200      0      0
MODINE MANUFACTURING CO      COMMON STOCK   607828100       5155        206200
SH    SOLE           206200      0      0
MODIS PROFESSIONAL SVCS      COMMON STOCK   607830106      11292        792435
SH    SOLE           792435      0      0
MOHAWK IND INC               COMMON STOCK   608190104      11120        421600
SH    SOLE           421600      0      0
MOLECULAR DIVICES CORP       COMMON STOCK   60851C107       7431        142900
SH    SOLE           142900      0      0
MOLEX INC                    COMMON STOCK   608554101      34090        601363
SH    SOLE           601363      0      0
MONSANTO CO                  COMMON STOCK   611662107     106274       2998900
SH    SOLE          2998900      0      0
MONTANA POWER CO             COMMON STOCK   612085100      29416        815700
SH    SOLE           815700      0      0
MORGAN J P & COMPANY         COMMON STOCK   616880100      71480        564500
SH    SOLE           564500      0      0
MORGAN ST DEAN WITTER        COMMON STOCK   617446448     308093       2158270
SH    SOLE          2158270      0      0
MOTOROLA INC                 COMMON STOCK   620076109     321255       2181700
SH    SOLE          2181700      0      0
MP3.COM INC                  COMMON STOCK   62473M109        355         11200
SH    SOLE            11200      0      0
MSC INDUSTRIAL DIRECT-CLA    COMMON STOCK   553530106        125          9400
SH    SOLE             9400      0      0
MURPHY OIL CORP              COMMON STOCK   626717102      24644        429523
SH    SOLE           429523      0      0
MYLAN LABORATORIES           COMMON STOCK   628530107      23369        927800
SH    SOLE           927800      0      0
NABISCO GROUP HOLDINGS CP    COMMON STOCK   62952P102       8327        783700
SH    SOLE           783700      0      0
NABISCO HOLDINGS-CL A        COMMON STOCK   629526104       5639        179000
SH    SOLE           179000      0      0
NABORS INDUSTRIES INC        COMMON STOCK   629568106      32902       1063500
SH    SOLE          1063500      0      0
NACCO INDUSTRIES-CL A        COMMON STOCK   629579103       1550         27900
SH    SOLE            27900      0      0
NANOMETRICS INC              COMMON STOCK   630077105        664         33000
SH    SOLE            33000      0      0
NATIONAL CITY CORP           COMMON STOCK   635405103      45752       1931480
SH    SOLE          1931480      0      0
NATIONAL COMPUTER SYS INC    COMMON STOCK   635519101        628         16700
SH    SOLE            16700      0      0
NATIONAL FUEL GAS CO         COMMON STOCK   636180101      13699        294600
SH    SOLE           294600      0      0
NATIONAL SEMICONDUCTOR       COMMON STOCK   637640103      23436        547400
SH    SOLE           547400      0      0
NATIONAL SERVICE INDS INC    COMMON STOCK   637657107       2906         98500
SH    SOLE            98500      0      0
NATL COMMERCE BANCORP        COMMON STOCK   635449101      17063        752100
SH    SOLE           752100      0      0
NATL EQUIPMENT SERVICES      COMMON STOCK   635847106        490         78400
SH    SOLE            78400      0      0
NAVIGANT CONSULTING CO       COMMON STOCK   63935N107       3154        290000
SH    SOLE           290000      0      0
NAVISTAR INTERNATIONAL CP    COMMON STOCK   63934E108      10523        223900
SH    SOLE           223900      0      0
NBTY INC                     COMMON STOCK   628782104        127         11000
SH    SOLE            11000      0      0
NCH CORP                     COMMON STOCK   628850109       1564         35100
SH    SOLE            35100      0      0
NCO GROUP INC                COMMON STOCK   628858102       9989        331600
SH    SOLE           331600      0      0
NCR CORPORATION              COMMON STOCK   62886E108      26900        710244
SH    SOLE           710244      0      0
NEIMAN MARCUS GROUP-CL A     COMMON STOCK   640204202      10616        380000
SH    SOLE           380000      0      0
NET PERCEPTIONS INC          COMMON STOCK   64107U101        798         19000
SH    SOLE            19000      0      0
NETSCOUT SYSTEMS INC         COMMON STOCK   64115T104        663         21400
SH    SOLE            21400      0      0
NETWORK ASSOCIATES INC       COMMON STOCK   640938106      31345       1174503
SH    SOLE          1174503      0      0
NETWORK APPLIANCE INC        COMMON STOCK   64120L104      38790        467000
SH    SOLE           467000      0      0
NETWORK ACCESS SOLUTIONS     COMMON STOCK   64120S109       1046         31700
SH    SOLE            31700      0      0
NEW CENTURY ENERGIES INC     COMMON STOCK   64352U103      10565        347825
SH    SOLE           347825      0      0
NEW ENGLAND ELECTRIC SYS     COMMON STOCK   644001109      22097        427000
SH    SOLE           427000      0      0
NEW YORK TIMES-CL A          COMMON STOCK   650111107      34139        694940
SH    SOLE           694940      0      0
NEWBRIDGE NETWORKS CORP      COMMON STOCK   650901101       9476        420000
SH    SOLE           420000      0      0
NEWELL RUBBERMAID INC        COMMON STOCK   651229106      24221        835213
SH    SOLE           835213      0      0
NEWMONT MINING CORP          COMMON STOCK   651639106      15799        644844
SH    SOLE           644844      0      0
NEWPARK RESOURCES INC        COMMON STOCK   651718504       2065        337200
SH    SOLE           337200      0      0
NEWPORT NEWS SHIPBUILDING    COMMON STOCK   652228107       6751        245500
SH    SOLE           245500      0      0
NEWS CORP LTD-ADR            FOREIGN STOCK  652487703       6489        169660
SH    SOLE           169660      0      0
NEWS CORP LTD-SP ADR PFD     FOREIGN STOCK  652487802      30094        900000
SH    SOLE           900000      0      0
NEXTEL COMMUNICATIONS-CLA    COMMON STOCK   65332V103     119097       1154882
SH    SOLE          1154882      0      0
NFO WORLDWIDE INC            COMMON STOCK   62910N108       1271         56800
SH    SOLE            56800      0      0
NIAGARA MOHAWK HOLDINGS      COMMON STOCK   653520106      11759        843700
SH    SOLE           843700      0      0
NICOR INC                    COMMON STOCK   654086107       4813        148100
SH    SOLE           148100      0      0
NIKE INC-CL B                COMMON STOCK   654106103      46946        947200
SH    SOLE           947200      0      0
NISOURCE INC                 COMMON STOCK   65473P105      17269        966100
SH    SOLE           966100      0      0
NOBLE AFFILIATES             COMMON STOCK   654894104       8607        401500
SH    SOLE           401500      0      0
NOBLE DRILLING CORP          COMMON STOCK   655042109      72528       2214600
SH    SOLE          2214600      0      0
NOKIA CORP ADR CL A          FOREIGN STOCK  654902204      39225        205300
SH    SOLE           205300      0      0
NORDSON CORP                 COMMON STOCK   655663102       5819        120600
SH    SOLE           120600      0      0
NORDSTROM INC                COMMON STOCK   655664100      11162        424200
SH    SOLE           424200      0      0
NORFOLK SOUTHERN             COMMON STOCK   655844108      23782       1160100
SH    SOLE          1160100      0      0
NORTEL NETWORKS CORP         COMMON STOCK   656569100     433929       4296326
SH    SOLE          4296326      0      0
NORTH FORK BANCORPORATION    COMMON STOCK   659424105      17827       1026000
SH    SOLE          1026000      0      0
NORTHEAST UTILITIES          COMMON STOCK   664397106      19063        927100
SH    SOLE           927100      0      0
NORTHERN STATES POWER CO     COMMON STOCK   665772109      11004        564300
SH    SOLE           564300      0      0
NORTHERN TRUST CORP          COMMON STOCK   665859104      36687        692200
SH    SOLE           692200      0      0
NORTHROP GRUMMAN CORP        COMMON STOCK   666807102      14127        261300
SH    SOLE           261300      0      0
NORTHWEST AIRLINES           COMMON STOCK   667280101        405         18200
SH    SOLE            18200      0      0
NOVA CORP                    COMMON STOCK   669784100      26838        850300
SH    SOLE           850300      0      0
NOVELL INC                   COMMON STOCK   670006105      42769       1070900
SH    SOLE          1070900      0      0
NOVELLUS SYSTEMS INC         COMMON STOCK   670008101      34689        283100
SH    SOLE           283100      0      0
NOVEN PHARMACEUTICALS INC    COMMON STOCK   670009109       4539        250400
SH    SOLE           250400      0      0
NOVOSTE CORP                 COMMON STOCK   67010C100       1452         88000
SH    SOLE            88000      0      0
NSTAR                        COMMON STOCK   67019E107      18676        461128
SH    SOLE           461128      0      0
NUCOR CORP                   COMMON STOCK   670346105      14103        257300
SH    SOLE           257300      0      0
