JANUS CAPITAL CORP
13F-HR, 2000-05-16
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 13F

Form 13F Cover Page

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

Check here if Amendment [ ]; Amendment Number:

This Amendment (Check only one.):
[ ] is a restatement
[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:
Name:     Janus Capital Corporation
Address:  100 Fillmore Street, Suite 300
          Denver, CO 80206

Form 13F File Number:  28-1343

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

Person Signing this Report on Behalf of Reporting Manager:
Name:     Heidi J. Walter
Title:    Vice President and Assistant General Counsel
Phone:   303.333.3863

Signature, Place, and Date of Signing:

/s/ Heidi J. Walter
- ----------------------------------------------------------------------
Heidi J. Walter, Vice President and Assistant General Counsel

Place:  Denver, Colorado

Date:   May 15, 2000

Report Type (Check only one.):
[ X ] 13F HOLDINGS REPORT.

[   ] 13F NOTICE.

[   ] 13F COMBINATION REPORT.
<PAGE>
Form 13F Summary Page

Report Summary:

Number of Other Included Managers:  NONE

Form 13F Information Table Entry Total:  540

Form 13F Information Table Value Total:  $226,957,078 (thousands)

List of Other Included Managers:  NONE
<TABLE>
<CAPTION>
FORM 13(F) INFORMATION TABLE