OCCIDENTAL PETROLEUM CORP    COMMON STOCK   674599105      20859        964600
SH    SOLE           964600      0      0
OCEAN ENERGY INC             COMMON STOCK   67481E106       9340       1205100
SH    SOLE          1205100      0      0
OCULAR SCIENCES INC          COMMON STOCK   675744106        923         48900
SH    SOLE            48900      0      0
OCWEN FINANCIAL CORP         COMMON STOCK   675746101         16          2600
SH    SOLE             2600      0      0
OFFICE DEPOT INC             COMMON STOCK   676220106      12351       1122812
SH    SOLE          1122812      0      0
OFFICEMAX INC                COMMON STOCK   67622M108       5381        989600
SH    SOLE           989600      0      0
OGDEN CORP                   COMMON STOCK   676346109       3969        332500
SH    SOLE           332500      0      0
OGE ENERGY CORP              COMMON STOCK   670837103      10173        535400
SH    SOLE           535400      0      0
OHIO CASUALTY CORP           COMMON STOCK   677240103       6762        421000
SH    SOLE           421000      0      0
OLD KENT FINANCIAL CORP      COMMON STOCK   679833103      13453        380305
SH    SOLE           380305      0      0
OLD REPUBLIC INTL CORP       COMMON STOCK   680223104      14301       1049625
SH    SOLE          1049625      0      0
OLIN CORP                    COMMON STOCK   680665205       6033        304500
SH    SOLE           304500      0      0
OLSTEN CORP                  COMMON STOCK   681385100       5925        523750
SH    SOLE           523750      0      0
OMNICARE INC                 COMMON STOCK   681904108       9029        752400
SH    SOLE           752400      0      0
OMNICOM GROUP INC            COMMON STOCK   681919106      68670        686700
SH    SOLE           686700      0      0
OMNOVA SOLUTIONS INC         COMMON STOCK   682129101        111         14300
SH    SOLE            14300      0      0
ONEOK INC                    COMMON STOCK   682680103       3339        132900
SH    SOLE           132900      0      0
OPEN MARKET INC              COMMON STOCK   68370M100       1399         31000
SH    SOLE            31000      0      0
OPENTV CORP                  COMMON STOCK   G67543101        514          6400
SH    SOLE             6400      0      0
OPTICAL COATING LABORATOR    COMMON STOCK   683829105       7637         25800
SH    SOLE            25800      0      0
ORACLE CORPORATION           COMMON STOCK   68389X105     504474       4501722
SH    SOLE          4501722      0      0
ORBOTECH LTD                 COMMON STOCK   M75253100       1163         15000
SH    SOLE            15000      0      0
OREGON STEEL MILLS INC       COMMON STOCK   686079104       1228        154700
SH    SOLE           154700      0      0
OUTBACK STEAKHOUSE INC       COMMON STOCK   689899102      16927        652600
SH    SOLE           652600      0      0
OVERSEAS SHIPHOLDING         COMMON STOCK   690368105       3420        230880
SH    SOLE           230880      0      0
OWENS CORNING                COMMON STOCK   69073F103       2010        104100
SH    SOLE           104100      0      0
OWENS & MINOR INC HLDG CO    COMMON STOCK   690732102        853         95400
SH    SOLE            95400      0      0
OWENS-ILLINOIS INC           COMMON STOCK   690768403      11002        439000
SH    SOLE           439000      0      0
OXFORD HEALTH PLANS          COMMON STOCK   691471106       7805        615200
SH    SOLE           615200      0      0
P G & E CORP                 COMMON STOCK   69331C108      25452       1241538
SH    SOLE          1241538      0      0
P F CHANGS CHINA BISTRO      COMMON STOCK   69333Y108       5413        217600
SH    SOLE           217600      0      0
P P & L RESOURCES INC        COMMON STOCK   693499105      14347        627200
SH    SOLE           627200      0      0
P T TELEKOMUNIKASI-ADR       FOREIGN STOCK  715684106       2200        200000
SH    SOLE           200000      0      0
PACCAR INC                   COMMON STOCK   693718108      13369        301690
SH    SOLE           301690      0      0
PACIFIC CENTURY FINL CORP    COMMON STOCK   694058108      10600        567230
SH    SOLE           567230      0      0
PACIFICARE HEALTH SYSTEMS    COMMON STOCK   695112102      30808        581283
SH    SOLE           581283      0      0
PACTIV CORP                  COMMON STOCK   695257105       5702        536700
SH    SOLE           536700      0      0
PAINE WEBBER GROUP INC       COMMON STOCK   695629105      18907        487125
SH    SOLE           487125      0      0
PALL CORP                    COMMON STOCK   696429307       7556        350433
SH    SOLE           350433      0      0
PANERA BREAD CO CLASS A      COMMON STOCK   69840W108       3119        402400
SH    SOLE           402400      0      0
PAPA JOHN'S INTL INC         COMMON STOCK   698813102       5455        209300
SH    SOLE           209300      0      0
PARAMETRIC TECHNOLOGY CP     COMMON STOCK   699173100      21266        785800
SH    SOLE           785800      0      0
PARK PLACE ENTERTAINMENT     COMMON STOCK   700690100      49994       3999500
SH    SOLE          3999500      0      0
PARKER HANNIFIN CORP         COMMON STOCK   701094104      33002        643150
SH    SOLE           643150      0      0
PARTNERRE LTD                FOREIGN STOCK  G6852T105       6861        211500
SH    SOLE           211500      0      0
PATTERSON DENTAL CO          COMMON STOCK   703412106        746         17500
SH    SOLE            17500      0      0
PAUL HARRIS STORES INC       COMMON STOCK   703555201        517        187900
SH    SOLE           187900      0      0
PAYCHEX INC                  COMMON STOCK   704326107      33294        832361
SH    SOLE           832361      0      0
PAYLESS SHOESOURCE INC       COMMON STOCK   704379106      11500        244688
SH    SOLE           244688      0      0
PC CONNECTION INC            COMMON STOCK   69318J100       8145        236100
SH    SOLE           236100      0      0
PC-TEL INC                   COMMON STOCK   69325Q105       6316        120300
SH    SOLE           120300      0      0
PE CORP-PE BIOSYSTEMS GRP    COMMON STOCK   69332S102      48101        399800
SH    SOLE           399800      0      0
PECO ENERGY CO               COMMON STOCK   693304107      18605        535400
SH    SOLE           535400      0      0
PEGASUS COMMUNICATIONS CP    COMMON STOCK   705904100      16891        172800
SH    SOLE           172800      0      0
PEGASUS SYSTEMS INC          COMMON STOCK   705906105       4180         69300
SH    SOLE            69300      0      0
PENNEY (J C) CO INC          COMMON STOCK   708160106      19537        979900
SH    SOLE           979900      0      0
PENNZOIL-QUAKER STATE CO     COMMON STOCK   709323109       5213        511735
SH    SOLE           511735      0      0
PENTAIR INC                  COMMON STOCK   709631105      13795        358300
SH    SOLE           358300      0      0
PENTON MEDIA INC             COMMON STOCK   709668107        307         12800
SH    SOLE            12800      0      0
PEOPLES ENERGY CORP          COMMON STOCK   711030106       4171        124500
SH    SOLE           124500      0      0
PEOPLES HERITAGE FIN'L GP    COMMON STOCK   711147108        354         23500
SH    SOLE            23500      0      0
PEOPLESOFT INC               COMMON STOCK   712713106      36067       1692300
SH    SOLE          1692300      0      0
PEP BOYS MANNY MO JK         COMMON STOCK   713278109       1307        146200
SH    SOLE           146200      0      0
PEPSICO INC                  COMMON STOCK   713448108     166167       4713954
SH    SOLE          4713954      0      0
PEREGRINE SYSTEMS INC        COMMON STOCK   71366Q101      27285        324100
SH    SOLE           324100      0      0
PERFORMANCE FOOD GROUP       COMMON STOCK   713755106       1277         52400
SH    SOLE            52400      0      0
PERKINELMER INC              COMMON STOCK   714046109      14541        348800
SH    SOLE           348800      0      0
PERRIGO COMPANY              COMMON STOCK   714290103       3520        440000
SH    SOLE           440000      0      0
PERSONNEL GROUP OF AMER      COMMON STOCK   715338109       1753        171000
SH    SOLE           171000      0      0
PETCO ANIMAL SUPPLIES INC    COMMON STOCK   716016100        699         47000
SH    SOLE            47000      0      0
PETROLEO BRASILEIRO S.A.     FOREIGN STOCK  71654V101       7749        311500
SH    SOLE           311500      0      0
PETROLEUM GEO-SVCS ADR       COMMON STOCK   716597109       2417        135700
SH    SOLE           135700      0      0
PETSMART                     COMMON STOCK   716768106        429         74600
SH    SOLE            74600      0      0
PFIZER INC                   COMMON STOCK   717081103     428202      13200825
SH    SOLE         13200825      0      0
PFSWEB INC                   COMMON STOCK   717098107        750         20000
SH    SOLE            20000      0      0
PHARMACIA & UPJOHN INC       COMMON STOCK   716941109      72119       1602635
SH    SOLE          1602635      0      0
PHARMACOPEIA INC             COMMON STOCK   71713B104       4371        193200
SH    SOLE           193200      0      0
PHARMACYCLICS INC            COMMON STOCK   716933106       3795         92000
SH    SOLE            92000      0      0
PHELPS DODGE CORP            COMMON STOCK   717265102      17246        255970
SH    SOLE           255970      0      0
PHILIP MORRIS COMPANIES      COMMON STOCK   718154107     158465       6889800
SH    SOLE          6889800      0      0
PHILLIPS PETROLEUM           COMMON STOCK   718507106      48748       1037200
SH    SOLE          1037200      0      0
PHOENIX INVT PARTNERS        COMMON STOCK   719085102        578         71100
SH    SOLE            71100      0      0
PHOTON DYNAMICS INC          COMMON STOCK   719364101        915         23600
SH    SOLE            23600      0      0
PHOTRONICS INC               COMMON STOCK   719405102        601         21000
SH    SOLE            21000      0      0
PIER 1 IMPORTS INC           COMMON STOCK   720279108       1497        234900
SH    SOLE           234900      0      0
PILOT NETWORK SERVICES       COMMON STOCK   721596104        456         19000
SH    SOLE            19000      0      0
PINNACLE HOLDINGS INC        COMMON STOCK   72346N101        881         20800
SH    SOLE            20800      0      0
PINNACLE SYSTEMS INC         COMMON STOCK   723481107      16011        393500
SH    SOLE           393500      0      0
PINNACLE WEST CAPITAL CP     COMMON STOCK   723484101       7390        241800
SH    SOLE           241800      0      0
PIONEER NATURAL RESOURCES    COMMON STOCK   723787107       5851        654700
SH    SOLE           654700      0      0
PITNEY-BOWES INC             COMMON STOCK   724479100      43955        909800
SH    SOLE           909800      0      0
PITTSTON BRINKS GROUP        COMMON STOCK   725701106       6050        275000
SH    SOLE           275000      0      0
PLACER DOME INC              COMMON STOCK   725906101       9705        902800
SH    SOLE           902800      0      0
PLAYERS INTERNATIONAL INC    COMMON STOCK   727903106        702         85400
SH    SOLE            85400      0      0
PMC-SIERRA INC               COMMON STOCK   69344F106       3415         21300
SH    SOLE            21300      0      0
PNC BANK CORP                COMMON STOCK   693475105      51620       1160000
SH    SOLE          1160000      0      0
POGO PRODUCING CO            COMMON STOCK   730448107        964         47300
SH    SOLE            47300      0      0
POHANG IRON & STEEL CO.      FOREIGN STOCK  730450103          0          8000
SH    SOLE             8000      0      0
POLAROID CORP                COMMON STOCK   731095105       1959        104153
SH    SOLE           104153      0      0
POLICY MGMT SYSTEMS          COMMON STOCK   731108106      10003        391300
SH    SOLE           391300      0      0
POLYCOM INC                  COMMON STOCK   73172K104      26723        419600
SH    SOLE           419600      0      0
POPULAR INC                  COMMON STOCK   733174106        271          9700
SH    SOLE             9700      0      0
PORTAL SOFTWARE INC          COMMON STOCK   736126103        977          9500
SH    SOLE             9500      0      0
POST PROPERTIES INC          COMMON STOCK   737464107       1698         44400
SH    SOLE            44400      0      0
POTASH CORP SASKATCHEWAN     COMMON STOCK   73755L107        154          3200
SH    SOLE             3200      0      0
POTLATCH CORP                COMMON STOCK   737628107       3262         73100
SH    SOLE            73100      0      0
POTOMAC ELECTRIC POWER       COMMON STOCK   737679100      19245        839000
SH    SOLE           839000      0      0
POWER INTEGRATIONS INC       COMMON STOCK   739276103      10024        209100
SH    SOLE           209100      0      0
POWERWAVE TECHNOLOGIES       COMMON STOCK   739363109       8768        150200
SH    SOLE           150200      0      0
PPG INDUSTRIES               COMMON STOCK   693506107      47629        761300
SH    SOLE           761300      0      0
PRAXAIR INC                  COMMON STOCK   74005P104      29584        588000
SH    SOLE           588000      0      0
PRECISION CASTPARTS          COMMON STOCK   740189105       4413        168100
SH    SOLE           168100      0      0
PRECISION RESPONSE CORP      COMMON STOCK   740314109       2529        104300
SH    SOLE           104300      0      0
PREMIER PARKS INC            COMMON STOCK   740540208      19909        689500
SH    SOLE           689500      0      0
PREPAID LEGAL SERVICES       COMMON STOCK   740065107        960         40000
SH    SOLE            40000      0      0
PRESIDENTIAL LIFE CORP       COMMON STOCK   740884101        553         30100
SH    SOLE            30100      0      0
PRI AUTOMATION INC           COMMON STOCK   69357H106      20688        308200
SH    SOLE           308200      0      0
PRICE (T ROWE) ASSOC         COMMON STOCK   741477103      17342        469500
SH    SOLE           469500      0      0
PRIDE INTERNATIONAL INC      COMMON STOCK   741932107        702         48000
SH    SOLE            48000      0      0
PRIMARK CORP                 COMMON STOCK   741903108       1446         52000
SH    SOLE            52000      0      0
PRIORITY HEALTHCARE-CL B     COMMON STOCK   74264T102        972         33600
SH    SOLE            33600      0      0
PROCTER & GAMBLE CO          COMMON STOCK   742718109     515145       4701834
SH    SOLE          4701834      0      0
PROFESSIONAL DETAILING       COMMON STOCK   74312N107       8760        292600
SH    SOLE           292600      0      0
PROFIT RECOVERY GRP INTL     COMMON STOCK   743168106        677         25487
SH    SOLE            25487      0      0
PROGRESS SOFTWARE CORP       COMMON STOCK   743312100       2747         48400
SH    SOLE            48400      0      0
PROGRESSIVE CORP             COMMON STOCK   743315103      16526        226000
SH    SOLE           226000      0      0
PROJECT SOFTWARE & DEVLOP    COMMON STOCK   74339P101       2775         50000
SH    SOLE            50000      0      0
PROLOGIS TRUST               COMMON STOCK   743410102      10707        556200
SH    SOLE           556200      0      0
PROTECTIVE LIFE CORP         COMMON STOCK   743674103      25199        792100
SH    SOLE           792100      0      0
PROVANTAGE HEALTH SERVICE    COMMON STOCK   743725103        337         37700
SH    SOLE            37700      0      0
PROVIDENT FINANCIAL GROUP    COMMON STOCK   743866105      11584        322900
SH    SOLE           322900      0      0
PROVIDIAN FINANCIAL CORP     COMMON STOCK   74406A102      51769        568500
SH    SOLE           568500      0      0
PROVINCE HEALTHCARE CO       COMMON STOCK   743977100       3463        182278
SH    SOLE           182278      0      0
PROXICOM INC                 COMMON STOCK   744282104      14594        117400
SH    SOLE           117400      0      0
PROXIM INC                   COMMON STOCK   744284100      12221        111100
SH    SOLE           111100      0      0
PSS WORLD MEDICAL INC        COMMON STOCK   69366A100       6503        689100
SH    SOLE           689100      0      0
PUBLIC SERVICE OF N MEX      COMMON STOCK   744499104       4444        273500
SH    SOLE           273500      0      0
PUBLIC SERVICE ENTERPRISE    COMMON STOCK   744573106      22753        653600
SH    SOLE           653600      0      0
PUGET SOUND ENERGY INC       COMMON STOCK   745332106      11300        583200
SH    SOLE           583200      0      0
PULTE CORP                   COMMON STOCK   745867101       3953        175700
SH    SOLE           175700      0      0
QLOGIC CORP                  COMMON STOCK   747277101      61952        387500
SH    SOLE           387500      0      0
QLT PHOTOTHERAPEUTICS INC    COMMON STOCK   746927102       1839         31300
SH    SOLE            31300      0      0
QRS CORP                     COMMON STOCK   74726X105      21903        208600
SH    SOLE           208600      0      0
QUAKER OATS CO               COMMON STOCK   747402105      41350        630100
SH    SOLE           630100      0      0
QUALCOMM INC                 COMMON STOCK   747525103     370461       2103396
SH    SOLE          2103396      0      0
QUANTA SERVICES INC          COMMON STOCK   74762E102       4331        153300
SH    SOLE           153300      0      0
QUANTUM CORP DSSG            COMMON STOCK   747906204      18843       1245800
SH    SOLE          1245800      0      0
QUEENS COUNTY BANCORP INC    COMMON STOCK   748242104        943         34750
SH    SOLE            34750      0      0
QUESTAR CORP                 COMMON STOCK   748356102       8943        596200
SH    SOLE           596200      0      0