NAME OF ISSUER                      TITLE OF      CUSIP     VALUE        SHARES OR  SH/PUT/INVESTMENVOTING AUTHORITY
                                    CLASS                   (X$1,000)    PRN AMOUNT PRNCALLDISCREATI(a) SOLE(b) SHARED  (c) NONE
COLUMN 1                            COLUMN 2      COLUMN 3  COLUMN 4     COLUMN 5          COLUMN 6 COLUMN 7
<S>                                 <C>           <C>       <C>          <C>        <C><C> <C>      <C>     <C>         <C>
24 / 7 MEDIA INC                    COM           901314104 32,382       819,805     SH    SHARED           819,805
3COM CORP                           COM           885535104 1,098,373    19,746,025  SH    SHARED           19,746,025
724 SOLUTIONS INC                   COM           81788Q100 119,640      960,960     SH    SHARED           960,960
ABGENIX INC                         COM           00339B107 331,665      2,401,195   SH    SHARED           2,401,195
ACCREDO HEALTH INC                  COM           00437V104 29,655       895,257     SH    SHARED           895,257
ACCRUE SOFTWARE INC                 COM           00437W102 17,788       388,400     SH    SHARED           388,400
ACKERLEY GROUP INC                  COM           004527107 1,892        125,100     SH    SHARED           125,100
ACME COMMUNICATION INC              COM           004631107 15,626       683,085     SH    SHARED           683,085
ACTION PERFORMANCE COS INC          COM           004933107 6,457        485,055     SH    SHARED           485,055
ACTIVE SOFTWARE INC                 COM           00504E100 19,394       304,900     SH    SHARED           304,900
ACTV INC                            COM           00088E104 54,678       1,559,475   SH    SHARED           1,559,475
ADAPTIVE BROADBAND CORP             COM           00650M104 238,123      4,450,900   SH    SHARED           4,450,900
ADELPHIA BUSINESS SOLUTIONS         CL A          006847107 74,576       1,210,160   SH    SHARED           1,210,160
ADELPHIA COMMUNICATIONS CORP        CL A          006848105 169,018      3,449,355   SH    SHARED           3,449,355
ADOBE SYS INC                       COM           00724F101 27,045       242,970     SH    SHARED           242,970
ADVANCED MICRO DEVICES INC          COM           007903107 223,037      3,908,670   SH    SHARED           3,908,670
AEROFLEX INC                        COM           007768104 12,637       255,290     SH    SHARED           255,290
AETHER SYS INC                      COM           00808V105 579,088      3,190,570   SH    SHARED           3,190,570
AFFYMETRIX INC                      COM           00826T108 66,427       447,510     SH    SHARED           447,510
AKAMAI TECHNOLOGIES INC             COM           00971T101 76,031       472,795     SH    SHARED           472,795
ALAMOSA PCS HOLDINGS                COM           011593100 16,225       429,795     SH    SHARED           429,795
ALEXION PHARMACEUTICALS INC         COM           015351109 111,806      1,602,960   SH    SHARED           1,602,960
ALKERMES INC                        COM           01642T108 171,466      1,853,685   SH    SHARED           1,853,685
ALLEGIANCE TELECOM INC              COM           01747T102 40,612       503,719     SH    SHARED           503,719
ALLERGAN INC                        COM           018490102 418,041      8,360,815   SH    SHARED           8,360,815
ALLSCRIPTS INC                      COM           019886100 84,054       1,397,980   SH    SHARED           1,397,980
ALPHA INDS INC                      COM           020753109 98,853       1,040,559   SH    SHARED           1,040,559
AMAZON COM INC                      COM           023135106 2,159,381    32,229,572  SH    SHARED           32,229,572
AMDOCS LTD                          ORD           G02602103 786,222      10,624,615  SH    SHARED           10,624,615
AMERICA ONLINE INC DEL              COM           02364J104 5,152,954    76,411,373  SH    SHARED           76,411,373
AMERICAN EXPRESS CO                 COM           025816109 2,698,986    18,121,659  SH    SHARED           18,121,659
AMERICAN INTL GROUP INC             COM           026874107 985,557      9,000,519   SH    SHARED           9,000,519
AMERICAN TOWER CORP                 CL A          029912201 319,312      6,467,070   SH    SHARED           6,467,070
AMES DEPT STORES INC                COM NEW       030789507 47,197       1,921,565   SH    SHARED           1,921,565
AMFM INC                            COM           001693100 890,251      14,329,988  SH    SHARED           14,329,988
AMGEN INC                           COM           031162100 308,872      5,032,535   SH    SHARED           5,032,535
ANALOG DEVICES INC                  COM           032654105 37,734       468,740     SH    SHARED           468,740
ANDRX CORP                          COM           034551101 344,087      2,979,105   SH    SHARED           2,979,105
ANHEUSER BUSCH COS INC              COM           035229103 138,553      2,225,758   SH    SHARED           2,225,758
ANSWERTHINK CONSULTING GROUP        COM           036916104 15,541       635,980     SH    SHARED           635,980
ANTIGENICS INC DEL                  COM           037032109 12,410       609,070     SH    SHARED           609,070
APOLLO GROUP INC                    CL A          037604105 241,084      8,553,019   SH    SHARED           8,553,019
APPLE COMPUTER INC                  COM           037833100 1,278,430    9,413,235   SH    SHARED           9,413,235
APPLIED MATLS INC                   COM           038222105 1,405,479    14,912,249  SH    SHARED           14,912,249
APPLIED MICRO CIRCUITS CORP         COM           03822W109 366,572      2,442,805   SH    SHARED           2,442,805
APPNET INC                          COM           03831Q101 56,936       1,211,400   SH    SHARED           1,211,400
APRIA HEALTHCARE GROUP INC          COM           037933108 41,179       2,852,295   SH    SHARED           2,852,295
APROPOS TECHNOLOGY INC              COM           038334108 7,776        210,155     SH    SHARED           210,155
ARIBA INC                           COM           04033V104 310          1,480       SH    SHARED           1,480
ARQULE INC                          COM           04269E107 17,362       1,286,085   SH    SHARED           1,286,085
ART TECHNOLOGY GROUP INC            COM           04289L107 107,476      1,636,180   SH    SHARED           1,636,180
ARVIN INDS INC                      COM           043339100 7,058        311,950     SH    SHARED           311,950
ASIAINFO HLDGS INC                  COM           04518A104 5,445        90,000      SH    SHARED           90,000
ASK JEEVES INC                      COM           045174109 7,632        124,855     SH    SHARED           124,855
ASM LITHOGRAPHY HLDG N V            N Y SHS       N07059111 717,668      6,422,087   SH    SHARED           6,422,087
ASPECT DEV INC                      COM           045234101 44,386       689,485     SH    SHARED           689,485
ASTRAZENECA PLC                     SPONSORED ADR 046353108 6,605        163,095     SH    SHARED           163,095
AT & T CDA INC                      DEPS RCPT CL B00207Q202 522,673      8,568,410   SH    SHARED           8,568,410
AT&T CORP                           COM LIB GRP A 001957208 4,431,669    74,717,931  SH    SHARED           74,717,931
ATMEL CORP                          COM           049513104 45,325       877,970     SH    SHARED           877,970
ATMI INC                            COM           00207R101 58,662       1,228,525   SH    SHARED           1,228,525
AUDIBLE INC                         COM           05069A104 2,111        211,100     SH    SHARED           211,100
AUDIOVOX CORP                       CL A          050757103 8,734        200,200     SH    SHARED           200,200
AURORA BIOSCIENCES CORP             COM           051920106 50,885       1,400,890   SH    SHARED           1,400,890
AUTOMATIC DATA PROCESSING INC       COM           053015103 559,588      11,597,680  SH    SHARED           11,597,680
AUTONATION INC                      COM (C)       05329W102 9,784        1,232,714   SH    SHARED           1,232,714
AVANEX CORP                         COM           05348W109 18,210       120,000     SH    SHARED           120,000
AVENUE A INC                        COM           053566105 23,976       786,110     SH    SHARED           786,110
AVISTA CORP                         COM           05379B107 68,452       1,679,805   SH    SHARED           1,679,805
BALLY TOTAL FITNESS HLDG CORP       COM           05873K108 57,306       2,339,025   SH    SHARED           2,339,025
BANK NEW YORK INC                   COM           064057102 1,631,197    39,247,324  SH    SHARED           39,247,324
BCE INC                             COM           05534B109 14,337       114,295     SH    SHARED           114,295
BE FREE INC                         COM           073308108 5,911        268,660     SH    SHARED           268,660
BEA SYS INC                         COM           073325102 638,136      8,696,912   SH    SHARED           8,696,912
BEA SYS INC                         SB NT CV144A4%073325AC6 153,071      122,702,000 SH    SHARED           122,702,000
BIOCRYST PHARMACEUTICALS            COM           09058V103 12,116       443,610     SH    SHARED           443,610
BLUESTONE SOFTWARE INC              COM           09623P102 19,795       586,530     SH    SHARED           586,530
BRIGHTPOINT INC                     COM           109473108 52,434       4,280,350   SH    SHARED           4,280,350
BRIO TECHNOLOGY INC                 COM           109704106 25,785       683,045     SH    SHARED           683,045
BROADBASE SOFTWARE                  COM           11130R100 59,640       747,835     SH    SHARED           747,835
BROADCOM CORP                       CL A          111320107 120,903      497,800     SH    SHARED           497,800
BROCADE COMMUNICATIONS SYS INC      COM           111621108 420,465      2,344,880   SH    SHARED           2,344,880
BROOKS AUTOMATION INC               COM           11434A100 20,313       325,000     SH    SHARED           325,000
BSQUARE CORP                        COM           11776U102 6,290        284,290     SH    SHARED           284,290
CABLEVISION SYS CORP                CL A          12686C109 284,441      4,682,155   SH    SHARED           4,682,155
CACHEFLOW INC                       COM           126946102 476          4,020       SH    SHARED           4,020
CALICO COMM INC                     COM           129897104 1,210        36,950      SH    SHARED           36,950
CALIPER TECHNOLOGIES CORP           COM           130876105 38,446       475,380     SH    SHARED           475,380
CAMINUS CORP                        COM           133766105 3,387        169,350     SH    SHARED           169,350
CAPROCK COMMUNICATIONS CORP         COM           140667106 38,043       776,385     SH    SHARED           776,385
CAREER EDUCATION CORP               COM           141665109 14,296       408,455     SH    SHARED           408,455
CARNIVAL CORP                       COM           143658102 237,718      9,580,758   SH    SHARED           9,580,758
CATALYTICA INC                      COM           148885106 3,722        255,605     SH    SHARED           255,605
CBS CORP                            COM           12490K107 61,506       1,086,199   SH    SHARED           1,086,199
CELESTICA INC                       SUB VTG SHS   15101Q108 523,267      9,861,430   SH    SHARED           9,861,430
CELGENE CORP                        COM           151020104 61,770       620,415     SH    SHARED           620,415
CELLEGY PHARMACEUTICALS INC         COM           15115L103 4,721        726,045     SH    SHARED           726,045
CEMEX S A                           SPON ADR 5 ORD151290889 33,569       1,483,715   SH    SHARED           1,483,715
CENTURYTEL INC                      COM           156700106 28,723       773,690     SH    SHARED           773,690
CHAMPIONSHIP AUTO RACING TEAM       COM           158711101 17,242       783,705     SH    SHARED           783,705
CHARTER COMMUNICATIONS INC DEL      CL A          16117M107 122,870      8,575,500   SH    SHARED           8,575,500
CHARTERED SEMICONDUCTOR MFG         ADR           16133R106 133,547      1,416,940   SH    SHARED           1,416,940
CHECK POINT SOFTWARE TECH LTD       ORD           M22465104 1,181,540    6,907,085   SH    SHARED           6,907,085
CHECKFREE HLDGS CORP                COM           162816102 286,115      4,058,370   SH    SHARED           4,058,370
CHINA COM CORP                      CL A          G2108N109 21,249       262,330     SH    SHARED           262,330
CHINA TELECOM HONG KONG LTD         SPONSORED ADR 169428109 3,534,987    19,943,510  SH    SHARED           19,943,510
CIBER INC                           COM           17163B102 18,810       917,560     SH    SHARED           917,560
CIENA CORP                          COM           171779101 66,720       529,000     SH    SHARED           529,000
CIMA LABS INC                       COM           171796105 12,481       726,200     SH    SHARED           726,200
CISCO SYS INC                       COM           17275R102 13,756,966   177,939,735 SH    SHARED           177,939,735
CITADEL COMMUNICATIONS CORP         COM           172853202 179,655      4,258,530   SH    SHARED           4,258,530
CITIGROUP INC                       COM           172967101 372,007      6,213,061   SH    SHARED           6,213,061
CLASSIC COMMUNICATIONS INC          CL A          182728204 9,654        612,930     SH    SHARED           612,930
CLEAR CHANNEL COMMUNICATIONS        COM           184502102 1,049,830    15,201,263  SH    SHARED           15,201,263
CLEARNET COMMUNICATIONS INC         CL A NON-VTG  184902104 200,619      4,870,940   SH    SHARED           4,870,940
CNF TRANSN INC                      COM           12612W104 53,285       1,920,190   SH    SHARED           1,920,190
COASTAL CORP                        COM           190441105 311,748      6,777,125   SH    SHARED           6,777,125
COCA COLA CO                        COM           191216100 91,537       1,950,200   SH    SHARED           1,950,200
COLGATE PALMOLIVE CO                COM           194162103 712,944      12,646,460  SH    SHARED           12,646,460
COLT TELECOM GROUP PLC              SPONSORED ADR 196877104 100,607      508,435     SH    SHARED           508,435
COMCAST CORP                        CL A SPL      200300200 4,076,825    93,990,199  SH    SHARED           93,990,199
COMCAST CORP                        ZONES CV2% PCS200300507 190,727      1,512,210   SH    SHARED           1,512,210
COMMERCE ONE INC DEL                COM           200693109 26,886       180,140     SH    SHARED           180,140
COMMTOUCH SOFTWARE LTD              ORD           M25596103 18,987       403,450     SH    SHARED           403,450
COMVERSE TECHNOLOGY INC             COM PAR $0.10 205862402 582,466      3,081,830   SH    SHARED           3,081,830
CONEXANT SYSTEMS INC                COM           207142100 346,586      4,881,495   SH    SHARED           4,881,495
CORE LABORATORIES N V               COM           N22717107 11,878       408,720     SH    SHARED           408,720
CORINTHIAN COLLEGES INC             COM           218868107 2,342        146,345     SH    SHARED           146,345
CORNING INC                         COM           219350105 537,321      2,769,695   SH    SHARED           2,769,695
COSTCO WHSL CORP NEW                COM           22160K105 1,493,884    28,421,365  SH    SHARED           28,421,365
COULTER PHARMACEUTICAL INC          COM           222116105 14,463       474,200     SH    SHARED           474,200
COX COMMUNICATIONS INC NEW          CL A          224044107 1,383,718    28,530,273  SH    SHARED           28,530,273
COX RADIO INC                       CL A          224051102 104,971      1,249,660   SH    SHARED           1,249,660
CREATIVE BIOMOLECULES INC           COM           225270107 21,209       2,141,040   SH    SHARED           2,141,040
CREE INC                            COM           225447101 64,903       575,000     SH    SHARED           575,000
CRITICAL PATH INC                   COM           22674V100 99,382       1,169,195   SH    SHARED           1,169,195
CROWN CASTLE INTL CORP              COM           228227104 371,676      9,813,225   SH    SHARED           9,813,225
CTC COMMUNICATIONS GROUP INC        COM           126419100 36,855       864,644     SH    SHARED           864,644
CTS CORP                            COM           126501105 277          4,865       SH    SHARED           4,865
CUBIST PHARMACEUTICALS INC          COM           229678107 21,406       511,185     SH    SHARED           511,185
CUMULUS MEDIA INC                   CL A          231082108 23,049       1,603,380   SH    SHARED           1,603,380
CURAGEN CORP                        COM           23126R101 142,945      3,057,640   SH    SHARED           3,057,640
CV THERAPEUTICS INC                 COM           126667104 26,427       526,565     SH    SHARED           526,565
CYTEC INDS INC                      COM           232820100 63,091       2,060,100   SH    SHARED           2,060,100
CYTYC CORP                          COM           232946103 13,006       269,560     SH    SHARED           269,560
DANAHER CORP DEL                    COM           235851102 49,000       960,775     SH    SHARED           960,775
DATA CRITICAL CORP DEL              COM           237622105 11,330       784,810     SH    SHARED           784,810
DELANO TECHNOLOGY CORP              COM           245701107 12,790       570,035     SH    SHARED           570,035
DELL COMPUTER CORP                  COM           247025109 1,222,719    22,669,181  SH    SHARED           22,669,181
DIGEX INC DEL                       CL A          253756100 41,155       370,975     SH    SHARED           370,975
DIGIMARC CORP                       COM           253807101 221          5,015       SH    SHARED           5,015
DIGITAL IMPACT INC DEL              COM           25385G106 23,812       669,600     SH    SHARED           669,600