QUIKSILVER INC               COMMON STOCK   74838C106        436         28150
SH    SOLE            28150      0      0
QUINTILES TRANSNATIONAL      COMMON STOCK   748767100      19831       1061200
SH    SOLE          1061200      0      0
QUORUM HEALTH GROUP INC      COMMON STOCK   749084109       4579        491700
SH    SOLE           491700      0      0
R & B FALCON CORP            COMMON STOCK   74912E101        712         53700
SH    SOLE            53700      0      0
RADIAN GROUP INC             COMMON STOCK   750236101       5730        120000
SH    SOLE           120000      0      0
RADIANT SYSTEMS              COMMON STOCK   75025N102        965         24000
SH    SOLE            24000      0      0
RADISYS CORP                 COMMON STOCK   750459109       6839        134100
SH    SOLE           134100      0      0
RALSTON-RALSTON PURINA GR    COMMON STOCK   751277302      33258       1193100
SH    SOLE          1193100      0      0
RARE HOSPITALITY INTL INC    COMMON STOCK   753820109       1662         76800
SH    SOLE            76800      0      0
RATIONAL SOFTWARE CORP       COMMON STOCK   75409P202      31858        648500
SH    SOLE           648500      0      0
RAYONIER INC                 COMMON STOCK   754907103      11141        230600
SH    SOLE           230600      0      0
RAYTHEON CO-CL A             COMMON STOCK   755111309       5548        223600
SH    SOLE           223600      0      0
RAYTHEON CO-CL B             COMMON STOCK   755111408      42877       1614200
SH    SOLE          1614200      0      0
RAZORFISH INC                COMMON STOCK   755236106       1094         11500
SH    SOLE            11500      0      0
READERS DIGEST ASSN-CL A     COMMON STOCK   755267101      22420        766500
SH    SOLE           766500      0      0
REALNETWORKS INC             COMMON STOCK   75605L104       2767         23000
SH    SOLE            23000      0      0
REEBOK INTERNATIONAL         COMMON STOCK   758110100       1345        164300
SH    SOLE           164300      0      0
REGAL-BELOIT CORP            COMMON STOCK   758750103        186          9000
SH    SOLE             9000      0      0
REGIONS FINANCIAL CORP       COMMON STOCK   758940100      16815        669240
SH    SOLE           669240      0      0
REHABCARE GROUP INC          COMMON STOCK   759148109        553         26000
SH    SOLE            26000      0      0
RELIANT ENERGY INC           COMMON STOCK   75952J108      23591       1031284
SH    SOLE          1031284      0      0
RELIASTAR FINANCIAL CORP     COMMON STOCK   75952U103      24774        632200
SH    SOLE           632200      0      0
REMEDY CORP                  COMMON STOCK   759548100       4927        104000
SH    SOLE           104000      0      0
RENAISSANCERE HLDGS LTD      COMMON STOCK   G7496G103       4970        121600
SH    SOLE           121600      0      0
RENAL CARE GROUP INC         COMMON STOCK   759930100        935         40000
SH    SOLE            40000      0      0
RENT-A-CENTER INC            COMMON STOCK   76009N100       6118        308800
SH    SOLE           308800      0      0
RENT-WAY INC                 COMMON STOCK   76009U104       3915        209500
SH    SOLE           209500      0      0
REPSOL S A - ADR             FOREIGN STOCK  76026T205      30692       1320100
SH    SOLE          1320100      0      0
REPUBLIC BANCORP             COMMON STOCK   760282103       1329        109450
SH    SOLE           109450      0      0
REPUBLIC NEW YORK CORP       COMMON STOCK   760719104      22738        315800
SH    SOLE           315800      0      0
REUTERS GRP PLC - ADR        FOREIGN STOCK  76132M102        119          1473
SH    SOLE             1473      0      0
REX STORES CORP              COMMON STOCK   761624105       1733         49500
SH    SOLE            49500      0      0
REYNOLDS & REYNOLDS-CL A     COMMON STOCK   761695105      11774        523300
SH    SOLE           523300      0      0
REYNOLDS METALS CO           COMMON STOCK   761763101      17892        233500
SH    SOLE           233500      0      0
RF MICRO DEVICES INC         COMMON STOCK   749941100      19744        288500
SH    SOLE           288500      0      0
RITCHIE BROS AUCTIONEERS     COMMON STOCK   767744105        844         30400
SH    SOLE            30400      0      0
RITE AID CORP                COMMON STOCK   767754104       7999        719000
SH    SOLE           719000      0      0
RJ REYNOLDS TOBACCO HLDGS    COMMON STOCK   76182K105      13905        788933
SH    SOLE           788933      0      0
ROBERT HALF INTL INC         COMMON STOCK   770323103      18674        653800
SH    SOLE           653800      0      0
ROCKWELL INTL CORP           COMMON STOCK   773903109      64741       1352300
SH    SOLE          1352300      0      0
ROGERS COMMUNICATIONS        FOREIGN STOCK  775109200       2428         98100
SH    SOLE            98100      0      0
ROHM & HAAS CO               COMMON STOCK   775371107      34291        842800
SH    SOLE           842800      0      0
ROLLINS INC                  COMMON STOCK   775711104       2885        192300
SH    SOLE           192300      0      0
ROLLINS TRUCKING LEASING     COMMON STOCK   775741101        398         33300
SH    SOLE            33300      0      0
ROSLYN BANCORP INC           COMMON STOCK   778162107        914         49400
SH    SOLE            49400      0      0
ROSS STORES INC              COMMON STOCK   778296103      13329        743100
SH    SOLE           743100      0      0
ROSTELECOM-SP ADR            FOREIGN STOCK  778529107       2038        120760
SH    SOLE           120760      0      0
ROWAN COMPANIES INC          COMMON STOCK   779382100       5962        274900
SH    SOLE           274900      0      0
ROYAL CARIBBEAN CRUISES      COMMON STOCK   V7780T103      33880        687040
SH    SOLE           687040      0      0
ROYAL DUTCH PETRO NY         COMMON STOCK   780257804     432652       7143900
SH    SOLE          7143900      0      0
RPM INC                      COMMON STOCK   749685103       7320        718545
SH    SOLE           718545      0      0
RSA SECURITY INC             COMMON STOCK   749719100       3612         46600
SH    SOLE            46600      0      0
RUDDICK CORP                 COMMON STOCK   781258108       4710        303900
SH    SOLE           303900      0      0
RUSSELL CORP                 COMMON STOCK   782352108       1395         83300
SH    SOLE            83300      0      0
RYDER SYSTEM INC             COMMON STOCK   783549108       5208        213100
SH    SOLE           213100      0      0
RYERSON TULL INC             COMMON STOCK   78375P107       3293        169400
SH    SOLE           169400      0      0
S3 INC                       COMMON STOCK   784849101       1170        101200
SH    SOLE           101200      0      0
SABRE GROUP HOLDINGS INC     COMMON STOCK   785905100       8164        159300
SH    SOLE           159300      0      0
SAFECO CORP                  COMMON STOCK   786429100      15801        635200
SH    SOLE           635200      0      0
SAFEGUARD SCIENTIFICS INC    COMMON STOCK   786449108        456          2800
SH    SOLE             2800      0      0
SAFEWAY INC                  COMMON STOCK   786514208      71343       1995600
SH    SOLE          1995600      0      0
SAGA SYSTEMS INC             COMMON STOCK   786610105        598         30000
SH    SOLE            30000      0      0
SAGENT TECHNOLOGY INC        COMMON STOCK   786693101       8802        294000
SH    SOLE           294000      0      0
SAKS INC                     COMMON STOCK   79377W108      17148       1101880
SH    SOLE          1101880      0      0
SANDISK CORP                 COMMON STOCK   80004C101      11800        122600
SH    SOLE           122600      0      0
SANMINA CORP                 COMMON STOCK   800907107      85613        857200
SH    SOLE           857200      0      0
SANTA FE SNYDER CORP         COMMON STOCK   80218K105      10246       1280700
SH    SOLE          1280700      0      0
SARA LEE CORP                COMMON STOCK   803111103      79866       3620000
SH    SOLE          3620000      0      0
SBC COMMUNICATIONS INC       COMMON STOCK   78387G103     536553      11006217
SH    SOLE         11006217      0      0
SBS BROADCASTING SA          COMMON STOCK   L8137F102       1728         35500
SH    SOLE            35500      0      0
SCANA CORP                   COMMON STOCK   805898103      20234        752900
SH    SOLE           752900      0      0
SCANSOURCE INC               COMMON STOCK   806037107       4843        119400
SH    SOLE           119400      0      0
SCHEIN PHARMACEUTICAL INC    COMMON STOCK   806416103        318         26200
SH    SOLE            26200      0      0
SCHERING-PLOUGH CORP         COMMON STOCK   806605101     273823       6461900
SH    SOLE          6461900      0      0
SCHLUMBERGER LTD             COMMON STOCK   806857108      95458       1700816