DIGITAL IS INC DEL                  COM           25385N101 115,185      1,890,225   SH    SHARED           1,890,225
DIGITAL LIGHTWAVE INC               COM           253855100 9,564        153,485     SH    SHARED           153,485
DIGITALTHINK INC                    COM           25388M100 5,712        145,000     SH    SHARED           145,000
DIONEX CORP                         COM           254546104 86,090       2,613,770   SH    SHARED           2,613,770
DIVERSA CORP                        COM           255064107 9,738        207,195     SH    SHARED           207,195
DIVERSINET CORP                     COM NEW       25536K204 1,788        100,000     SH    SHARED           100,000
DOUBLECLICK INC                     COM           258609304 1,100,528    11,754,638  SH    SHARED           11,754,638
DOUBLECLICK INC                     SB NT CV 144A 258609AA4 9,190        4,000,000   SH    SHARED           4,000,000
DUSA PHARMACEUTICALS INC            COM           266898105 26,796       1,119,455   SH    SHARED           1,119,455
E M C CORP MASS                     COM           268648102 4,309,446    34,201,959  SH    SHARED           34,201,959
E MEDSOFT COM                       COM           26873Q101 33,892       2,183,600   SH    SHARED           2,183,600
E TRADE GROUP INC                   COM           269246104 421,532      13,992,765  SH    SHARED           13,992,765
EBAY INC                            COM           278642103 764,712      4,344,955   SH    SHARED           4,344,955
EBENX INC                           COM           278668108 15,530       526,450     SH    SHARED           526,450
ECHOSTAR COMMUNICATIONS NEW         CL A          278762109 443,458      5,613,390   SH    SHARED           5,613,390
ECLIPSYS CORP                       COM           278856109 19,179       989,900     SH    SHARED           989,900
EFFICIENT NETWORKS INC              COM           282056100 170,424      1,094,215   SH    SHARED           1,094,215
EL PASO ENERGY CORP DEL             COM           283905107 311,469      7,714,395   SH    SHARED           7,714,395
EL SITIO INC                        ORD           G30177102 3,751        175,000     SH    SHARED           175,000
ELECTRONIC ARTS INC                 COM           285512109 642,699      9,028,315   SH    SHARED           9,028,315
ELECTRONIC DATA SYS NEW             COM           285661104 165,512      2,578,585   SH    SHARED           2,578,585
ELOYALTY CORP                       COM           290151109 20,932       876,745     SH    SHARED           876,745
EMISPHERE TECHNOLOGIES INC          COM           291345106 43,759       843,550     SH    SHARED           843,550
EMULEX CORP                         COM NEW       292475209 40,249       368,835     SH    SHARED           368,835
ENRON CORP                          COM           293561106 5,026,157    67,127,310  SH    SHARED           67,127,310
ENTERCOM COMMUNICATIONS CORP        CL A          293639100 192,039      3,765,480   SH    SHARED           3,765,480
ENTREMED INC                        COM           29382F103 8,888        150,000     SH    SHARED           150,000
ENTRUST TECHNOLOGIES INC            COM           293848107 48,357       568,385     SH    SHARED           568,385
ENZON INC                           COM           293904108 119,508      3,171,075   SH    SHARED           3,171,075
EQUANT N V                          NY REG SHS    294409107 9,357        110,000     SH    SHARED           110,000
ERICSSON L M TEL CO                 ADR CL B SEK10294821400 1,275,930    13,600,927  SH    SHARED           13,600,927
ESOFT INC                           COM           296904105 21,731       1,190,740   SH    SHARED           1,190,740
E-TEK DYNAMICS INC                  COM           269240107 553,467      2,352,675   SH    SHARED           2,352,675
EXIDE CORP                          COM           302051107 26,198       2,217,885   SH    SHARED           2,217,885
EXODUS COMMUNICATIONS INC           COM           302088109 1,673,205    11,908,935  SH    SHARED           11,908,935
EXTENSITY INC                       COM           302255104 26,526       552,625     SH    SHARED           552,625
FAIRMARKET INC                      COM           305158107 15,261       670,805     SH    SHARED           670,805
FEDERAL MOGUL CORP                  COM           313549107 28,372       1,700,240   SH    SHARED           1,700,240
FEDERAL NATL MTG ASSN               COM           313586109 62,615       1,107,024   SH    SHARED           1,107,024
FIFTH THIRD BANCORP                 COM           316773100 311,042      4,937,170   SH    SHARED           4,937,170
FINISAR                             COM           31787A101 8,308        56,705      SH    SHARED           56,705
FIREPOND INC                        COM           318224102 20,666       504,825     SH    SHARED           504,825
FIRSTAR CORP NEW WIS                COM           33763V109 281,560      12,275,362  SH    SHARED           12,275,362
FIRSTCOM CORP                       COM           33763T104 50,320       1,471,900   SH    SHARED           1,471,900
FIRSTWORLD COMMUNICATIONS INC       COM SER B     337625305 11,922       585,105     SH    SHARED           585,105
FORD MTR CO DEL                     COM           345370100 37,475       815,800     SH    SHARED           815,800
FOREST LABS INC                     COM           345838106 32,536       385,045     SH    SHARED           385,045
FOUNDRY NETWORKS INC                COM           35063R100 56,755       394,820     SH    SHARED           394,820
FOUR MEDIA CO                       COM           350872107 4,814        311,875     SH    SHARED           311,875
GAP INC DEL                         COM           364760108 17,434       350,000     SH    SHARED           350,000
GEMSTAR INTL GROUP LTD              ORD           G3788V106 375,700      4,368,610   SH    SHARED           4,368,610
GENENTECH INC                       COM NEW       368710406 1,500,245    9,870,035   SH    SHARED           9,870,035
GENERAL ELEC CO                     COM           369604103 5,792,858    37,223,186  SH    SHARED           37,223,186
GENTEX CORP                         COM           371901109 9,419        254,150     SH    SHARED           254,150
GETTY IMAGES INC                    COM           374276103 22,446       624,580     SH    SHARED           624,580
GIGAMEDIA LTD                       ORD           Y2711Y104 7,086        130,610     SH    SHARED           130,610
GLOBIX CORP                         COM           37957F101 177,620      4,658,890   SH    SHARED           4,658,890
GLOBO CABO S A                      SPONSORED ADR 37957X102 123,214      6,571,395   SH    SHARED           6,571,395
GOODRICH B F CO                     COM           382388106 29,100       1,014,400   SH    SHARED           1,014,400
GOTO COM INC                        COM           38348T107 4,862        118,400     SH    SHARED           118,400
GRUPO TELEVISA SA DE CV             SP ADR REP ORD40049J206 883,874      12,998,145  SH    SHARED           12,998,145
GT GROUP TELECOM INC                CL B NON VTG  362359408 32,699       1,566,400   SH    SHARED           1,566,400
GUCCI GROUP N V                     COM NY REG    401566104 97,973       1,101,605   SH    SHARED           1,101,605
GUIDANT CORP                        COM           401698105 84,658       1,437,930   SH    SHARED           1,437,930
HANCOCK JOHN FINL SVCS INC          COM           41014S106 284,217      15,735,640  SH    SHARED           15,735,640
HANOVER COMPRESSOR CO               COM           410768105 23,239       408,595     SH    SHARED           408,595
HARTFORD LIFE INC                   CL A          416592103 5,845        124,700     SH    SHARED           124,700
HEALTHEON WEBMD CORP                COM           422209106 384,025      17,671,740  SH    SHARED           17,671,740
HISPANIC BROADCASTING CORP          CL A          43357B104 530,277      4,682,360   SH    SHARED           4,682,360
HOME DEPOT INC                      COM           437076102 2,724,859    42,245,874  SH    SHARED           42,245,874
HOMEGROCER COM INC                  COM           43740K100 8,168        787,300     SH    SHARED           787,300
HOOPER HOLMES INC                   COM           439104100 7,600        221,500     SH    SHARED           221,500
HUMAN GENOME SCIENCES INC           COM           444903108 135,779      1,634,675   SH    SHARED           1,634,675
I2 TECHNOLOGIES INC                 COM           465754109 1,526,851    12,502,364  SH    SHARED           12,502,364
I2 TECHNOLOGIES INC                 SUBNTCV 144A  465754AD1 123,122      71,220,000  SH    SHARED           71,220,000
IDT CORP                            COM           448947101 44,039       1,061,170   SH    SHARED           1,061,170
IGATE CAPITAL CORP                  COM           45169U105 69,985       1,550,915   SH    SHARED           1,550,915
ILEX ONCOLOGY INC                   COM           451923106 76,025       1,810,115   SH    SHARED           1,810,115
IMCLONE SYS INC                     COM           45245W109 144,257      1,876,515   SH    SHARED           1,876,515
IMMUNEX CORP NEW                    COM           452528102 15,373       242,330     SH    SHARED           242,330
IMMUNOMEDICS INC                    COM           452907108 54,823       2,206,410   SH    SHARED           2,206,410
IMPSAT FIBER NETWORKS INC           COM           45321T103 4,881        174,335     SH    SHARED           174,335
INCYTE PHARMACEUTICALS INC          COM           45337C102 298,002      3,542,550   SH    SHARED           3,542,550
INFINITY BROADCASTING CP NEW        CL A          45662S102 869,502      26,857,196  SH    SHARED           26,857,196
INFONET SVCS CORP                   CL B          45666T106 156,071      6,898,175   SH    SHARED           6,898,175
INFORMATICA CORP                    COM           45666Q102 86,081       1,120,670   SH    SHARED           1,120,670
INFOSPACE COM INC                   COM           45678T102 220,104      1,513,395   SH    SHARED           1,513,395
INKTOMI CORP                        COM           457277101 1,306,348    6,699,220   SH    SHARED           6,699,220
INSIGHT ENTERPRISES INC             COM           45765U103 55,552       1,524,596   SH    SHARED           1,524,596
INTEL CORP                          COM           458140100 66,949       507,435     SH    SHARED           507,435
INTEREP NATL RADIO SALES INC        COM           45866V109 3,944        589,735     SH    SHARED           589,735
INTERNAP NETWORK SVCS CORP          COM           45885A102 155,118      3,372,130   SH    SHARED           3,372,130
INTERNATIONAL BUSINESS MACHS        COM           459200101 38,994       330,460     SH    SHARED           330,460
INTERNET CAP GROUP INC              COM           46059C106 77,439       857,460     SH    SHARED           857,460
INTERNET COM CORP                   COM           460967102 24,029       573,830     SH    SHARED           573,830
INTERNET INITIATIVE JAPAN INC       SPONSORED ADR 46059T109 4,214        60,420      SH    SHARED           60,420
INTERSIL HLDG CORP                  CL A          46069S109 154,822      2,995,370   SH    SHARED           2,995,370
INTERTRUST TECHNOLOGIES CORP        COM           46113Q109 35,451       834,145     SH    SHARED           834,145
INTERWAVE COMMUNCTNS INTL LTD       ORD           G4911N102 7,642        253,680     SH    SHARED           253,680
INTERWOVEN INC                      COM           46114T102 44,065       401,505     SH    SHARED           401,505
INTRANET SOLUTIONS INC              COM NEW       460939309 18,400       400,000     SH    SHARED           400,000
INTUIT                              COM           461202103 130,901      2,407,383   SH    SHARED           2,407,383
INVESTORS FINL SERVICES CORP        COM           461915100 41,038       697,040     SH    SHARED           697,040
INVITROGEN CORP                     COM           46185R100 91,642       1,578,340   SH    SHARED           1,578,340
IONA TECHNOLOGIES PLC               SPONSORED ADR 46206P109 36,863       498,155     SH    SHARED           498,155
IPC COMMUNICATIONS INC              COM NEW       44980K206 5,459        26,500      SH    SHARED           26,500
IRON MTN INC PA                     COM           462846106 39,256       1,152,495   SH    SHARED           1,152,495
J D EDWARDS & CO                    COM           281667105 56,356       1,730,720   SH    SHARED           1,730,720
JACADA LTD                          ORD           M6184R101 7,692        525,935     SH    SHARED           525,935
JACK IN THE BOX INC                 COM           466367109 46,552       2,184,320   SH    SHARED           2,184,320
JDS UNIPHASE CORP                   COM           46612J101 2,222,372    18,433,435  SH    SHARED           18,433,435
JNI CORP                            COM           46622G105 3,572        70,220      SH    SHARED           70,220
JOHNSON & JOHNSON                   COM           478160104 455,500      6,483,980   SH    SHARED           6,483,980
JUNIPER NETWORKS INC                COM           48203R104 144,528      548,365     SH    SHARED           548,365
KANA COMMUNICATIONS                 COM           483600102 50,114       736,970     SH    SHARED           736,970
KEYNOTE SYS INC                     COM           493308100 64,408       629,910     SH    SHARED           629,910
KING PHARMACEUTICALS INC            COM           495582108 132,528      4,207,249   SH    SHARED           4,207,249
KONINKLIJKE PHILIPS ELECTRS NV      SPON ADR NEW  500472204 550,145      3,211,363   SH    SHARED           3,211,363
KOREA TELECOM                       SPONSORED ADR 50063P103 66,579       1,519,650   SH    SHARED           1,519,650
KOREA THRUNET CO LTD                CL A          Y49975108 69,162       1,787,735   SH    SHARED           1,787,735
L90 INC                             COM           539441105 11,865       624,490     SH    SHARED           624,490
LAM RESEARCH CORP                   COM           512807108 180,257      4,000,200   SH    SHARED           4,000,200
LAMAR ADVERTISING CO                CL A          512815101 374,319      8,226,785   SH    SHARED           8,226,785
LANTE CORP                          COM           516540101 8,362        275,300     SH    SHARED           275,300
LAUNCH MEDIA INC                    COM           518567102 4,832        309,250     SH    SHARED           309,250
LEAP WIRELESS INTL INC              COM           521863100 20,950       212,290     SH    SHARED           212,290
LEAR CORP                           COM           521865105 49,506       1,760,225   SH    SHARED           1,760,225
LEVEL 3 COMMUNICATIONS INC          COM           52729N100 2,186,787    20,678,840  SH    SHARED           20,678,840
LIBERATE TECHNOLOGIES               COM           530129105 293,870      4,683,195   SH    SHARED           4,683,195
LIBERTY DIGITAL INC                 CL A          530436104 23,804       618,285     SH    SHARED           618,285
LIGHTSPAN PARTNERSHIP INC           COM           532262102 8,520        480,000     SH    SHARED           480,000
LINEAR TECHNOLOGY CORP              COM           535678106 2,029,951    36,908,204  SH    SHARED           36,908,204
LIQUID AUDIO INC                    COM           53631T102 6,684        504,430     SH    SHARED           504,430
LOUDEYE TECHNOLOGIES INC            COM           545754103 3,836        110,000     SH    SHARED           110,000
LUCENT TECHNOLOGIES INC             COM           549463107 41,293       674,173     SH    SHARED           674,173
LYCOS INC                           COM           550818108 177,949      2,533,085   SH    SHARED           2,533,085
LYONDELL CHEMICAL CO                COM           552078107 37,708       2,556,475   SH    SHARED           2,556,475
M & T BK CORP                       COM           55261F104 123,297      276,140     SH    SHARED           276,140
MACROMEDIA INC                      COM           556100105 104,155      1,153,275   SH    SHARED           1,153,275
MAGNUM HUNTER RES INC               WT EXP  07010255972F120 350          559,273     SH    SHARED           559,273
MAGNUM HUNTER RES INC               COM PAR $0.00255972F203 6,406        1,653,075   SH    SHARED           1,653,075
MANAGEMENT NETWORK GROUP INC        COM           561693102 9,892        367,240     SH    SHARED           367,240
MARCHFIRST INC                      COM           566244109 349,165      9,783,944   SH    SHARED           9,783,944
POWERWAVE TECHNOLOGY                COM           739363109 616          4,925       SH    SHARED           4,925
MATTEL INC                          COM           577081102 10,804       1,028,945   SH    SHARED           1,028,945
MATTSON TECHNOLOGY INC              COM           577223100 21,313       500,000     SH    SHARED           500,000
MAXIM INTEGRATED PRODS INC          COM           57772K101 2,190,989    30,832,070  SH    SHARED           30,832,070
MAXIM PHARMACEUTICALS INC           COM           57772M107 30,082       640,900     SH    SHARED           640,900
MAXYGEN INC                         COM           577776107 132,499      2,032,605   SH    SHARED           2,032,605
MCDONALDS CORP                      COM           580135101 1,682,049    45,004,650  SH    SHARED           45,004,650
MCLEODUSA INC                       COM           582266102 952,435      11,229,956  SH    SHARED           11,229,956
MDSI MOBILE DATA SOLUTIONS INC      COM           55268N100 3,146        66,410      SH    SHARED           66,410
MEDAREX INC                         COM           583916101 162,895      3,241,685   SH    SHARED           3,241,685
MEDIA 100 INC                       COM           58440W105 32,669       936,745     SH    SHARED           936,745
MEDIACOM COMMUNICATIONS CORP        CL A          58446K105 38,605       2,770,000   SH    SHARED           2,770,000