SH    SOLE          1700816      0      0
SCHOLASTIC CORP              COMMON STOCK   807066105       7288        117200
SH    SOLE           117200      0      0
SCHULMAN (A) INC             COMMON STOCK   808194104       3408        208937
SH    SOLE           208937      0      0
SCHWAB (CHARLES) CORP        COMMON STOCK   808513105      89941       2351400
SH    SOLE          2351400      0      0
SCI SYSTEM INC               COMMON STOCK   783890106      43494        529200
SH    SOLE           529200      0      0
SCIENTIFIC-ATLANTA INC       COMMON STOCK   808655104      19864        355500
SH    SOLE           355500      0      0
SCIQUEST.COM INC             COMMON STOCK   80908Q107       1367         17200
SH    SOLE            17200      0      0
SCOTTISH POWER PLC-ADR       COMMON STOCK   81013T705      13708        489570
SH    SOLE           489570      0      0
SEAGATE TECHNOLOGY           COMMON STOCK   811804103      32902        706620
SH    SOLE           706620      0      0
SEAGRAM CO LTD               COMMON STOCK   811850106      74545       1665800
SH    SOLE          1665800      0      0
SEALED AIR CORP              COMMON STOCK   81211K100      53580       1034104
SH    SOLE          1034104      0      0
SEALED AIR CORP PFD A        COMMON STOCK   81211K209       5505        109000
SH    SOLE           109000      0      0
SEARS ROEBUCK & CO           COMMON STOCK   812387108      43862       1444000
SH    SOLE          1444000      0      0
SECURITY CAPITAL GRP-CL B    COMMON STOCK   81413P204       3525        282000
SH    SOLE           282000      0      0
SEI INVESTMENTS CO           COMMON STOCK   784117103        369          3100
SH    SOLE             3100      0      0
SEMPRA ENERGY                COMMON STOCK   816851109      13240        762015
SH    SOLE           762015      0      0
SEMTECH CORP                 COMMON STOCK   816850101       3258         62500
SH    SOLE            62500      0      0
SENSORMATIC ELECTRONICS      COMMON STOCK   817265101      17356        995300
SH    SOLE           995300      0      0
SEPRACOR INC                 COMMON STOCK   817315104      23706        239000
SH    SOLE           239000      0      0
SEQUA CORP-CL A              COMMON STOCK   817320104       4056         75200
SH    SOLE            75200      0      0
SERVICE CORP INTL            COMMON STOCK   817565104      15090       2175100
SH    SOLE          2175100      0      0
SFX ENTERTAINMENT CL A       COMMON STOCK   784178105      12901        356500
SH    SOLE           356500      0      0
SHARED MEDICAL SYSTEMS       COMMON STOCK   819486101       4447         87300
SH    SOLE            87300      0      0
SHAW INDUSTRIES INC          COMMON STOCK   820286102      18591       1199400
SH    SOLE          1199400      0      0
SHELL TRANS & TRADING-ADR    FOREIGN STOCK  822703609       5537        113000
SH    SOLE           113000      0      0
SHERWIN-WILLIAMS CO          COMMON STOCK   824348106       9584        456400
SH    SOLE           456400      0      0
SHOPKO STORES INC            COMMON STOCK   824911101        274         11900
SH    SOLE            11900      0      0
SIEBEL SYSTEMS INC           COMMON STOCK   826170102     118247       1407700
SH    SOLE          1407700      0      0
SIERRA PACIFIC RESOURCES     COMMON STOCK   826428104       9245        532100
SH    SOLE           532100      0      0
SIGMA-ALDRICH CORP           COMMON STOCK   826552101       9127        303600
SH    SOLE           303600      0      0
SILICON GRAPHICS             COMMON STOCK   827056102       5028        519000
SH    SOLE           519000      0      0
SILICON STORAGE TECH         COMMON STOCK   827057100       9038        219100
SH    SOLE           219100      0      0
SILKNET SOFTWARE INC         COMMON STOCK   827094103       7890         47600
SH    SOLE            47600      0      0
SIMON PROPERTY SER B-PFD     COMMON STOCK   828806406      10338        170875
SH    SOLE           170875      0      0
SITEL CORP                   COMMON STOCK   82980K107        424         60600
SH    SOLE            60600      0      0
SKYWEST INC                  COMMON STOCK   830879102       1053         37600
SH    SOLE            37600      0      0
SLI INC                      COMMON STOCK   78442T108       2137        157600
SH    SOLE           157600      0      0
SLM HOLDING CORP             COMMON STOCK   78442A109      62720       1484500
SH    SOLE          1484500      0      0
SM&A CORP                    COMMON STOCK   784432106        505         82500
SH    SOLE            82500      0      0
SMITH INTERNATIONAL INC      COMMON STOCK   832110100      18668        375700
SH    SOLE           375700      0      0
SMITHFIELD FOODS INC         COMMON STOCK   832248108      10560        440000
SH    SOLE           440000      0      0
SMUCKER (J M) CO             COMMON STOCK   832696108       3764        193000
SH    SOLE           193000      0      0
SMURFIT-STONE CONTAINER      COMMON STOCK   832727101       1948         79500
SH    SOLE            79500      0      0
SNAP-ON INC                  COMMON STOCK   833034101       5214        196300
SH    SOLE           196300      0      0
SOLECTRON CORP               COMMON STOCK   834182107     205504       2160360
SH    SOLE          2160360      0      0
SOLUTIA INC                  COMMON STOCK   834376105      12890        835000
SH    SOLE           835000      0      0
SONOCO PRODUCTS CO           COMMON STOCK   835495102      16808        738824
SH    SOLE           738824      0      0
SONY CORP                    FOREIGN STOCK  835699307      54871        192700
SH    SOLE           192700      0      0
SOTHEBYS  HLDS-CL A          COMMON STOCK   835898107      12876        429200
SH    SOLE           429200      0      0
SOUTHDOWN INC                COMMON STOCK   841297104      16112        312100
SH    SOLE           312100      0      0
SOUTHERN CO                  COMMON STOCK   842587107      48774       2075500
SH    SOLE          2075500      0      0
SOUTHTRUST CORP              COMMON STOCK   844730101      26669        705300
SH    SOLE           705300      0      0
SOUTHWEST AIRLINES CO        COMMON STOCK   844741108      47317       2934387
SH    SOLE          2934387      0      0
SOVEREIGN BANCORP INC        COMMON STOCK   845905108      12283       1648100
SH    SOLE          1648100      0      0
SPANISH BROADCASTING SYS     COMMON STOCK   846425882        900         22350
SH    SOLE            22350      0      0
SPECTRIAN CORP               COMMON STOCK   847608106       1150         40700
SH    SOLE            40700      0      0
SPRINGS INDUSTRIES-CL A      COMMON STOCK   851783100       3614         90500
SH    SOLE            90500      0      0
SPRINT CORP (FON GROUP)      COMMON STOCK   852061100     296034       4397900
SH    SOLE          4397900      0      0
SPRINT CORP (PCS GROUP)      COMMON STOCK   852061506     135315       1320150
SH    SOLE          1320150      0      0
SPSS INC                     COMMON STOCK   78462K102       4590        181800
SH    SOLE           181800      0      0
SPX CORPORATION              COMMON STOCK   784635104      18668        231001
SH    SOLE           231001      0      0
ST JOE CORP (THE)            COMMON STOCK   790148100       7294        300000
SH    SOLE           300000      0      0
ST JUDE MEDICAL INC          COMMON STOCK   790849103       8157        265797
SH    SOLE           265797      0      0
ST PAUL COMPANIES            COMMON STOCK   792860108      32318        959360
SH    SOLE           959360      0      0
STANDARD REGISTER CO         COMMON STOCK   853887107       3815        196900
SH    SOLE           196900      0      0
STANLEY WORKS                COMMON STOCK   854616109       7694        255400
SH    SOLE           255400      0      0
STAPLES INC                  COMMON STOCK   855030102      27755       1337587
SH    SOLE          1337587      0      0
STARBUCKS CORP               COMMON STOCK   855244109      32180       1327000
SH    SOLE          1327000      0      0
STARWOOD HOTELS & RESORTS    COMMON STOCK   85590A203       1666         70900
SH    SOLE            70900      0      0
STATE STREET CORP            COMMON STOCK   857477103      35560        486700
SH    SOLE           486700      0      0
STERIS CORP                  COMMON STOCK   859152100       4651        453800
SH    SOLE           453800      0      0
STERLING COMMERCE INC        COMMON STOCK   859205106      24053        707446
SH    SOLE           707446      0      0
STERLING SOFTWARE INC        COMMON STOCK   859547101      19360        614600
SH    SOLE           614600      0      0
STEWART & STEVENSON SERV     COMMON STOCK   860342104       2063        174200
SH    SOLE           174200      0      0
STEWART ENTERPRISES CL A     COMMON STOCK   860370105       3461        728600
SH    SOLE           728600      0      0