MEDIMMUNE INC                       COM           584699102 519,597      2,984,045   SH    SHARED           2,984,045
MEDQUIST INC                        COM           584949101 48,730       1,792,410   SH    SHARED           1,792,410
MEDTRONIC INC                       COM           585055106 1,330,324    25,863,177  SH    SHARED           25,863,177
MERRILL LYNCH & CO INC              COM           590188108 817,086      7,781,770   SH    SHARED           7,781,770
MESSAGEMEDIA INC                    COM           590787107 12,429       979,650     SH    SHARED           979,650
METROMEDIA FIBER NETWORK INC        CL A          591689104 1,183,304    12,230,530  SH    SHARED           12,230,530
METTLER TOLEDO INTERNATIONAL        COM           592688105 25,937       633,575     SH    SHARED           633,575
MGC COMMUNICATIONS INC              COM           552763302 104,375      1,459,790   SH    SHARED           1,459,790
MGM GRAND INC                       COM           552953101 21,206       883,590     SH    SHARED           883,590
MICROCELL TELECOMMUNICATIONS        CL B NON VTG  59501T304 131,529      2,964,035   SH    SHARED           2,964,035
MICROMUSE INC                       COM           595094103 100,804      726,190     SH    SHARED           726,190
MICROSOFT CORP                      COM           594918104 4,110,691    38,688,860  SH    SHARED           38,688,860
MILLENNIUM CHEMICALS INC            COM           599903101 8,000        400,000     SH    SHARED           400,000
MILLENNIUM PHARMACEUTICALS INC      COM           599902103 197,981      1,524,395   SH    SHARED           1,524,395
MILLICOM INTL CELLULAR S A          ORD           L6388F102 71,844       1,259,055   SH    SHARED           1,259,055
MINIMED INC                         COM           60365K108 387,872      2,995,150   SH    SHARED           2,995,150
MIRAGE RESORTS INC                  COM           60462E104 53,088       2,740,000   SH    SHARED           2,740,000
MONTANA POWER CO                    COM           612085100 19,200       300,000     SH    SHARED           300,000
MORGAN STANLEY DEAN WITTER&CO       COM NEW       617446448 308,861      3,726,825   SH    SHARED           3,726,825
MOTOROLA INC                        COM           620076109 351,860      2,410,000   SH    SHARED           2,410,000
MRV COMMUNICATIONS INC              COM           553477100 183,656      2,004,435   SH    SHARED           2,004,435
MYRIAD GENETICS INC                 COM           62855J104 8,957        148,670     SH    SHARED           148,670
MYWEB INC COM                       COM           628451106 826          64,180      SH    SHARED           64,180
NAPRO BIOTHERAPUTICS INC            COM           630795102 5,739        685,300     SH    SHARED           685,300
NATURAL MICROSYSTEMS CORP           COM           638882100 48,634       567,155     SH    SHARED           567,155
NAVISITE INC                        COM           63935M109 62,172       510,655     SH    SHARED           510,655
NDS GROUP PLC                       SPONSORED ADR 628891103 49,997       709,180     SH    SHARED           709,180
NEOSE TECHNOLOGIES INC              COM           640522108 3,254        101,090     SH    SHARED           101,090
NET GENESIS CORP                    COM           64107E107 40,617       907,635     SH    SHARED           907,635
NET2000 COMMUNICATIONS INC          COM           64122G103 13,103       551,700     SH    SHARED           551,700
NET2PHONE                           COM           64108N106 162,175      2,742,910   SH    SHARED           2,742,910
NETCENTIVES INC                     COM           64108P101 13,931       464,360     SH    SHARED           464,360
NETIQ CORP                          COM           64115P102 41,530       621,600     SH    SHARED           621,600
NETRATINGS INC                      COM           64116M108 1,247        50,000      SH    SHARED           50,000
NETRO CORP                          COM           64114R109 155,973      2,398,990   SH    SHARED           2,398,990
NETWORK APPLIANCE INC               COM           64120L104 110,125      1,330,820   SH    SHARED           1,330,820
NETWORK SOLUTIONS INC DEL           COM           64121Q102 1,866,400    12,142,900  SH    SHARED           12,142,900
NETZERO INC                         COM           64122R109 25,203       1,652,685   SH    SHARED           1,652,685
NEUROCRINE BIOSCIENCES INC          COM           64125C109 6,130        263,670     SH    SHARED           263,670
NEUROGEN CORP                       COM           64124E106 27,046       875,990     SH    SHARED           875,990
NEW YORK TIMES CO                   CL A          650111107 241,787      5,631,215   SH    SHARED           5,631,215
NEWBRIDGE NETWORKS CORP             COM           650901101 126,276      3,892,970   SH    SHARED           3,892,970
NEWPORT CORP                        COM           651824104 14,175       105,000     SH    SHARED           105,000
NEWS CORP LTD                       ADR NEW       652487703 109,413      1,945,115   SH    SHARED           1,945,115
NEWS CORP LTD                       SP ADR PFD    652487802 196,156      4,107,975   SH    SHARED           4,107,975
NEXT LEVEL COMM INC                 COM           65333U104 20,525       188,740     SH    SHARED           188,740
NEXTEL COMMUNICATIONS INC           CL A          65332V103 2,852,667    19,242,273  SH    SHARED           19,242,273
NEXTLINK COMMUNICATIONS INC         CL A          65333H707 256,534      2,074,055   SH    SHARED           2,074,055
NOKIA CORP                          SPONSORED ADR 654902204 14,614,241   67,269,235  SH    SHARED           67,269,235
NORTEL NETWORKS CORP                COM           656569100 2,382,773    18,892,154  SH    SHARED           18,892,154
NORTHERN TR CORP                    COM           665859104 356,539      5,277,210   SH    SHARED           5,277,210
NORTHROP GRUMMAN CORP               COM           666807102 33,726       637,105     SH    SHARED           637,105
NOVELL INC                          COM           670006105 31,811       1,111,315   SH    SHARED           1,111,315
NOVELLUS SYS INC                    COM           670008101 2,745        48,910      SH    SHARED           48,910
NPS PHARMACEUTICALS INC             COM           62936P103 17,824       1,356,130   SH    SHARED           1,356,130
NTL INC                             COM           629407107 1,349,871    14,544,144  SH    SHARED           14,544,144
OMNICOM GROUP INC                   COM           681919106 28,445       303,815     SH    SHARED           303,815
ONVIA COM INC                       COM           68338T106 8,978        425,000     SH    SHARED           425,000
OPENTV CORP                         CL A          G67543101 9,267        78,285      SH    SHARED           78,285
ORACLE CORP                         COM           68389X105 350,098      4,484,865   SH    SHARED           4,484,865
ORTEL CORP                          COM           68749W102 22,488       119,815     SH    SHARED           119,815
OSI PHARMACEUTICALS INC             COM           671040103 36,191       1,955,960   SH    SHARED           1,955,960
OTG SOFTWARE INC                    COM           671059103 28,441       705,515     SH    SHARED           705,515
P F CHANGS CHINA BISTRO INC         COM           69333Y108 9,179        277,095     SH    SHARED           277,095
PACKAGING CORP AMER                 COM           695156109 21,159       2,015,175   SH    SHARED           2,015,175
PAC-WEST TELECOM INC                COM           69371Y101 28,490       911,665     SH    SHARED           911,665
PALM INC                            COM           696642107 15,876       353,775     SH    SHARED           353,775
PARK PL ENTMT CORP                  COM           700690100 275,133      23,796,345  SH    SHARED           23,796,345
PARTNER COMMUNICATIONS CO LTD       ADR           70211M109 108,793      6,543,920   SH    SHARED           6,543,920
PAYCHEX INC                         COM           704326107 1,449,696    27,679,167  SH    SHARED           27,679,167
PCORDER COM INC                     CL A          70453H107 13,866       616,285     SH    SHARED           616,285
PE CORP                             COM PE BIO GRP69332S102 1,013,648    10,504,125  SH    SHARED           10,504,125
PE CORP                             CELERA GEN GRP69332S201 427,271      4,637,950   SH    SHARED           4,637,950
PEGASUS SYSTEMS INC                 COM           705906105 10,969       693,733     SH    SHARED           693,733
PEOPLESOFT INC                      COM           712713106 50,762       2,538,100   SH    SHARED           2,538,100
PEREGRINE SYSTEMS INC               COM           71366Q101 137,624      2,052,185   SH    SHARED           2,052,185
PERSISTENCE SOFTWARE INC            COM           715329108 3,975        200,000     SH    SHARED           200,000
PFIZER INC                          COM           717081103 1,202,870    32,899,464  SH    SHARED           32,899,464
PFSWEB INC                          COM           717098107 4,829        301,840     SH    SHARED           301,840
PHARMACIA & UPJOHN INC              COM           716941109 78,651       1,321,870   SH    SHARED           1,321,870
PHARMACOPEIA INC                    COM           71713B104 7,692        156,975     SH    SHARED           156,975
PHARMACYCLICS INC                   COM           716933106 60,102       1,079,280   SH    SHARED           1,079,280
PHONE COM INC                       COM           71920Q100 747,107      4,579,965   SH    SHARED           4,579,965
PINNACLE HLDGS INC                  COM           72346N101 114,090      2,122,610   SH    SHARED           2,122,610
PITNEY BOWES INC                    COM           724479100 189,060      4,230,770   SH    SHARED           4,230,770
PLAYBOY ENTERPRISES INC             CL B          728117300 38,742       1,949,295   SH    SHARED           1,949,295
PORTAL SOFTWARE INC                 COM           736126103 230,452      4,047,485   SH    SHARED           4,047,485
POWERTEL INC                        COM           73936C109 184,798      2,670,995   SH    SHARED           2,670,995
POWERWAVE TECHNOLOGIES INC          COM           739363109 616          4,925       SH    SHARED           4,925
PREMIER PKS INC                     COM NEW       740540208 225,537      10,739,860  SH    SHARED           10,739,860
PREVIEW SYS INC                     COM           741379101 16,259       343,665     SH    SHARED           343,665
PRICE COMMUNICATIONS CORP           COM NEW       741437305 8,251        358,735     SH    SHARED           358,735
PRICELINE COM INC                   COM           741503106 604,076      7,550,945   SH    SHARED           7,550,945
PRIORITY HEALTHCARE CORP            CL B          74264T102 42,457       844,915     SH    SHARED           844,915
PROFESSIONAL DETAILING INC          COM           74312N107 16,099       643,975     SH    SHARED           643,975
PROGENICS PHARMACEUTICALS INC       COM           743187106 61,051       872,155     SH    SHARED           872,155
PROTEIN DESIGN LABS INC             COM           74369L103 51,189       643,885     SH    SHARED           643,885
PROXICOM INC                        COM           744282104 25,416       573,570     SH    SHARED           573,570
PSINET INC                          COM           74437C101 564,483      16,594,635  SH    SHARED           16,594,635
PUMA TECHNOLOGY INC                 COM           745887109 59,813       1,181,500   SH    SHARED           1,181,500
PURCHASEPRO COM                     COM           746144104 77,016       1,062,290   SH    SHARED           1,062,290
QIAGEN N V                          ORD           N72482107 134,549      989,330     SH    SHARED           989,330
QLOGIC CORP                         COM           747277101 70,690       521,700     SH    SHARED           521,700
QLT PHOTOTHERAPEUTICS INC           COM           746927102 189,543      3,430,635   SH    SHARED           3,430,635
QUALCOMM INC                        COM           747525103 1,271,869    8,518,195   SH    SHARED           8,518,195
QUANTUM EFFECT DEVICES INC          COM           74764T107 6,768        85,000      SH    SHARED           85,000
QUEST SOFTWARE INC                  COM           74834T103 47,375       420,175     SH    SHARED           420,175
QUICKLOGIC CORP                     COM           74837P108 10,163       300,000     SH    SHARED           300,000
QUINTUS CORP                        COM           748798105 12,235       412,135     SH    SHARED           412,135
RADIO ONE INC                       CL A          75040P108 175,810      2,638,800   SH    SHARED           2,638,800
RADIO UNICA COMMUNICATIONS CP       COM           75040Q106 12,857       1,088,440   SH    SHARED           1,088,440
RADVISION LTD                       ORD           M81869105 20,950       400,000     SH    SHARED           400,000
RARE MEDIUM GROUP INC               COM           75382N109 84,658       1,918,590   SH    SHARED           1,918,590
RAYOVAC CORP                        COM           755081106 9,602        412,990     SH    SHARED           412,990
RAZORFISH INC                       CL A          755236106 126,668      4,606,115   SH    SHARED           4,606,115
REALNETWORKS INC                    COM           75605L104 81,001       1,422,640   SH    SHARED           1,422,640
REGENT COMMUNICATIONS INC DEL       COM           758865109 14,274       1,153,450   SH    SHARED           1,153,450
REGISTER COM INC                    COM           75914G101 42,421       610,375     SH    SHARED           610,375
RENT WAY INC                        COM           76009U104 10,853       556,558     SH    SHARED           556,558
RETEK INC                           COM           76128Q109 8,237        200,000     SH    SHARED           200,000
RF MICRODEVICES INC                 COM           749941100 127,811      951,155     SH    SHARED           951,155
RIBOZYME PHARMACEUTICALS INC        COM           762567105 15,926       629,180     SH    SHARED           629,180
ROBOTIC VISION SYS INC              COM           771074101 4,880        305,000     SH    SHARED           305,000
ROGERS CANTEL MOBILE COMMN          CL B RSTRG VTG775102205 97,337       2,407,130   SH    SHARED           2,407,130
ROGERS COMMUNICATIONS INC           CL B          775109200 100,395      3,367,600   SH    SHARED           3,367,600
ROSS STORES INC                     COM           778296103 37,026       1,538,785   SH    SHARED           1,538,785
ROYAL CARIBBEAN CRUISES LTD         COM           V7780T103 341,219      12,186,390  SH    SHARED           12,186,390
ROYAL CARIBBEAN CRUISES LTD         PFD CONV A    V7780T111 67,990       772,610     SH    SHARED           772,610
SAFEGUARD SCIENTIFICS INC           COM           786449108 136,275      1,975,000   SH    SHARED           1,975,000
SAP AKTIENGESELLSCHAFT              SPONSORED ADR 803054204 42,379       709,275     SH    SHARED           709,275
SAPIENT CORP                        COM           803062108 471,504      5,621,503   SH    SHARED           5,621,503
SBA COMMUNICATIONS CORP             COM           78388J106 10,720       243,635     SH    SHARED           243,635
SBC COMMUNICATIONS INC              COM           78387G103 143,673      3,410,645   SH    SHARED           3,410,645
SBS BROADCASTING SA                 ORD           L8137F102 137,618      2,237,695   SH    SHARED           2,237,695
SCHERING PLOUGH CORP                COM           806605101 138,323      3,725,867   SH    SHARED           3,725,867
SCHOOL SPECIALTY INC                COM           807863105 32,061       1,491,205   SH    SHARED           1,491,205
SCHWAB CHARLES CORP NEW             COM           808513105 2,305,369    40,578,902  SH    SHARED           40,578,902
SCI SYS INC                         COM           783890106 133,710      2,487,635   SH    SHARED           2,487,635
SCIENT CORP                         COM           80864H109 70,290       775,085     SH    SHARED           775,085
SCIQUEST COM INC                    COM           80908Q107 12,773       496,045     SH    SHARED           496,045
SDL INC                             COM           784076101 787,662      3,700,115   SH    SHARED           3,700,115
SELECTICA INC                       COM           816288104 35,910       406,915     SH    SHARED           406,915
SEPRACOR INC                        COM           817315104 670,831      9,213,195   SH    SHARED           9,213,195
SFX ENTMT INC                       CL A          784178105 290,252      7,111,926   SH    SHARED           7,111,926
SILICON IMAGE INC                   COM           82705T102 11,016       153,805     SH    SHARED           153,805
SILVERSTREAM SOFTWARE INC           COM           827907106 25,015       338,615     SH    SHARED           338,615
SK TELECOM LTD                      SPONSORED ADR 78440P108 649,579      16,655,861  SH    SHARED           16,655,861
SKILLSOFT CORP                      COM           83066P101 11,625       400,000     SH    SHARED           400,000
SOFTWARE COM INC                    COM           83402P104 447,143      3,469,585   SH    SHARED           3,469,585
SOLUTIA INC                         COM           834376105 17,260       1,290,435   SH    SHARED           1,290,435
SONERA GROUP PLC                    SPONSORED ADR 835433202 4,395        66,215      SH    SHARED           66,215
SONICWALL INC                       COM           835470105 9,994        150,000     SH    SHARED           150,000
SONY CORP                           ADR NEW       835699307 30,060       107,310     SH    SHARED           107,310
SPANISH BROADCASTING SYS INC        CL A          846425882 36,828       1,570,270   SH    SHARED           1,570,270
SPRINT CORP                         COM FON GROUP 852061100 209          3,300       SH    SHARED           3,300
SPRINT CORP                         PCS COM SER 1 852061506 4,033,555    61,580,996  SH    SHARED           61,580,996