STMICROELECTRONICS NV        FOREIGN STOCK  861012102      43069        284400
SH    SOLE           284400      0      0
STORAGE TECHNOLOGY CORP      COMMON STOCK   862111200      12874        698264
SH    SOLE           698264      0      0
STRUCTURAL DYNAMICS RES      COMMON STOCK   863555108       7926        621663
SH    SOLE           621663      0      0
STRYKER CORP                 COMMON STOCK   863667101      48946        703000
SH    SOLE           703000      0      0
SUIZA FOODS CORP             COMMON STOCK   865077101       9367        236400
SH    SOLE           236400      0      0
SUMMIT BANCORP               COMMON STOCK   866005101      17792        580950
SH    SOLE           580950      0      0
SUN MICROSYSTEMS INC         COMMON STOCK   866810104     416519       5378780
SH    SOLE          5378780      0      0
SUNGARD DATA SYSTEMS         COMMON STOCK   867363103      24099       1014700
SH    SOLE          1014700      0      0
SUNOCO INC                   COMMON STOCK   86764P109       6395        272133
SH    SOLE           272133      0      0
SUNTRUST BANKS INC           COMMON STOCK   867914103      81712       1187464
SH    SOLE          1187464      0      0
SUPERIOR INDUSTRIES INC      COMMON STOCK   868168105       6157        229650
SH    SOLE           229650      0      0
SUPERVALU INC                COMMON STOCK   868536103       6542        327100
SH    SOLE           327100      0      0
SWIFT TRANSPORTATION CO      COMMON STOCK   870756103       9525        540400
SH    SOLE           540400      0      0
SYBASE INC                   COMMON STOCK   871130100       2064        121400
SH    SOLE           121400      0      0
SYBRON INTL CORP             COMMON STOCK   87114F106      18577        752500
SH    SOLE           752500      0      0
SYKES ENTERPRISES INC        COMMON STOCK   871237103      14584        332400
SH    SOLE           332400      0      0
SYLVAN LEARNING SYSTEMS      COMMON STOCK   871399101       4661        358500
SH    SOLE           358500      0      0
SYMANTEC CORP                COMMON STOCK   871503108      25273        431100
SH    SOLE           431100      0      0
SYMBOL TECHNOLOGIES INC      COMMON STOCK   871508107      40745        641025
SH    SOLE           641025      0      0
SYNBIOTICS CORP              COMMON STOCK   871566105        105         43600
SH    SOLE            43600      0      0
SYNOPSYS INC                 COMMON STOCK   871607107      33836        506900
SH    SOLE           506900      0      0
SYNOVUS FINANCIAL CORP       COMMON STOCK   87161C105      14915        750450
SH    SOLE           750450      0      0
SYNTHETECH INC               COMMON STOCK   87162E100       1237        329800
SH    SOLE           329800      0      0
SYSCO CO                     COMMON STOCK   871829107      48456       1224800
SH    SOLE          1224800      0      0
TALBOTS INC                  COMMON STOCK   874161102        772         17300
SH    SOLE            17300      0      0
TALISMAN ENERGY INC          COMMON STOCK   87425E103       9100        353400
SH    SOLE           353400      0      0
TANDY CORP                   COMMON STOCK   875382103      27148        551936
SH    SOLE           551936      0      0
TCF FINANCIAL CORP           COMMON STOCK   872275102      15574        626100
SH    SOLE           626100      0      0
TD WATERHOUSE GROUP          COMMON STOCK   872362108       1912        115900
SH    SOLE           115900      0      0
TECH DATA CORP               COMMON STOCK   878237106       9727        358600
SH    SOLE           358600      0      0
TECHNE CORP                  COMMON STOCK   878377100       7560        137300
SH    SOLE           137300      0      0
TECO ENERGY                  COMMON STOCK   872375100      18516        997500
SH    SOLE           997500      0      0
TECUMSEH PRODUCTS-CL A       COMMON STOCK   878895200       7319        155100
SH    SOLE           155100      0      0
TEKELEC                      COMMON STOCK   879101103       1413         62800
SH    SOLE            62800      0      0
TEKTRONIX INC                COMMON STOCK   879131100       5067        130350
SH    SOLE           130350      0      0
TELE NORTE LESTE PART-ADR    FOREIGN STOCK  879246106       7553        296200
SH    SOLE           296200      0      0
TELEBRAS-SPONS ADR           FOREIGN STOCK  879287308       8279         64300
SH    SOLE            64300      0      0
TELEDYNE TECHNOLOGIES INC    COMMON STOCK   879360105        630         66750
SH    SOLE            66750      0      0
TELEFLEX INC                 COMMON STOCK   879369106       8310        265400
SH    SOLE           265400      0      0
TELEFONICA DE ARGENTINA      FOREIGN STOCK  879378206       4551        147400
SH    SOLE           147400      0      0
TELEFONOS DE MEXICO S A      FOREIGN STOCK  879403780       6593         58600
SH    SOLE            58600      0      0
TELEGLOBE INC                FOREIGN STOCK  87941V100        320         14100
SH    SOLE            14100      0      0
TELEPHONE & DATA SYSTEMS     COMMON STOCK   879433100      56700        450000
SH    SOLE           450000      0      0
TELESPECTRUM WORLDWIDE       COMMON STOCK   87951U109        196         27500
SH    SOLE            27500      0      0
TELLABS INC                  COMMON STOCK   879664100      88125       1372933
SH    SOLE          1372933      0      0
TEMPLE-INLAND INC            COMMON STOCK   879868107      12456        188900
SH    SOLE           188900      0      0
TENET HEALTHCARE CORP        COMMON STOCK   88033G100      74652       3176700
SH    SOLE          3176700      0      0
TERADYNE INC                 COMMON STOCK   880770102      71590       1084700
SH    SOLE          1084700      0      0
TETRA TECH INC               COMMON STOCK   88162G103       6314        410635
SH    SOLE           410635      0      0
TEVA PHARMACEUTICAL-ADR      COMMON STOCK   881624209      16632        232000
SH    SOLE           232000      0      0
TEXACO INC                   COMMON STOCK   881694103     101156       1862472
SH    SOLE          1862472      0      0
TEXAS INDUSTRIES INC         COMMON STOCK   882491103        294          6900
SH    SOLE             6900      0      0
TEXAS INSTRUMENTS INC        COMMON STOCK   882508104     284527       2944653
SH    SOLE          2944653      0      0
TEXAS UTILITIES CO           COMMON STOCK   882848104      36035       1013277
SH    SOLE          1013277      0      0
TEXTRON INC                  COMMON STOCK   883203101      73536        958900
SH    SOLE           958900      0      0
THE PMI GROUP INC            COMMON STOCK   69344M101      19269        394750
SH    SOLE           394750      0      0
THERAGENICS CORP             COMMON STOCK   883375107        870         96000
SH    SOLE            96000      0      0
THERMO ELECTRON CORP         COMMON STOCK   883556102       6294        419587
SH    SOLE           419587      0      0
THOMAS & BETTS CORP          COMMON STOCK   884315102       5926        185900
SH    SOLE           185900      0      0
THQ INC                      COMMON STOCK   872443403        713         30750
SH    SOLE            30750      0      0
THREE-FIVE SYSTEMS INC       COMMON STOCK   88554L108       3526         86000
SH    SOLE            86000      0      0
TIDEWATER INC                COMMON STOCK   886423102      14771        410300
SH    SOLE           410300      0      0
TIFFANY & CO                 COMMON STOCK   886547108      56919        637745
SH    SOLE           637745      0      0
TIME DEPOSIT                 TIME DEPOSIT   TD9KZQ6          200        200000
SH    SOLE           200000      0      0
TIME WARNER INC              COMMON STOCK   887315109     385792       5335060
SH    SOLE          5335060      0      0
TIMES MIRROR CO CL A         COMMON STOCK   887364107      15055        224700
SH    SOLE           224700      0      0
TIMKEN CO                    COMMON STOCK   887389104       3272        160100
SH    SOLE           160100      0      0
TITAN CORP                   COMMON STOCK   888266103       7206        152300
SH    SOLE           152300      0      0
TITAN PHARMACEUTICALS INC    COMMON STOCK   888314101       2508        132000
SH    SOLE           132000      0      0
TIVO INC                     COMMON STOCK   888706108        591         17500
SH    SOLE            17500      0      0
TJX COMPANIES INC            COMMON STOCK   872540109      26393       1291400
SH    SOLE          1291400      0      0
TMP WORLDWIDE INC            COMMON STOCK   872941109       2670         18800
SH    SOLE            18800      0      0
TOMMY HILFIGER               COMMON STOCK   G8915Z102      16821        719600
SH    SOLE           719600      0      0
TOPPS COMPANY (THE)          COMMON STOCK   890786106       1736        167300
SH    SOLE           167300      0      0
TORCHMARK CORP               COMMON STOCK   891027104      13761        473500