ST ASSEMBLY TEST SVSC LTD           ADR           85227G102 28,971       597,350     SH    SHARED           597,350
STANCORP FINL GROUP INC             COM           852891100 45,683       1,668,775   SH    SHARED           1,668,775
STAPLES INC                         COM           855030102 952,543      47,627,155  SH    SHARED           47,627,155
STARMEDIA NETWORK INC               COM           855546107 1,653        55,000      SH    SHARED           55,000
STATION CASINOS INC                 COM           857689103 57,208       2,622,790   SH    SHARED           2,622,790
STMICROELECTRONICS N V              COM           861012102 22,414       119,740     SH    SHARED           119,740
STRYKER CORP                        COM           863667101 708          10,150      SH    SHARED           10,150
SUN MICROSYSTEMS INC                COM           866810104 7,117,418    75,957,206  SH    SHARED           75,957,206
SYCAMORE NETWORKS INC               COM           871206108 7,740        60,000      SH    SHARED           60,000
SYMBOL TECHNOLOGIES INC             COM           871508107 486,985      5,916,330   SH    SHARED           5,916,330
SYMYX TECHNOLOGIES                  COM           87155S108 29,590       686,155     SH    SHARED           686,155
TAIWAN SEMICONDUCTOR MFG LTD        SPONSORED ADR 874039100 324,707      5,696,616   SH    SHARED           5,696,616
TANNING TECHNOLOGY CORP             COM           87588P101 19,792       459,620     SH    SHARED           459,620
TELAXIS COMMUNICATIONS CORP         COM           879202109 7,514        125,000     SH    SHARED           125,000
TELECOMUNICACOES BRASILEIRAS S      SPONSORED ADR 879287308 759,665      5,081,370   SH    SHARED           5,081,370
TELEFONICA S A                      SPONSORED ADR 879382208 433,096      5,823,142   SH    SHARED           5,823,142
TELEFONOS DE MEXICO S A             SPON ADR ORD L879403780 2,710,447    40,682,130  SH    SHARED           40,682,130
TELESP CELULAR PART S A             SPON ADR PFD  87952L108 104,295      1,839,835   SH    SHARED           1,839,835
TELLABS INC                         COM           879664100 66,524       1,056,200   SH    SHARED           1,056,200
TENFOLD CORP                        COM           88033A103 59,116       977,125     SH    SHARED           977,125
TERADYNE INC                        COM           880770102 261,476      3,188,735   SH    SHARED           3,188,735
TEREX CORP NEW                      COM           880779103 16,661       1,159,015   SH    SHARED           1,159,015
TEVA PHARMACEUTICAL INDS LTD        ADR           881624209 18,336       491,415     SH    SHARED           491,415
TEXAS INSTRS INC                    COM           882508104 6,042,460    37,765,374  SH    SHARED           37,765,374
TIBCO SOFTWARE INC                  COM           88632Q103 135,010      1,656,570   SH    SHARED           1,656,570
TICKETMASTER ONLINE-CITYSEARCH      CL B          88633P203 26,149       1,043,380   SH    SHARED           1,043,380
TIME WARNER INC                     COM           887315109 11,644,577   116,445,769 SH    SHARED           116,445,769
TIME WARNER TELECOM INC             CL A          887319101 22,409       281,870     SH    SHARED           281,870
TJX COS INC NEW                     COM           872540109 121,270      5,465,820   SH    SHARED           5,465,820
TMP WORLDWIDE INC                   COM           872941109 711,571      9,152,045   SH    SHARED           9,152,045
TOWER AUTOMOTIVE INC                COM           891707101 8,794        537,040     SH    SHARED           537,040
TRANSKARYOTIC THERAPIES INC         COM           893735100 11,125       200,000     SH    SHARED           200,000
TRIMERIS INC                        COM           896263100 57,750       1,168,440   SH    SHARED           1,168,440
TRINTECH GROUP PLC                  SPONSORED ADR 896682101 1,867        47,880      SH    SHARED           47,880
TRIQUINT SEMICONDUCTOR INC          COM           89674K103 261,298      3,555,075   SH    SHARED           3,555,075
TURNSTONE SYSTEMS INC               COM           900423104 5,711        49,660      SH    SHARED           49,660
TYCO INTL LTD NEW                   COM           902124106 184,946      3,689,689   SH    SHARED           3,689,689
U S TR CORP NEW                     COM           91288L105 169,947      897,800     SH    SHARED           897,800
UNIBANCO-UNIAO DE BANCOS BRASL      GDR REP PFD UT90458E107 2,580        81,250      SH    SHARED           81,250
UNITED PAN-EUROPE COMMUNCTN NV      SPON ADR A SHS911300200 3,405        68,695      SH    SHARED           68,695
UNITED TECHNOLOGIES CORP            COM           913017109 38,129       603,435     SH    SHARED           603,435
UNITED THERAPEUTICS CORP DEL        COM           91307C102 75,769       974,520     SH    SHARED           974,520
UNITEDGLOBALCOM                     CV PFD 1/20   913247102 116,445      1,237,130   SH    SHARED           1,237,130
UNITEDGLOBALCOM                     CL A          913247508 412,562      5,496,285   SH    SHARED           5,496,285
UNIVISION COMMUNICATIONS INC        CL A          914906102 939,401      8,313,287   SH    SHARED           8,313,287
VALASSIS COMMUNICATIONS INC         COM           918866104 174,286      5,231,915   SH    SHARED           5,231,915
VENTRO CORP                         COM           922815105 227          4,000       SH    SHARED           4,000
VERIO INC                           COM           923433106 265,425      5,890,210   SH    SHARED           5,890,210
VERISIGN INC                        COM           92343E102 1,569,799    10,500,329  SH    SHARED           10,500,329
VERITAS SOFTWARE CO                 COM           923436109 2,699,826    20,609,356  SH    SHARED           20,609,356
VERSATA INC                         COM           925298101 26,984       448,340     SH    SHARED           448,340
VERTICALNET INC                     COM           92532L107 158,636      1,166,440   SH    SHARED           1,166,440
VIA NET WRKS INC                    COM           925912107 10,755       404,895     SH    SHARED           404,895
VIACOM INC                          CL B          925524308 2,080,747    39,445,447  SH    SHARED           39,445,447
VIATEL INC                          COM           925529208 164,006      3,267,905   SH    SHARED           3,267,905
VICINITY CORP                       COM           925653107 27,504       791,475     SH    SHARED           791,475
VIGNETTE CORP                       COM           926734104 448,918      2,801,363   SH    SHARED           2,801,363
VIRATA CORP                         COM           927646109 29,156       291,920     SH    SHARED           291,920
VIROPHARMA INC                      COM           928241108 65,313       1,065,250   SH    SHARED           1,065,250
VISIBLE GENETICS INC                COM           92829S104 27,341       738,955     SH    SHARED           738,955
VITESSE SEMICONDUCTOR CORP          COM           928497106 566,105      5,881,610   SH    SHARED           5,881,610
VITRIA TECHNOLOGY                   COM           92849Q104 61,256       607,625     SH    SHARED           607,625
VODAFONE AIRTOUCH PLC               SPONSORED ADR 92857T107 2,381,675    42,865,172  SH    SHARED           42,865,172
VOICESTREAM WIRELESS CORP           COM           928615103 1,290,355    10,017,353  SH    SHARED           10,017,353
WAL MART STORES INC                 COM           931142103 73,552       1,301,811   SH    SHARED           1,301,811
WALGREEN CO                         COM           931422109 48,668       1,890,000   SH    SHARED           1,890,000
WARNER LAMBERT CO                   COM           934488107 280,893      2,875,434   SH    SHARED           2,875,434
WASHINGTON MUT INC                  COM           939322103 134,527      5,076,480   SH    SHARED           5,076,480
WEBB INTERACTIVE SVCS INC           COM           94748P104 208          6,940       SH    SHARED           6,940
WEBMETHODS INC                      COM           94768C108 9,727        40,300      SH    SHARED           40,300
WESTERN WIRELESS CORP               CL A          95988E204 323,571      7,063,015   SH    SHARED           7,063,015
WHOLE FOODS MKT INC                 COM           966837106 26,171       631,585     SH    SHARED           631,585
WINSTAR COMMUNICATIONS INC          COM           975515107 580,449      9,674,156   SH    SHARED           9,674,156
WITNESS SYS INC                     COM           977424100 12,577       414,045     SH    SHARED           414,045
XCARE NET INC                       COM           98388Y101 4,097        285,000     SH    SHARED           285,000
XILINX INC                          COM           983919101 887,365      10,715,413  SH    SHARED           10,715,413
YAHOO INC                           COM           984332106 1,149,830    6,709,440   SH    SHARED           6,709,440
     REPORT TOTAL                                           226,957,078
</TABLE>


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