SH    SOLE           473500      0      0
TOSCO CORP                   COMMON STOCK   891490302      15421        567200
SH    SOLE           567200      0      0
TOTAL RENAL CARE HLDGS       COMMON STOCK   89151A107       4749        710066
SH    SOLE           710066      0      0
TOYS R US INC                COMMON STOCK   892335100      16368       1143650
SH    SOLE          1143650      0      0
TRANSACTION SYS ARCHITECT    COMMON STOCK   893416107       6843        244400
SH    SOLE           244400      0      0
TRANSOCEAN SEDCO FOREX       COMMON STOCK   G90078109      30982        919678
SH    SOLE           919678      0      0
TRANSWITCH CORP              COMMON STOCK   894065101      12354        170250
SH    SOLE           170250      0      0
TRAVELERS PROP CASUAL-CLA    COMMON STOCK   893939108       3326         97100
SH    SOLE            97100      0      0
TRIBUNE COMPANY              COMMON STOCK   896047107      47629        864990
SH    SOLE           864990      0      0
TRICON GLOBAL RESTAURANTS    COMMON STOCK   895953107      16616        430185
SH    SOLE           430185      0      0
TRIGON HEALTHCARE INC        COMMON STOCK   89618L100      12897        437200
SH    SOLE           437200      0      0
TRINITY INDUSTRIES INC       COMMON STOCK   896522109       8418        296000
SH    SOLE           296000      0      0
TRIPOS INC                   COMMON STOCK   896928108       1542        134100
SH    SOLE           134100      0      0
TRIQUINT SEMICONDUCTOR       COMMON STOCK   89674K103      15252        137100
SH    SOLE           137100      0      0
TRW INC                      COMMON STOCK   872649108      19643        378200
SH    SOLE           378200      0      0
TULARIK INC                  COMMON STOCK   899165104        214          6600
SH    SOLE             6600      0      0
TUPPERWARE CORP              COMMON STOCK   899896104       3277        193500
SH    SOLE           193500      0      0
TV GUIDE INC-CL A            COMMON STOCK   87307Q109        490         11400
SH    SOLE            11400      0      0
TYCO INTERNATIONAL LTD       COMMON STOCK   902124106     343974       8819835
SH    SOLE          8819835      0      0
TYSON FOODS INC-CL A         COMMON STOCK   902494103      26828       1650950
SH    SOLE          1650950      0      0
U S BANCORP                  COMMON STOCK   902973106      55311       2322753
SH    SOLE          2322753      0      0
U S HOME CORP                COMMON STOCK   911920106        383         15000
SH    SOLE            15000      0      0
UAL CORP                     COMMON STOCK   902549500       3785         48800
SH    SOLE            48800      0      0
UCAR INTERNATIONAL           COMMON STOCK   90262K109       7013        393700
SH    SOLE           393700      0      0
ULTRAMAR DIAMOND SHAMROCK    COMMON STOCK   904000106      17106        753976
SH    SOLE           753976      0      0
UN PLANTERS CORP             COMMON STOCK   908068109      18760        475700
SH    SOLE           475700      0      0
UNICOM CORP                  COMMON STOCK   904911104      28297        844700
SH    SOLE           844700      0      0
UNIFI INC                    COMMON STOCK   904677101       4992        405450
SH    SOLE           405450      0      0
UNIFY CORP                   COMMON STOCK   904743101       6039        220600
SH    SOLE           220600      0      0
UNILEVER N V - NY SHARES     COMMON STOCK   904784709     106117       1949328
SH    SOLE          1949328      0      0
UNION CARBIDE CORP           COMMON STOCK   905581104      37340        559400
SH    SOLE           559400      0      0
UNION PACIFIC CORP           COMMON STOCK   907818108      36588        837500
SH    SOLE           837500      0      0
UNION PACIFIC RESOURCES      COMMON STOCK   907834105       9699        760668
SH    SOLE           760668      0      0
UNIONBANCAL CORP             COMMON STOCK   908906100       3648         92500
SH    SOLE            92500      0      0
UNISYS CORP                  COMMON STOCK   909214108      29264        916300
SH    SOLE           916300      0      0
UNITED HEALTHCARE CORP       COMMON STOCK   910581107      49263        927300
SH    SOLE           927300      0      0
UNITED PAN-EUROPE            FOREIGN STOCK  911300200         77           600
SH    SOLE              600      0      0
UNITED RENTALS INC           COMMON STOCK   911363109       3502        204500
SH    SOLE           204500      0      0
UNITED STATIONERS INC        COMMON STOCK   913004107       2005         70200
SH    SOLE            70200      0      0
UNITED TECHNOLOGIES CORP     COMMON STOCK   913017109     191260       2942461
SH    SOLE          2942461      0      0
UNITRIN INC                  COMMON STOCK   913275103      19016        505400
SH    SOLE           505400      0      0
UNIVERSAL CORP               COMMON STOCK   913456109       5147        225600
SH    SOLE           225600      0      0
UNIVERSAL FOODS CORP         COMMON STOCK   913538104       6891        338200
SH    SOLE           338200      0      0
UNIVERSAL HEALTH SVC-CL B    COMMON STOCK   913903100        227          6300
SH    SOLE             6300      0      0
UNIVISION COMMUNICATIONS     COMMON STOCK   914906102      75261        736500
SH    SOLE           736500      0      0
UNOCAL CORP                  COMMON STOCK   915289102      27273        812600
SH    SOLE           812600      0      0
UNOVA INC                    COMMON STOCK   91529B106       1247         95900
SH    SOLE            95900      0      0
UNUMPROVIDENT CORP           COMMON STOCK   91529Y106      31884        994430
SH    SOLE           994430      0      0
URBAN OUTFITTERS             COMMON STOCK   917047102       5449        187100
SH    SOLE           187100      0      0
US FOOD SERVICE INC          COMMON STOCK   90331R101      15916        950200
SH    SOLE           950200      0      0
US AIRWAYS GROUP INC         COMMON STOCK   911905107       5569        173700
SH    SOLE           173700      0      0
US WEST INC                  COMMON STOCK   91273H101     104462       1450860
SH    SOLE          1450860      0      0
USA NETWORKS INC             COMMON STOCK   902984103      23426        424000
SH    SOLE           424000      0      0
USG CORP                     COMMON STOCK   903293405      21235        450600
SH    SOLE           450600      0      0
USINTERNETWORKING INC        COMMON STOCK   917311805       8423        120550
SH    SOLE           120550      0      0
UST INC                      COMMON STOCK   902911106      11423        453500
SH    SOLE           453500      0      0
USWEB CORP                   COMMON STOCK   917327108       5444        122500
SH    SOLE           122500      0      0
USX-MARATHON GROUP           COMMON STOCK   902905827      26890       1089200
SH    SOLE          1089200      0      0
USX-U S STEEL GROUP INC      COMMON STOCK   90337T101       9231        279740
SH    SOLE           279740      0      0
UTILICORP UNITED INC         COMMON STOCK   918005109      14873        765150
SH    SOLE           765150      0      0
VA LINUX SYSTEMS INC         COMMON STOCK   91819B105        661          3200
SH    SOLE             3200      0      0
VALASSIS COMMUNICATIONS      COMMON STOCK   918866104       1736         41100
SH    SOLE            41100      0      0
VALERO ENERGY CORP           COMMON STOCK   91913Y100       7702        387500
SH    SOLE           387500      0      0
VARCO INTERNATIONAL INC      COMMON STOCK   922126107       5735        562900
SH    SOLE           562900      0      0
VARIAN INC                   COMMON STOCK   922206107       8780        390200
SH    SOLE           390200      0      0
VARIAN SEMICONDUCTER EQUP    COMMON STOCK   922207105       1955         57500
SH    SOLE            57500      0      0
VEECO INSTRUMENTS INC        COMMON STOCK   922417100       3932         84000
SH    SOLE            84000      0      0
VENTANA MEDICAL SYSTEMS      COMMON STOCK   92276H106        537         21600
SH    SOLE            21600      0      0
VENTIV HEALTH INC            COMMON STOCK   922793104          0             2
SH    SOLE                2      0      0
VERIO INC                    COMMON STOCK   923433106      28282        612333
SH    SOLE           612333      0      0
VERITAS SOFTWARE CORP        COMMON STOCK   923436109     288969       2019000
SH    SOLE          2019000      0      0
VERTEX PHARMACEUTICALS       COMMON STOCK   92532F100        837         23900
SH    SOLE            23900      0      0
VERTICALNET INC              COMMON STOCK   92532L107      15941         97200
SH    SOLE            97200      0      0
VF CORP                      COMMON STOCK   918204108      16677        555900
SH    SOLE           555900      0      0
VIACOM INC-CL B              COMMON STOCK   925524308     154746       2560424
SH    SOLE          2560424      0      0
VIAD CORP                    COMMON STOCK   92552R109      19245        690400
SH    SOLE           690400      0      0
VIATEL INC                   COMMON STOCK   925529208      12870        240000
SH    SOLE           240000      0      0
VIROPHARMA INC               COMMON STOCK   928241108       3404         92000
SH    SOLE            92000      0      0
VISHAY INTERTECHNOLOGY       COMMON STOCK   928298108      19854        627803
SH    SOLE           627803      0      0
VISIO CORP                   COMMON STOCK   927914101       2256         47500
SH    SOLE            47500      0      0
VISUAL NETWORKS INC          COMMON STOCK   928444108       1712         21600
SH    SOLE            21600      0      0
VISX INC                     COMMON STOCK   92844S105      25637        495400
SH    SOLE           495400      0      0
VITESSE SEMICONDUCTOR CP     COMMON STOCK   928497106      58950       1124200
SH    SOLE          1124200      0      0
VLASIC FOODS INTL            COMMON STOCK   928559103       1587        279030
SH    SOLE           279030      0      0
VULCAN MATERIALS             COMMON STOCK   929160109      11790        295200
SH    SOLE           295200      0      0
W R GRACE & CO               COMMON STOCK   38388F108       2817        199400
SH    SOLE           199400      0      0
WACHOVIA CORP                COMMON STOCK   929771103      41834        615210
SH    SOLE           615210      0      0
WADDELL & REED FINL CL A     COMMON STOCK   930059100       1400         51600
SH    SOLE            51600      0      0
WALGREEN CO                  COMMON STOCK   931422109      83819       2865600
SH    SOLE          2865600      0      0
WALLACE COMPUTER SERVICES    COMMON STOCK   932270101       4648        279600
SH    SOLE           279600      0      0
WAL-MART STORES INC          COMMON STOCK   931142103    1054639      15256981
SH    SOLE         15256981      0      0
WALT DISNEY CO (THE)         COMMON STOCK   254687106     251670       8604111
SH    SOLE          8604111      0      0
WARNACO GROUP INC-CL A       COMMON STOCK   934390105       4449        361300
SH    SOLE           361300      0      0
WARNER-LAMBERT CO            COMMON STOCK   934488107     268460       3276404
SH    SOLE          3276404      0      0
WASHINGTON FEDERAL INC       COMMON STOCK   938824109         53          2700
SH    SOLE             2700      0      0
WASHINGTON GAS LIGHT         COMMON STOCK   938837101       9309        338500
SH    SOLE           338500      0      0
WASHINGTON MUTUAL INC        COMMON STOCK   939322103      65560       2533733
SH    SOLE          2533733      0      0
WASHINGTON POST-CL B         COMMON STOCK   939640108      39009         70176
SH    SOLE            70176      0      0
WASTE CONNECTIONS INC        COMMON STOCK   941053100       2876        199200
SH    SOLE           199200      0      0
WASTE MANAGEMENT INC         COMMON STOCK   94106L109      78193       4549390
SH    SOLE          4549390      0      0
WATER PIK TECHNOLOGIES       COMMON STOCK   94113U100        223         23365
SH    SOLE            23365      0      0
WATERS CORP                  COMMON STOCK   941848103      24338        459200
SH    SOLE           459200      0      0
WATSON PHARMACEUTICAL INC    COMMON STOCK   942683103      15901        444000
SH    SOLE           444000      0      0
WAUSAU-MOSINEE PAPER CORP    COMMON STOCK   943315101       4105        351222
SH    SOLE           351222      0      0
WEATHERFORD INTERNATIONAL    COMMON STOCK   947074100      30134        754537
SH    SOLE           754537      0      0
WEBB (DEL E) CORP            COMMON STOCK   947423109        231          9300
SH    SOLE             9300      0      0
WEBSTER FINANCIAL CORP       COMMON STOCK   947890109       5740        243600
SH    SOLE           243600      0      0
WEBTRENDS CORP               COMMON STOCK   94844D104       8051         99400
SH    SOLE            99400      0      0
WELLMAN INC                  COMMON STOCK   949702104       3615        194100
SH    SOLE           194100      0      0
WELLPOINT HEALTH NETWORKS    COMMON STOCK   94973H108      20573        312000
SH    SOLE           312000      0      0
WELLS FARGO COMPANY          COMMON STOCK   949746101     296414       7330179
SH    SOLE          7330179      0      0
WENDY'S INTL INC             COMMON STOCK   950590109       6308        303100
SH    SOLE           303100      0      0
WESLEY JESSEN VISIONCARE     COMMON STOCK   951018100        604         15950
SH    SOLE            15950      0      0
WESTAMERICA BANCORP          COMMON STOCK   957090103       7543        270000
SH    SOLE           270000      0      0
WESTERN RESOURCES INC        COMMON STOCK   959425109        517         30500
SH    SOLE            30500      0      0
WESTPOINT STEVENS INC        COMMON STOCK   961238102       6685        382000
SH    SOLE           382000      0      0
WESTVACO CORP                COMMON STOCK   961548104      11068        339250
SH    SOLE           339250      0      0
WESTWOOD ONE INC             COMMON STOCK   961815107      29496        388100
SH    SOLE           388100      0      0
WEYERHAEUSER CO              COMMON STOCK   962166104      50226        699400
SH    SOLE           699400      0      0
WHIRLPOOL CORP               COMMON STOCK   963320106      21523        330800
SH    SOLE           330800      0      0
WHITMAN CORP                 COMMON STOCK   96647R107      12971        965300
SH    SOLE           965300      0      0
WHITTMAN-HART INC            COMMON STOCK   966834103       9100        169700
SH    SOLE           169700      0      0
WHOLE FOODS MARKET INC       COMMON STOCK   966837106       7874        169800
SH    SOLE           169800      0      0
WILLAMETTE INDUSTRIES        COMMON STOCK   969133107      15413        331900
SH    SOLE           331900      0      0
WILLIAMS COMMUNICATIONS      COMMON STOCK   969455104        929         32100
SH    SOLE            32100      0      0
WILLIAMS COMPANIES INC       COMMON STOCK   969457100      54092       1769894
SH    SOLE          1769894      0      0
WILLIAMS-SONOMA INC          COMMON STOCK   969904101      28952        629400
SH    SOLE           629400      0      0
WILMINGTON TRUST CORP        COMMON STOCK   971807102      11604        240500
SH    SOLE           240500      0      0
WIND RIVER SYSTEMS INC       COMMON STOCK   973149107       1549         42300
SH    SOLE            42300      0      0
WINN-DIXIE STORES INC        COMMON STOCK   974280109      10614        443400
SH    SOLE           443400      0      0
WINSTAR COMMUNICATIONS       COMMON STOCK   975515107      12341        164000
SH    SOLE           164000      0      0
WISCONSIN CTRL TRANSPORT     COMMON STOCK   976592105       6558        488000
SH    SOLE           488000      0      0
WISCONSIN ENERGY CORP        COMMON STOCK   976657106      17159        891400
SH    SOLE           891400      0      0
WORTHINGTON INDUSTRIES       COMMON STOCK   981811102       2367        142900
SH    SOLE           142900      0      0
WPP GROUP PLC-SPONS ADR      COMMON STOCK   929309300      10258        123400
SH    SOLE           123400      0      0
WRIGLEY (WM) JR CO           COMMON STOCK   982526105      32155        387700
SH    SOLE           387700      0      0
XEROX CORP                   COMMON STOCK   984121103      54231       2390347
SH    SOLE          2390347      0      0
XILINX INC                   COMMON STOCK   983919101      52480       1154200
SH    SOLE          1154200      0      0
XIRCOM INC                   COMMON STOCK   983922105       2520         33600
SH    SOLE            33600      0      0
XL CAPITAL LTD-CL A          COMMON STOCK   G98255105      67158       1294605
SH    SOLE          1294605      0      0
XPEDIOR INC                  COMMON STOCK   98413B100       1466         51000
SH    SOLE            51000      0      0
YAHOO! INC                   COMMON STOCK   984332106      67681        156420
SH    SOLE           156420      0      0
YORK INTERNATIONAL CORP      COMMON STOCK   986670107       7622        277800
SH    SOLE           277800      0      0
YOUNG & RUBICAM INC          COMMON STOCK   987425105      19541        276200
SH    SOLE           276200      0      0
ZALE CORP                    COMMON STOCK   988858106       4334         89600
SH    SOLE            89600      0      0
ZEBRA TECHNOLOGIES-CL A      COMMON STOCK   989207105       2094         35800
SH    SOLE            35800      0      0
ZION BANCORPORATION          COMMON STOCK   989701107      36027        608700
SH    SOLE           608700      0      0
ZOLL MEDICAL CORP            COMMON STOCK   989922109       7229        189300
SH    SOLE           189300      0      0
ZOMAX INC                    COMMON STOCK   989929104       8502        187900
SH    SOLE           187900      0      0
</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission