<PAGE>
United States Securities and Exchange Commission
Washington, D.C. 20549
FORM 13F
Report for the Calendar Year or Quarter Ended June 30, 1999
- --------------------------------------------------------------------------------
Check here if Amendment: [_] Amendment No.__________
This Amendment [_] is a restatement
[_] adds new holdings entries
- --------------------------------------------------------------------------------
Name of Institutional Investment Manager Filing this Report:
PIMCO Advisors L.P.
- --------------------------------------------------------------------------------
Address:
800 Newport Center Drive, Suite 600, Newport Beach, California 92660
- --------------------------------------------------------------------------------
Form 13-F File No. 28-2701
- --------------------------------------------------------------------------------
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, lists and tables are considered integral parts of
this Form.
Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be
signed on its behalf in the City of Newport Beach and the State of
California on the 14th day of May, 1999.
PIMCO Advisors L.P.
- --------------------------------------------------------------------------------
Person Signing this Report on Behalf of Reporting Manager: (Name of
Institutional
Investment Manager)
Name: William D. Cvengros
Title: Chief Executive Officer
Phone: (949) 717-7022
/s/ WILLIAM D. CVENGROS
-----------------------
(Signature of
Person Duly Authorized
to Submit This Report)
- --------------------------------------------------------------------------------
Report Type:
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this
Reporting Manager are reported in this Report)
[_] 13F NOTICE. (Check here if no holdings are reported in this
Report, and all holdings are reported by other Reporting
Manager(s))
[_] 13F COMBINATION REPORT. (Check here if a portion of the holdings
for this Reporting Manager are reported in this Report and a
portion are reported by other Reporting Manager(s))
- --------------------------------------------------------------------------------
<PAGE>
- --------------------------------------------------------------------------------
Report Summary:
Number of Other Included Managers: 7
Form 13-F Information Table Entry Total: 4,266
Form 13-F Information Table Value Total: $68,348,369,104
- --------------------------------------------------------------------------------
List of Other Included Managers
Name and Form 13-F File numbers of all institutional investment managers
with respect to which this Report is filed, other than the manager filing this
Report.
<TABLE>
<CAPTION>
No 13F File No.: Name:
- --------------------------------------------------------------------------------
<S> <C> <C>
1. 28-5658 Cadence Capital Management
- --------------------------------------------------------------------------------
2. 28-4974 Columbus Circle Investors
- --------------------------------------------------------------------------------
3. 28-4554 NFJ Investment Group
- --------------------------------------------------------------------------------
4. 28-4976 Pacific Investment Management Company
- --------------------------------------------------------------------------------
5. 28-4558 Parametric Portfolio Associates
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6. 28-204 Oppenheimer Capital
- --------------------------------------------------------------------------------
7. 28- 2701 PIMCO Advisors L.P.
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</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 1 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
A D C Equity 000886101 2,284,544 49,664 X 5 49,664
TELECOMMUNICA
COM
AFLAC INC COM Equity 001055102 2,288,304 47,673 X 5 47,673
890,974,560 18,561,970 X 6 16,001,840
X 6 2,560,130
16,800,000 350,000 X 7 350,000
AG SVCS AMER Equity 001250109 4,319,700 254,100 X 1 254,100
INC COM
AHL SERVICES Equity 001296102 5,675,000 227,000 X 2 107,000
INC.
X 2 120,000
AES CORP COM Equity 00130H105 41,852,800 721,600 X 2 614,700
X 2 106,900
2,270,294 39,143 X 5 39,143
AK STL HLDG Equity 001547108 262,746 11,943 X 5 11,943
CORP COM
AMB PROPERTY Equity 00163T109 728,040 30,335 X 5 30,335
CORP COM
AMR CORP COM Equity 001765106 1,835,184 26,988 X 5 26,988
984,962,320 14,484,740 X 6 11,501,435
X 6 2,983,305
AT&T CORP COM Equity 001957109 32,861,304 586,809 X 2 499,643
X 2 87,166
72,101,456 1,287,526 X 5 1,287,526
15,442,728 275,763 X 6 229,946
X 6 45,817
28,940,800 516,800 X 7 516,800
AT&T CORP COM Equity 001957208 2,044,287 55,251 X 5 55,251
LIB GRP A
7,318,600 197,800 X 6 197,800
13,505,000 365,000 X 7 365,000
ATMI INC COM Equity 00207R101 8,460,000 282,000 X 2 282,000
63,300 2,110 X 5 2,110
AVT CORP COM Equity 002420107 17,848,600 469,700 X 1 421,100
X 1 48,600
8,565,200 225,400 X 2 225,400
11,514 303 X 5 303
AVX CORP NEW Equity 002444107 6,844,800 285,200 X 2 209,800
COM
X 2 75,400
3,840 160 X 5 160
ABBOTT LABS Equity 002824100 11,928,150 265,070 X 5 265,070
COM
ABERCROMBIE & Equity 002896207 37,501,728 781,286 X 1 716,886
FITCH CO CL A
X 1 64,400
48 1 X 2 1
538,704 11,223 X 5 11,223
28,800,000 600,000 X 7 600,000
ABINGTON Equity 00350P100 2,102,800 150,200 X 1 150,200
BANCORP INC
NEW COM
ABOUT.COM INC Equity 003736105 8,034,000 154,500 X 7 154,500
ACNIELSEN Equity 004833109 31,857,900 1,061,930 X 1 972,730
CORP COM
X 1 89,200
233,220 7,774 X 5 7,774
ACTION Equity 004933107 6,847,500 207,500 X 1 180,100
PERFORMANCE
CO
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 2 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 27,400
7,883,700 238,900 X 2 174,400
X 2 64,500
135,102 4,094 X 5 4,094
ACXIOM CORP Equity 005125109 399,700 15,988 X 5 15,988
COM
ADAPTEC INC Equity 00651F108 14,175,000 405,000 X 1 371,700
COM
X 1 33,300
32,585,000 931,000 X 2 781,800
X 2 149,200
3,606,610 103,046 X 5 103,046
33,782,350 965,210 X 6 953,665
X 6 11,545
ADAPTEC INC Equity 00651FAC2 940,000,000 10,000,000 X 6 10,000,000
ADELPHIA Equity 006848105 3,763,200 58,800 X 2 37,600
COMMUNICATION
CL A
X 2 21,200
85,632 1,338 X 5 1,338
11,200,000 175,000 X 7 175,000
Adeplhia Equity 006848402 241,200 1,200 X 4 1,200
Communications
Conv. Pf
ADOBE SYS INC Equity 00724F101 31,668,400 386,200 X 1 354,500
COM
X 1 31,700
820,000 10,000 X 2 10,000
953,742 11,631 X 5 11,631
ADTRAN INC COM Equity 00738A106 10,800,000 300,000 X 2 300,000
57,240 1,590 X 5 1,590
ADVANCED Equity 00754A105 8,916,800 557,300 X 2 438,800
FIBRE COMMNCT
COM
X 2 118,500
154,000 9,625 X 5 9,625
AEROFLEX INC Equity 007768104 8,060,000 403,000 X 7 403,000
ADVANCED Equity 007903107 343,908 19,106 X 5 19,106
MICRO DEVICES
COM
ADVANCED Equity 007973100 12,833,000 313,000 X 2 272,000
ENERGY INDS
COM
X 2 41,000
8,856 216 X 5 216
9,345,950 227,950 X 7 227,950
ADVENT Equity 007974108 5,025,000 75,000 X 2 71,300
SOFTWARE INC.
X 2 3,700
AETNA INC COM Equity 008117103 1,424,000 16,000 X 2 16,000
5,461,396 61,364 X 5 61,364
30,313,400 340,600 X 7 340,600
AFFILIATED Equity 008190100 597,006 11,706 X 5 11,706
COMPUTER SVCS
- A
AFFILIATED Equity 008252108 299,520 9,984 X 5 9,984
MANAGERS
GROUP
AFFYMETRIX INC Equity 00826T108 10,780,000 220,000 X 2 107,000
COM
X 2 113,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 3 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
54,390 1,110 X 5 1,110
AIR PRODS & Equity 009158106 1,079,800 26,995 X 5 26,995
CHEMS INC COM
AIRBORNE FGHT Equity 009266107 7,081,200 252,900 X 3 135,000
CORP COM
X 3 117,900
87,388 3,121 X 5 3,121
AIRGAS INC COM Equity 009363102 201,504 16,792 X 5 16,792
ALABAMA NATL Equity 010317105 3,882,500 155,300 X 1 155,300
BANCORP D COM
7,500 300 X 5 300
ALBANY INTL Equity 012348108 57,267 2,727 X 5 2,727
CORP CL A
10,239,810 487,610 X 6 487,610
ALBANY Equity 012423109 2,580,000 86,000 X 2 86,000
MOLECULAR INC
ALBERTO Equity 013068101 393,147 14,561 X 5 14,561
CULVER CO CL B
CONV
ALBERTSONS Equity 013104104 457,600 8,800 X 1 8,800
INC COM
9,992,372 192,161 X 5 192,161
ALCAN Equity 013716105 396,032 12,376 X 5 12,376
ALUMINIUM NEW
COM
ALCOA INC Equity 013817101 35,154,000 567,000 X 2 482,900
X 2 84,100
13,563,554 218,767 X 5 218,767
399,319,494 6,440,637 X 6 5,051,587
X 6 1,389,050
ALIANT Equity 016090102 477,066 10,371 X 5 10,371
COMMUNICATN
INC COM
ALLAIRE CORP. Equity 016714107 7,140,000 105,000 X 2 95,900
X 2 9,100
ALLEGHANY Equity 017175100 469,900 2,540 X 5 2,540
CORP DEL COM
ALLEGHENY Equity 017361106 454,880 14,215 X 5 14,215
ENERGY INC COM
ALLEGHENY Equity 017415100 582,360 25,320 X 5 25,320
TELEDYNE INC
COM
10,885,900 473,300 X 6 351,600
X 6 121,700
ALLEGIANCE Equity 01747T102 19,827,500 360,500 X 2 360,500
TELECOM INC
ALLERGAN INC Equity 018490102 34,523,109 311,019 X 1 285,419
COM
X 1 25,600
6,127,200 55,200 X 2 36,400
X 2 18,800
1,167,942 10,522 X 5 10,522
27,750,000 250,000 X 7 250,000
ALLIANCE CAP Equity 018548107 32,774,400 1,024,200 X 1 997,200
MGMT LP UT
L
X 1 27,000
ALLIANT ENERGY Equity 018802108 378,924 13,533 X 5 13,533
CORP
ALLIED CAPITAL Equity 01903Q108 6,712,800 279,700 X 7 279,700
CORP NEW
ALLIED SIGNAL Equity 019512102 49,851,900 791,300 X 1 770,600
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 4 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 20,700
10,647,630 169,010 X 5 169,010
106,866,081 1,696,287 X 6 1,117,462
X 6 578,825
64,159,200 1,018,400 X 7 1,018,400
ALLIED WASTE Equity 019589308 4,856,000 242,800 X 1 210,600
INDS INC COM
PAR$.0
X 1 32,200
468,780 23,439 X 5 23,439
ALLMERICA FINL Equity 019754100 29,451,532 482,812 X 1 443,312
CORP COM
X 1 39,500
1,827,377 29,957 X 5 29,957
ALLSTATE CORP Equity 020002101 12,622,644 350,629 X 5 350,629
COM
ALLTEL CORP Equity 020039103 40,759,200 566,100 X 1 551,400
COM
X 1 14,700
3,911,760 54,330 X 5 54,330
ALPHA INDS INC Equity 020753109 22,728,000 473,500 X 2 311,600
COM
X 2 161,900
1,056 22 X 5 22
ALPHARMA INC Equity 020813101 10,371,600 288,100 X 2 240,400
CL A
X 2 47,700
56,520 1,570 X 5 1,570
ALTERA CORP Equity 021441100 37,262,700 1,007,100 X 1 980,500
COM
X 1 26,600
1,265,400 34,200 X 2 16,000
X 2 18,200
1,219,890 32,970 X 5 32,970
18,500,000 500,000 X 7 500,000
ALZA CORP DEL Equity 022615108 856,392 16,792 X 5 16,792
COM
AMAZON COM Equity 023135106 695,500 5,564 X 5 5,564
INC COM
AMBAC FINL Equity 023139108 26,767,884 469,612 X 1 430,812
GROUP INC COM
X 1 38,800
3,275,733 57,469 X 5 57,469
AMERADA HESS Equity 023551104 458,280 7,638 X 5 7,638
CORP COM
AMEREN CORP Equity 023608102 981,046 25,817 X 5 25,817
COM
AMERICA ONLINE Equity 02364J104 44,934,560 408,496 X 2 349,396
INC DEL COM
X 2 59,100
17,038,670 154,897 X 5 154,897
67,215,500 611,050 X 7 611,050
AMERICAN ELEC Equity 025537101 2,204 58 X 2 58
PWR INC COM
1,377,994 36,263 X 5 36,263
AMERN EAGLE Equity 02553E106 16,067,800 349,300 X 1 303,100
OUTFITTERS COM
X 1 46,200
357,742 7,777 X 5 7,777
AMERICAN Equity 025816109 35,633,390 274,103 X 1 266,703
EXPRESS CO COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 5 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 7,400
26,130 201 X 2 201
8,635,900 66,430 X 5 66,430
13,312,000 102,400 X 6 65,000
X 6 37,400
66,443,000 511,100 X 7 511,100
AMERICAN Equity 02629V108 4,706,000 235,300 X 1 204,400
FREIGHTWAYS
COM
X 1 30,900
42,900 2,145 X 5 2,145
AMERICAN Equity 026351106 6,150 82 X 2 82
GENERAL CORP
COM
9,036,825 120,491 X 5 120,491
AMERICAN Equity 026375105 26,315,910 877,197 X 3 496,697
GREETINGS CP
CL A
X 3 380,500
265,710 8,857 X 5 8,857
AMERICAN Equity 026494104 7,162,000 358,100 X 3 189,200
HEALTH PPTYS
COM
X 3 168,900
40,340 2,017 X 5 2,017
AMERICAN HOME Equity 026609107 19,123,500 335,500 X 3 258,700
PRODS CP COM
X 3 76,800
9,441,252 165,636 X 5 165,636
1,122,167,550 19,687,150 X 6 16,264,820
X 6 3,422,330
AMERICAN Equity 026649103 29,000 14,500 X 5 14,500
HOMEPATIENT
COM
AMERICAN INTL Equity 026874107 38,376 328 X 2 328
GROUP COM
53,081,964 453,692 X 5 453,692
115,673,688 988,664 X 6 842,975
X 6 145,689
66,016,665 564,245 X 7 564,245
AMERICAN Equity 027070101 11,400,000 380,000 X 2 380,000
ITALIAN PASTA
CO CL A
159,480 5,316 X 5 5,316
AMERICAN MGMT Equity 027352103 270,304 8,447 X 5 8,447
SYS INC COM
AMERICAN MED Equity 02744P101 44,325 4,925 X 5 4,925
SEC GROUP COM
10,362,186 1,151,354 X 6 1,130,554
X 6 20,800
AMERN PWR Equity 029066107 514,240 25,712 X 5 25,712
CONVERSION
COM
AMERICAN STD Equity 029712106 471,840 9,830 X 5 9,830
COS INC COM
AMERICAN Equity 029912201 276,816 11,534 X 5 11,534
TOWER CORP CL
A
AMERICAN WTR Equity 030411102 296,515 9,565 X 5 9,565
WKS INC COM
AMERICREDIT Equity 03060R101 566,192 35,387 X 5 35,387
CORP COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 6 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
AMERISOURCE Equity 03071P102 413,192 15,892 X 5 15,892
HEALTH CP CL A
2,475,200 95,200 X 6 95,200
AMERITRADE Equity 03072H109 244,330 2,305 X 5 2,305
HLDG CORP
AMERUS LIFE Equity 030732101 7,549,983 279,629 X 3 142,829
HLDGS INC
X 3 136,800
AMES DEPT Equity 030789507 17,935,400 389,900 X 1 338,000
STORES INC COM
NEW
X 1 51,900
19,476,400 423,400 X 2 403,500
X 2 19,900
155,020 3,370 X 5 3,370
AMERITECH Equity 030954101 41,943,200 566,800 X 1 552,000
CORP NEW COM
X 1 14,800
25,160 340 X 2 340
43,558,990 588,635 X 5 588,635
AMETEK INC Equity 031100100 237,337 10,319 X 5 10,319
NEW COM
AMGEN INC COM Equity 031162100 7,606,090 124,690 X 5 124,690
AMKOR Equity 031652100 1,270,000 127,000 X 7 127,000
TECHNOLOGY INC
AMSOUTH Equity 032165102 363,147 15,789 X 5 15,789
BANCORPORATIO
COM
ANACOMP INC Equity 032371106 236,062 13,886 X 5 13,886
DEL COM
ANADARKO PETE Equity 032511107 2,397,489 64,797 X 5 64,797
CORP COM
46,337,024 1,252,352 X 6 884,352
X 6 368,000
ANALOG Equity 032654105 3,196,800 63,936 X 5 63,936
DEVICES INC COM
ANDOVER Equity 034258103 1,550,000 50,000 X 3 50,000
BANCORP INC D
ANDRX CORP Equity 034551101 7,014,700 91,100 X 1 79,300
COM
X 1 11,800
220,836 2,868 X 5 2,868
ANESTA CORP Equity 034603100 4,702,000 235,100 X 7 235,100
ANHEUSER Equity 035229103 40,228,600 566,600 X 1 558,600
BUSCH COS INC
COM
X 1 8,000
56,508,900 795,900 X 2 673,400
X 2 122,500
31,030,550 437,050 X 3 268,500
X 3 168,550
10,549,890 148,590 X 5 148,590
7,756,608 109,248 X 6 77,948
X 6 31,300
ANNTAYLOR Equity 036115103 7,258,500 161,300 X 1 140,000
STORES CORP
COM
X 1 21,300
17,833,500 396,300 X 2 375,200
X 2 21,100
212,490 4,722 X 5 4,722
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 7 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
ANSYS INC Equity 03662Q105 3,564,000 356,400 X 1 356,400
COM
ANTEC CORP Equity 03664P105 26,080,000 815,000 X 2 691,500
COM
X 2 123,500
54,336 1,698 X 5 1,698
ANTHRACITE Equity 037023108 142,471 20,353 X 5 20,353
CAPITAL INC
AON CORP COM Equity 037389103 3,539,325 86,325 X 5 86,325
APACHE CORP Equity 037411105 4,992,000 128,000 X 2 93,200
COM
X 2 34,800
254,280 6,520 X 5 6,520
Apache Corp. Equity 037411600 629,000 17,000 X 4 17,000
Conv. Pfd.
APARTMENT Equity 03748R101 28,435,900 661,300 X 1 607,100
INVT & MGMT CL
A
X 1 54,200
71,208 1,656 X 5 1,656
APOGEE Equity 037598109 174,044 13,388 X 5 13,388
ENTERPRISES
INC COM
APOLLO GROUP Equity 037604105 239,058 8,854 X 5 8,854
INC CL A
APPLE Equity 037833100 17,825,000 387,500 X 3 311,900
COMPUTER INC
COM
X 3 75,600
8,115,412 176,422 X 5 176,422
11,500,000 250,000 X 7 250,000
APEX PC Equity 037945102 8,892,000 444,600 X 7 444,600
SOLUTIONS INC
APPLIED Equity 03820C105 18,791 989 X 5 989
INDLTECH INC
COM
2,984,900 157,100 X 6 133,300
X 6 23,800
APPLIED MATLS Equity 038222105 4,430,158 59,867 X 5 59,867
INC COM
APPLIED PWR Equity 038225108 193,077 7,151 X 5 7,151
INC CL A
2,081,700 77,100 X 6 77,100
APPLIED MICRO Equity 03822W10 10,676,400 130,200 X 2 130,200
CIRCUITS COM
267,648 3,264 X 5 3,264
APPLIED Equity 038236105 7,370,000 335,000 X 2 199,900
SCIENCE &
TECHNOLOGY
X 2 135,100
AQUA ALLIANCE Equity 038367108 120,208 60,104 X 5 60,104
INC CL A
ARCH Equity 03937R102 168,000 7,000 X 2 7,000
CHEMICALS INC
COM
109,056 4,544 X 5 4,544
4,082,400 170,100 X 7 170,100
ARCHER Equity 039483102 822,075 54,805 X 5 54,805
DANIELS
MIDLAND COM
ARCHSTONE Equity 039581103 60,742 2,761 X 5 2,761
CMNTYS TR SH
BEN INT
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 8 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
8,250,418 375,019 X 6 310,469
X 6 64,550
ARDENT Equity 039794102 3,042,900 144,900 X 1 144,900
SOFTWARE INC.
12,852,000 612,000 X 2 599,000
X 2 13,000
ARMCO INC COM Equity 042170100 145,649 20,807 X 5 20,807
ARMSTRONG Equity 042476101 15,268,036 263,242 X 3 99,092
WORLD INDS
COM
X 3 164,150
673,032 11,604 X 5 11,604
12,348,200 212,900 X 6 195,000
X 6 17,900
ARROW Equity 042735100 908,200 47,800 X 2 47,800
ELECTRS INC
COM
221,274 11,646 X 5 11,646
165,552,814 8,713,306 X 6 7,581,546
X 6 1,131,760
19,378,100 1,019,900 X 7 1,019,900
ARROW INTL INC Equity 042764100 8,047,000 309,500 X 3 161,100
COM
X 3 148,400
70,694 2,719 X 5 2,719
ARVIN Equity 043339100 8,819,800 232,100 X 1 200,500
INDUSTRIES INC
X 1 31,600
66,918 1,761 X 5 1,761
ASHLAND INC Equity 044204105 589,240 14,731 X 5 14,731
COM
ASIA PULP & Equity 04516V100 964,000 96,400 X 2 96,400
PAPER CO
SPONSORED
20,140,000 2,014,000 X 7 2,014,000
ASSOCIATED Equity 045487105 10,887,114 259,217 X 1 224,336
BANC CORP COM
X 1 34,881
162,834 3,877 X 5 3,877
ASSOCIATED Equity 045604105 247,236 20,603 X 5 20,603
ESTATE RLTY
COM
AT HOME Equity 045919107 478,818 8,867 X 5 8,867
CORPORATION
13,500,000 250,000 X 7 250,000
ASSOCIATES Equity 046008108 36,305,412 825,123 X 1 802,859
FIRST CAP CL A
X 1 22,264
8,448 192 X 2 192
5,348,816 121,564 X 5 121,564
ASTEC INDS INC Equity 046224101 15,612,800 380,800 X 1 348,300
COM
X 1 32,500
4,305,000 105,000 X 2 98,800
X 2 6,200
127,223 3,103 X 5 3,103
ASYST Equity 04648X107 8,475,000 282,500 X 2 264,300
TECHNOLOGIES
X 2 18,200
ATLANTIC COAST Equity 048396105 60,439 3,181 X 5 3,181
AIR HLD COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 9 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
5,424,500 285,500 X 7 285,500
ATLANTIC Equity 048825103 41,311,200 491,800 X 1 479,900
RICHFIELD CO
COM
X 1 11,900
668,472 7,958 X 2 7,958
11,656,848 138,772 X 5 138,772
11,205,600 133,400 X 7 133,400
ATMEL CORP Equity 049513104 21,047,000 809,500 X 2 692,700
COM
X 2 116,800
407,238 15,663 X 5 15,663
AUSPEX SYS INC Equity 052116100 10,189,300 926,300 X 2 489,900
COM
X 2 436,400
9,152 832 X 5 832
AUTODESK INC Equity 052769106 7,257,000 241,900 X 3 128,800
COM
X 3 113,100
138,510 4,617 X 5 4,617
AUTOMATIC Equity 053015103 3,560,216 80,914 X 5 80,914
DATA PROCESS
COM
AUTONATION INC Equity 05329W10 256,698 14,261 X 5 14,261
COM
AUTOZONE INC Equity 053332102 440,400 14,680 X 5 14,680
COM
AVALON BAY Equity 053484101 800,273 21,629 X 5 21,629
CMNTYS INC COM
AVERY Equity 053611109 1,479,060 24,651 X 5 24,651
DENNISON CORP
COM
115,014,000 1,916,900 X 6 1,916,900
AVIATION SALES Equity 053672101 10,084,000 252,100 X 2 209,300
CO COM
X 2 42,800
111,960 2,799 X 5 2,799
AVIS RENT A CAR Equity 053790101 4,964,800 171,200 X 1 147,700
INC COM
26,100 900 X 5 900
6,113,200 210,800 X 7 210,800
AVISTA CORP Equity 05379B107 6,323,200 395,200 X 3 212,900
COM
X 3 182,300
4,352 272 X 5 272
AVNET INC COM Equity 053807103 85,974 1,869 X 5 1,869
105,987,772 2,304,082 X 6 2,132,692
X 6 171,390
AVON PRODS INC Equity 054303102 5,107,088 91,198 X 5 91,198
COM
668,895,192 11,944,557 X 6 10,017,312
X 6 1,927,245
BB&T CORP COM Equity 054937107 27,745,153 749,869 X 1 683,769
X 1 66,100
1,269,174 34,302 X 5 34,302
BEC ENERGY Equity 05538M101 28,189,181 687,541 X 1 627,141
X 1 60,400
116,153 2,833 X 5 2,833
BISYS GROUP Equity 055472104 216,456 3,732 X 5 3,732
INC COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 10 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
BJ SERVICES CO Equity 055482103 356,004 12,276 X 5 12,276
COM
BJS WHOLESALE Equity 05548J106 29,766,000 992,200 X 1 911,000
CLUB INC COM
X 1 81,200
477,960 15,932 X 5 15,932
10,668,000 355,600 X 7 355,600
BMC INDS INC Equity 055607105 22,080 2,208 X 5 2,208
MINN COM
14,693,530 1,469,353 X 6 1,469,353
BMC SOFTWARE Equity 055921100 42,562,800 788,200 X 1 767,000
INC COM
X 1 21,200
2,217,240 41,060 X 5 41,060
BAKER HUGHES Equity 057224107 1,190,510 35,015 X 5 35,015
INC COM
11,913,600 350,400 X 6 146,400
X 6 204,000
BALDOR ELEC CO Equity 057741100 134,220 6,711 X 5 6,711
COM
10,041,340 502,067 X 6 502,067
BALDWIN Equity 058264102 2,282,736 760,912 X 6 760,912
TECHNOLOGY CO
INC
BALL CORP COM Equity 058498106 2,295,174 54,647 X 5 54,647
BALLY TOT Equity 05873K108 44,800 1,600 X 5 1,600
FITNESS HLDG
COM
8,825,600 315,200 X 7 315,200
BANCTEC INC Equity 059784108 450 25 X 5 25
COM
3,189,798 177,211 X 6 177,211
BANK OF Equity 060505104 36,544,238 500,606 X 1 487,062
AMERICA CORP
COM
X 1 13,544
34,748 476 X 2 476
59,989,137 821,769 X 5 821,769
1,233,773 16,901 X 6 493
X 6 16,408
BANK NEW YORK Equity 064057102 40,955,300 1,106,900 X 1 1,077,600
INC COM
X 1 29,300
7,644,015 206,595 X 5 206,595
BANK ONE CORP Equity 06423A103 35,755,800 595,930 X 1 579,630
COM
X 1 16,300
24,840 414 X 2 414
34,645,800 577,430 X 5 577,430
BANK UTD CORP Equity 065412108 29,049,680 726,242 X 1 664,142
CL A
X 1 62,100
14,560 364 X 5 364
BANKATLANTIC Equity 065908501 5,767,426 823,918 X 3 460,268
BANCORP
X 3 363,650
BANKBOSTON Equity 06605R106 11,409,159 223,709 X 5 223,709
CORP COM
1,197,961,083 23,489,433 X 6 18,783,463
X 6 4,705,970
BANTA CORP Equity 066821109 6,310,500 300,500 X 3 169,800
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 11 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 3 130,700
33,600 1,600 X 5 1,600
BARD C R INC Equity 067383109 26,896,128 560,336 X 1 513,336
COM
X 1 47,000
2,025,072 42,189 X 5 42,189
BARNES & NOBLE Equity 067774109 203,553 7,539 X 5 7,539
INC COM
BARNES GROUP Equity 067806109 4,017,200 182,600 X 1 158,400
INC COM
X 1 24,200
6,875,000 312,500 X 3 167,500
X 3 145,000
18,150 825 X 5 825
BARRICK GOLD Equity 067901108 734,350 38,650 X 5 38,650
CORP COM
BARRETT RES Equity 068480201 5,696,200 149,900 X 1 130,200
CORP COM PAR
$0.01
X 1 19,700
14,565,400 383,300 X 2 343,600
X 2 39,700
205,884 5,418 X 5 5,418
BASIN Equity 070107107 3,730,000 186,500 X 2 186,500
EXPLORATION
INCA
216,340 10,817 X 6 10,817
5,466,000 273,300 X 7 273,300
BATTLE MTN Equity 071593107 50,988 25,494 X 5 25,494
GOLD CO COM
BAUSCH & LOMB Equity 071707103 21,515,600 283,100 X 1 259,600
INC COM
X 1 23,500
36,358,400 478,400 X 2 394,600
X 2 83,800
3,516,444 46,269 X 5 46,269
BAXTER INTL INC Equity 071813109 5,917 97 X 2 97
COM
2,032,093 33,313 X 5 33,313
BEA SYS INC COM Equity 073325102 14,488,400 499,600 X 2 395,700
X 2 103,900
67,367 2,323 X 5 2,323
BEAR STEARNS Equity 073902108 7,050,000 150,000 X 1 137,700
COS INC COM
X 1 12,300
4,674,902 99,466 X 5 99,466
BEAZER HOMES Equity 07556Q105 3,601,800 156,600 X 1 156,600
USA INC COM
BEBE STORES Equity 075571109 10,495,800 308,700 X 2 254,100
INC.
X 2 54,600
BECKMAN Equity 075811109 311,787 6,363 X 5 6,363
COULTER INC
BECTON Equity 075887109 1,094,730 36,491 X 5 36,491
DICKINSON & CO
COM
640,780,080 21,359,336 X 6 17,893,926
X 6 3,465,410
BED BATH & Equity 075896100 34,461,212 906,874 X 1 835,174
BEYOND INC COM
X 1 71,700
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 12 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
8,743,800 230,100 X 2 161,800
X 2 68,300
817,950 21,525 X 5 21,525
24,700,000 650,000 X 7 650,000
BELL ATLANTIC Equity 077853109 31,330 482 X 2 482
CORP COM
52,386,295 805,943 X 3 550,128
X 3 255,815
40,254,695 619,303 X 5 619,303
BELLSOUTH Equity 079860102 41,309,058 898,023 X 5 898,023
CORP COM
BELO A H CORP Equity 080555105 263,560 13,178 X 5 13,178
DEL COM SER A
BEMIS INC COM Equity 081437105 272,360 6,809 X 5 6,809
BERGEN Equity 083739102 1,541,084 90,652 X 5 90,652
BRUNSWIG
CORP CL A
BERINGER WINE Equity 084102102 7,568,400 180,200 X 2 136,800
ESTATES - B
X 2 43,400
189,000 4,500 X 5 4,500
BERKSHIRE Equity 084670108 275,600 4 X 5 4
HATHAWAY INC
CL A
BERKSHIRE Equity 084670207 584,640 261 X 5 261
HATHAWAY INC
CL B
29,635,200 13,230 X 6 12,215
X 6 1,015
BEST BUY INC Equity 086516101 42,283,896 621,822 X 1 570,722
COM
X 1 51,100
2,465,748 36,261 X 5 36,261
23,800,000 350,000 X 7 350,000
BESTFOODS COM Equity 08658U101 1,428,250 28,565 X 5 28,565
BETHLEHEM STL Equity 087509105 209,856 26,232 X 5 26,232
CORP COM
4,297,600 537,200 X 7 537,200
BEVERLY Equity 087851309 489,600 61,200 X 2 61,200
ENTERPRISE INC
COM
24,384 3,048 X 5 3,048
14,469,600 1,808,700 X 7 1,808,700
BEYOND COM Equity 08860E101 5,559,300 191,700 X 7 191,700
CORP
BILLING INFO Equity 090063108 137,731 12,521 X 5 12,521
CONCEPTS COM
BINDLEY WESTN Equity 090324104 14,002,400 608,800 X 2 608,800
INDS INC COM
53,613 2,331 X 5 2,331
BINDVIEW DEV Equity 090327107 115,200 4,800 X 5 4,800
CORP COM
1,572,000 65,500 X 7 65,500
BIO Equity 090578105 108,738 18,123 X 5 18,123
TECHNOLOGY
GEN CP COM
BIOGEN INC COM Equity 090597105 21,273,600 332,400 X 1 323,400
X 1 9,000
3,834,304 59,911 X 5 59,911
25,600,000 400,000 X 7 400,000
BIOMATRIX INC Equity 09060P102 8,322,600 378,300 X 2 328,300
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 13 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 2 50,000
65,846 2,993 X 5 2,993
BIOMET INC COM Equity 090613100 3,844,000 96,100 X 2 62,900
X 2 33,200
1,222,880 30,572 X 5 30,572
16,000,000 400,000 X 7 400,000
BIOVAIL CORP. Equity 09067K106 12,051,300 236,300 X 2 163,300
X 2 73,000
BIRMINGHAM Equity 091270108 267,168 12,144 X 6 12,144
UTILITIES INC
BLACK & DECKER Equity 091797100 1,890 30 X 2 30
CORP COM
1,024,695 16,265 X 5 16,265
Blackrock Equity 092476100 1,000,000 100,000 X 4 100,000
Target
Term Trust
Blackrock Equity 09247P108 578,700 64,300 X 4 64,300
Strategic Term
Trust
Blackrock 1999 Equity 09247T100 442,000 44,200 X 4 44,200
Term Trust
BLANCH E W Equity 093210102 11,124,800 163,600 X 1 141,400
HLDGS INC COM
X 1 22,200
325,448 4,786 X 5 4,786
8,232,760 121,070 X 6 121,070
BLOCK H & R INC Equity 093671105 590,300 11,806 X 5 11,806
COM
31,290,000 625,800 X 6 625,200
X 6 600
BLYTH INDS INC Equity 09643P108 316,778 9,317 X 5 9,317
COM
BOEING CO COM Equity 097023105 2,860 65 X 2 65
8,236,008 187,182 X 5 187,182
1,333,140,776 30,298,654 X 6 24,992,184
X 6 5,306,470
BOISE CASCADE Equity 097383103 29,407,700 683,900 X 1 627,600
CORP COM
X 1 56,300
437,697 10,179 X 5 10,179
5,435,200 126,400 X 7 126,400
BORG-WARNER Equity 099724106 6,435,000 117,000 X 3 61,800
AUTOMOTIVE
COM
X 3 55,200
1,850,915 33,653 X 5 33,653
BOSTON Equity 101137107 42,407,200 963,800 X 1 944,800
SCIENTIFIC CORP
COM
X 1 19,000
29,321,600 666,400 X 2 567,700
X 2 98,700
2,342,604 53,241 X 5 53,241
BOWATER INC Equity 102183100 410,122 8,726 X 5 8,726
COM
BOYKIN LODGING Equity 103430104 172,530 11,502 X 5 11,502
CO COM
BRIGGS & Equity 109043109 4,999,600 86,200 X 1 74,400
STRATTON CORP
COM
X 1 11,800
442,598 7,631 X 5 7,631
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 14 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
BRINKER INTL Equity 109641100 295,932 10,569 X 5 10,569
INC COM
BRISTOL MYERS Equity 110122108 36,778,000 525,400 X 1 511,400
SQUIBB COM
X 1 14,000
43,540 622 X 2 622
25,568,200 365,260 X 5 365,260
36,309,000 518,700 X 7 518,700
BROADVISION Equity 111412102 7,540,600 101,900 X 1 88,200
X 1 13,700
22,052 298 X 5 298
BROOKS Equity 11434A100 2,905,200 107,600 X 1 107,600
AUTOMATION
INC COM
BROOKSTONE Equity 114537103 3,865,600 241,600 X 1 241,600
INC COM
BROWN FORMAN Equity 115637209 640,835 9,859 X 5 9,859
CORP CL B
BROWN SHOE Equity 115736100 7,557,000 343,500 X 3 182,800
INC NEW COM
X 3 160,700
36,410 1,655 X 5 1,655
BROWNING Equity 115885105 31,738,042 738,094 X 3 432,600
FERRIS INDS COM
X 3 305,494
3,158,178 73,446 X 5 73,446
3,341,100 77,700 X 7 77,700
BRUNSWICK Equity 117043109 4,373,600 156,200 X 3 128,700
CORP COM
X 3 27,500
411,572 14,699 X 5 14,699
BUCA INC Equity 117769109 2,160,000 135,000 X 2 135,000
BUILDING MATLS Equity 120113105 3,889,200 324,100 X 1 324,100
HLDG CP COM
5,796 483 X 5 483
BURLINGTON Equity 121579106 1,879,100 98,900 X 1 85,300
COAT FACTRY
COM
X 1 13,600
8,358,100 439,900 X 3 265,600
X 3 174,300
494 26 X 5 26
BURLINGTON Equity 12189T104 6,789 219 X 2 219
NRTHN SANTA
COM
1,826,303 58,913 X 5 58,913
170,103,262 5,487,202 X 6 4,180,402
X 6 1,306,800
1,550,000 50,000 X 7 50,000
BURLINGTON Equity 122014103 669,854 15,578 X 5 15,578
RES INC COM
638,980 14,860 X 6 14,163
X 6 697
BUSH INDS INC Equity 123164105 227,766 13,398 X 5 13,398
CL A
BUSINESS Equity 12328X107 13,194,000 366,500 X 2 301,500
OBJECTIVES
X 2 65,000
BUTLER MFG CO Equity 123655102 6,232,800 222,600 X 3 121,600
DEL COM
X 3 101,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 15 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
51,912 1,854 X 5 1,854
C&D Equity 124661109 8,329,700 268,700 X 3 141,700
TECHNOLOGIES
INC COM
X 3 127,000
294,562 9,502 X 5 9,502
CBT GROUP PUB Equity 124853300 5,838,400 364,900 X 7 364,900
LTD SPONSORED
NEW
CCB FINL CORP Equity 124875105 25,162,068 474,756 X 1 435,356
COM
X 1 39,400
1,636,799 30,883 X 5 30,883
CBS CORP COM Equity 12490K107 39,296,400 893,100 X 1 869,800
X 1 23,300
15,400,000 350,000 X 5 350,000
CD RADIO INC Equity 125127100 3,000,000 100,000 X 2 100,000
660 22 X 5 22
CEC ENTMT INC Equity 125137109 13,687,800 488,850 X 1 423,900
COM
X 1 64,950
139,580 4,985 X 5 4,985
C.H. ROBINSON Equity 12541W10 230,362 6,226 X 5 6,226
WORLDWIDE INC
CIGNA CORP COM Equity 125509109 35,929,300 403,700 X 1 393,100
X 1 10,600
719,209 8,081 X 2 8,081
10,324,000 116,000 X 3 95,100
X 3 20,900
10,388,614 116,726 X 5 116,726
13,759,400 154,600 X 7 154,600
CMG Equity 125750109 872,442 7,653 X 5 7,653
INFORMATION
SVCS COM
CMP GROUP INC Equity 125887109 8,018,400 308,400 X 3 146,000
X 3 162,400
195,598 7,523 X 5 7,523
CMS ENERGY Equity 125896100 693,126 16,503 X 5 16,503
CORP COM
CNET INC COM Equity 125945105 206,944 3,568 X 5 3,568
CNA FINL CORP Equity 126117100 774,680 19,367 X 5 19,367
COM
CNB Equity 126126101 230,280 4,040 X 5 4,040
BANCSHARES
INC COM
CNA SURETY Equity 12612L108 10,935 729 X 5 729
CORP COM
1,192,560 79,504 X 6 79,504
CNF TRANSN INC Equity 12612W10 5,126,732 134,914 X 5 134,914
COM
CSG SYS INTL Equity 126349109 28,293,200 1,088,200 X 1 998,700
INC COM
X 1 89,500
38,298 1,473 X 5 1,473
CSX CORP COM Equity 126408103 838,080 18,624 X 5 18,624
CTS CORP COM Equity 126501105 10,836,000 154,800 X 2 154,800
103,810 1,483 X 5 1,483
2,276,820 32,526 X 6 32,526
CVS CORP COM Equity 126650100 38,295,900 750,900 X 1 731,100
X 1 19,800
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 16 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
47,169,900 924,900 X 2 785,200
X 2 139,700
2,128,434 41,734 X 5 41,734
CABLEVISION Equity 12686C109 338,380 4,834 X 5 4,834
SYS CORP CL A
CABLETRON SYS Equity 126920107 225,693 17,361 X 5 17,361
INC COM
CABOT CORP Equity 127055101 230,400 9,600 X 2 9,600
COM
825,816 34,409 X 5 34,409
1,200,000 50,000 X 6 50,000
5,395,200 224,800 X 7 224,800
CABOT INDL TR Equity 127072106 5,323,500 253,500 X 3 136,900
COM SH
X 3 116,600
CABOT OIL & GAS Equity 127097103 6,840 360 X 5 360
CORP CL A
11,259,837 592,623 X 6 592,623
CADENCE Equity 127387108 247,715 19,055 X 5 19,055
DESIGN SYS INC
COM
100,023,300 7,694,100 X 6 6,887,500
X 6 806,600
CADIZ INC Equity 127537108 153,162 17,018 X 5 17,018
CALPINE CORP Equity 131347106 26,946,000 499,000 X 2 487,600
COM
X 2 11,400
2,563,002 47,463 X 5 47,463
CAMBREX CORP Equity 132011107 48,594 1,869 X 5 1,869
17,066,972 656,422 X 6 656,422
CAMPBELL SOUP Equity 134429109 1,777,624 38,644 X 5 38,644
CO COM
CANADIAN Equity 135923100 34,320 1,430 X 5 1,430
PACIFIC LTD
NEW COM
683,387,880 28,474,495 X 6 24,899,995
X 6 3,574,500
Canadian Equity 136375409 459,000 8,500 X 4 8,500
National
Railway Conv.
CANANDAIGUA Equity 137219200 7,425,600 142,800 X 1 136,000
BRANDS INC CL A
X 1 6,800
5,200,000 100,000 X 2 100,000
126,360 2,430 X 5 2,430
CAPITAL ONE Equity 14040H105 35,784,000 639,000 X 1 621,800
FINL CORP COM
X 1 17,200
47,605,600 850,100 X 2 723,200
X 2 126,900
2,023,784 36,139 X 5 36,139
67,788,000 1,210,500 X 7 1,210,500
CAPROCK Equity 140667106 8,000,000 200,000 X 2 200,000
COMMUNICATION
CORP
CAPSTEAD MTG Equity 14067E100 287,450 57,490 X 5 57,490
CORP COM
CAPSTAR Equity 14067G105 1,460,700 54,100 X 6 54,100
BROADCASTING
CORP-CL A
CARAUSTAR Equity 140909102 7,180,000 287,200 X 3 163,300
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 17 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 3 123,900
78,250 3,130 X 5 3,130
CARDINAL Equity 14149Y108 5,736,896 89,639 X 5 89,639
HEALTH INC COM
25,813,696 403,339 X 6 378,339
X 6 25,000
CARLISLE COS Equity 142339100 177,936 3,707 X 5 3,707
INC COM
12,780,720 266,265 X 6 261,265
X 6 5,000
CARNIVAL CORP Equity 143658102 2,248,320 46,840 X 5 46,840
CL A
179,932,800 3,748,600 X 6 2,678,600
X 6 1,070,000
CAROLINA PWR & Equity 144141108 698,234 16,238 X 5 16,238
LT CO COM
CARRIER Equity 144460102 14,603,600 331,900 X 2 286,200
ACCESS CORP
COM
X 2 45,700
127,600 2,900 X 5 2,900
CASE CORP COM Equity 14743R103 526,848 10,976 X 5 10,976
1,022,400 21,300 X 6 12,300
X 6 9,000
CASELLA WASTE Equity 147448104 5,774,600 222,100 X 2 222,100
SYS INC CL A
9,230 355 X 5 355
CASEYS GEN Equity 147528103 191,835 12,789 X 5 12,789
STORES COM
CATALINA Equity 148867104 8,142,000 88,500 X 2 63,000
MARKETING CP
COM
X 2 25,500
320,068 3,479 X 5 3,479
CATALYST INTL Equity 14887T105 4,393,800 244,100 X 1 244,100
INC COM
CATELLUS DEV Equity 149111106 117,000 7,800 X 2 7,800
CORP COM
100,785 6,719 X 5 6,719
2,634,000 175,600 X 7 175,600
CATERPILLAR Equity 149123101 3,214,020 53,567 X 5 53,567
INC DEL COM
1,301,425,020 21,690,417 X 6 19,428,567
X 6 2,261,850
CENTENNIAL Equity 150937100 90,590 18,118 X 5 18,118
HEALTHCARE
COM
CELESTICA INC. Equity 15101Q108 4,244,100 98,700 X 2 63,900
X 2 34,800
CENDANT CORP Equity 151313103 68,012,000 3,400,600 X 2 2,898,200
COM
X 2 502,400
4,635,540 231,777 X 5 231,777
CENTEX CORP Equity 152312104 35,712,400 939,800 X 1 914,500
COM
X 1 25,300
7,186,484 189,118 X 5 189,118
CENTEX Equity 15231R109 8,500,000 250,000 X 2 120,000
CONSTRCTN
PRODS COM
X 2 130,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 18 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
2,210 65 X 5 65
CENTOCOR INC Equity 152342101 626,745 13,335 X 5 13,335
COM
CENTRAL & SO Equity 152357109 12,244,050 532,350 X 3 206,350
WEST CORP COM
X 3 326,000
1,299,155 56,485 X 5 56,485
CENTRAL Equity 154647101 8,341,000 219,500 X 1 190,500
NEWSPAPERS
INC CL A
X 1 29,000
17,521,800 461,100 X 3 369,800
X 3 91,300
236,626 6,227 X 5 6,227
CENTURYTEL Equity 156700106 31,006,240 775,156 X 1 710,856
INC COM
X 1 64,300
1,382,000 34,550 X 2 26,750
X 2 7,800
2,958,800 73,970 X 5 73,970
CERIDIAN CORP Equity 15677T106 2,310 70 X 2 70
COM
2,246,739 68,083 X 5 68,083
CHAMPION INTL Equity 158525105 391,200 8,150 X 5 8,150
CORP COM
199,863,600 4,163,825 X 6 3,691,325
X 6 472,500
CHANCELLOR Equity 158915108 53,311,500 969,300 X 2 828,700
MEDIA CORP COM
X 2 140,600
760,430 13,826 X 5 13,826
638,237,545 11,604,319 X 6 10,052,844
X 6 1,551,475
CHARTER ONE Equity 160903100 398,776 14,242 X 5 14,242
FINL INC COM
CHARTER Equity 160908109 158,028 12,156 X 5 12,156
MUNICIPAL
MORTGAGE
ACCEP
CHARMING Equity 161133103 121,800 20,300 X 5 20,300
SHOPPES INC
COM
CHARTWELL RE Equity 16139W10 26,600 1,400 X 5 1,400
CORP COM
9,218,914 485,206 X 6 485,206
CHASE Equity 16161A108 41,418,202 481,607 X 1 468,907
MANHATTAN
NEW COM
X 1 12,700
43,266,600 503,100 X 2 429,300
X 2 73,800
40,829,102 474,757 X 5 474,757
367,853,906 4,277,371 X 6 3,240,901
X 6 1,036,470
11,291,800 131,300 X 7 131,300
CHATTEM INC Equity 162456107 10,912,000 341,000 X 1 295,400
COM
X 1 45,600
1,696 53 X 5 53
CHEESECAKE Equity 163072101 13,020 434 X 5 434
FACTORY (THE)
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 19 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
5,124,000 170,800 X 7 170,800
CHEMED CORP Equity 163596109 7,401,900 224,300 X 3 110,200
COM
X 3 114,100
349,008 10,576 X 5 10,576
CHEVRON Equity 166751107 30,951,380 325,804 X 5 325,804
CORPORATION
COM
3,325,000 35,000 X 6 35,000
CHICOS FAS INC Equity 168615102 4,617,600 192,400 X 1 192,400
6,648,000 277,000 X 2 82,900
X 2 194,100
CHILDRENS PL Equity 168905107 5,760,000 144,000 X 1 124,900
RETAIL COM
X 1 19,100
1,600 40 X 5 40
CHIQUITA Equity 170032106 6,804,900 756,100 X 3 407,400
BRANDS INTL
COM
X 3 348,700
28,854 3,206 X 5 3,206
CHIREX INC COM Equity 170038103 220,864 6,902 X 5 6,902
CHIRON CORP Equity 170040109 1,807,533 86,073 X 5 86,073
COM
CHITTENDEN Equity 170228100 13,368,533 431,243 X 1 392,143
CORP COM
X 1 39,100
34,875 1,125 X 5 1,125
CHOICEPOINT Equity 170388102 205,020 3,060 X 5 3,060
INC COM
CHUBB CORP Equity 171232101 957,600 13,680 X 5 13,680
COM
55,930,000 799,000 X 6 799,000
CHURCH & Equity 171340102 5,082,000 115,500 X 2 75,600
DWIGHT INC COM
X 2 39,900
182,292 4,143 X 5 4,143
CIENA CORP COM Equity 171779101 44,421,000 1,480,700 X 2 1,238,600
X 2 242,100
351,750 11,725 X 5 11,725
CINCINNATI BELL Equity 171870108 894,025 35,761 X 5 35,761
INC COM
CINAR Equity 171905300 8,320,800 346,700 X 2 200,700
CORPORATION
LIMITED VTG
X 2 146,000
6,511,200 271,300 X 7 271,300
CINCINNATI FINL Equity 172062101 1,245,564 32,778 X 5 32,778
CORP COM
CINERGY CORP Equity 172474108 725,920 22,685 X 5 22,685
COM
CIRCUIT CITY Equity 172737108 37,600,400 817,400 X 1 796,400
STORE INC
CIRCT CIT
X 1 21,000
29,085,800 632,300 X 2 525,700
X 2 106,600
463,542 10,077 X 5 10,077
CISCO SYS INC Equity 17275R102 44,518,400 695,600 X 1 677,450
COM
X 1 18,150
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 20 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
46,408,960 725,140 X 2 621,440
X 2 103,700
37,630,272 587,973 X 5 587,973
108,346,240 1,692,910 X 7 1,692,910
CITADEL Equity 172853202 11,700,000 325,000 X 2 325,000
COMMUNICATION
CORP
6,163,200 171,200 X 7 171,200
CINTAS CORP Equity 172908105 36,917,000 551,000 X 1 536,500
COM
X 1 14,500
4,475,600 66,800 X 2 46,500
X 2 20,300
1,034,145 15,435 X 5 15,435
13,400,000 200,000 X 7 200,000
CITIGROUP INC Equity 172967101 37,310,400 777,300 X 1 756,550
X 1 20,750
56,264,400 1,172,175 X 2 998,700
X 2 173,475
27,807,840 579,330 X 5 579,330
2,623,828,128 54,663,086 X 6 45,864,235
X 6 8,798,851
88,240,464 1,838,343 X 7 1,838,343
CITIZENS UTILS Equity 177342201 3,077,800 279,800 X 2 182,400
CO DEL CL B
X 2 97,400
833,789 75,799 X 5 75,799
4,742,100 431,100 X 7 431,100
CITRIX SYS INC Equity 177376100 39,026,176 696,896 X 1 639,696
COM
X 1 57,200
784,000 14,000 X 2 14,000
626,080 11,180 X 5 11,180
28,000,000 500,000 X 7 500,000
CITY NATL CORP Equity 178566105 11,695,700 316,100 X 1 274,000
COM
X 1 42,100
24,901,000 673,000 X 2 621,100
X 2 51,900
1,092,203 29,519 X 5 29,519
CLAIRE'S Equity 179584107 83,200 3,200 X 1 3,200
STORES INC COM
26,070,200 1,002,700 X 2 767,300
X 2 235,400
233,740 8,990 X 5 8,990
CLAYTON HOMES Equity 184190106 110,000 10,000 X 3 10,000
INC COM
66,979 6,089 X 5 6,089
CLEAR CHANNEL Equity 184502102 3,304,479 47,891 X 5 47,891
COMMUN COM
48,300,000 700,000 X 7 700,000
CLEVELAND Equity 185896107 6,208,000 194,000 X 3 97,500
CLIFFS INC COM
X 3 96,500
43,680 1,365 X 5 1,365
CLOROX CO DEL Equity 189054109 42,800 400 X 1 400
COM
3,038,693 28,399 X 5 28,399
COACH USA INC Equity 18975L106 4,145,400 98,700 X 1 86,100
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 21 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 12,600
197,400 4,700 X 5 4,700
COASTAL CORP Equity 190441105 2,560 64 X 2 64
COM
7,421,720 185,543 X 5 185,543
COCA COLA CO Equity 191216100 50,158 809 X 2 809
COM
24,099,896 388,708 X 5 388,708
COCA COLA Equity 191219104 1,777,320 59,244 X 5 59,244
ENTERPRISES
COM
COGNEX CORP Equity 192422103 259,424 8,107 X 5 8,107
COM
COLGATE Equity 194162103 15,386 157 X 2 157
PALMOLIVE CO
COM
4,071,704 41,548 X 5 41,548
COLONIAL Equity 195493309 10,640,000 760,000 X 1 657,100
BANCGROUP INC
COM
X 1 102,900
112,798 8,057 X 5 8,057
COLUMBIA Equity 197648108 706,167 11,209 X 5 11,209
ENERGY GROUP
COLUMBIA/HCA Equity 197677107 33,957,200 1,476,400 X 2 1,259,000
HLTHCARE COM
X 2 217,400
3,844,565 167,155 X 5 167,155
COMAIR Equity 199789108 494,823 23,563 X 5 23,563
HOLDINGS INC
COM
COMFORT SYS Equity 199908104 59,400 3,300 X 1 3,300
USA INC COM
237,222 13,179 X 5 13,179
COMCAST CORP Equity 200300200 6,435,756 169,362 X 5 169,362
CL A SPL
COMDISCO INC Equity 200336105 7,521,800 289,300 X 2 202,700
COM
X 2 86,600
463,970 17,845 X 5 17,845
COMERICA INC Equity 200340107 31,919,000 541,000 X 1 526,500
COM
X 1 14,500
4,754,161 80,579 X 5 80,579
COMMERCE Equity 200525103 1,340,000 33,500 X 5 33,500
BANCSHARES
COM
COMMERCIAL Equity 201647104 6,525,100 283,700 X 3 147,100
FEDERAL CP COM
X 3 136,600
137,908 5,996 X 5 5,996
COMMERCIAL Equity 201723103 7,075,600 252,700 X 3 139,100
METALS CO
X 3 113,600
37,436 1,337 X 5 1,337
COMMONWEALT Equity 202800108 4,036,200 96,100 X 3 85,400
ENERGY SY COM
SH BE
X 3 10,700
4,746 113 X 5 113
COMMONWEALT Equity 203349105 322,440 8,061 X 5 8,061
TEL ENTPR COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 22 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
COMMSCOPE INC Equity 203372107 43,613,900 1,406,900 X 2 1,164,900
COM
X 2 242,000
272,149 8,779 X 5 8,779
COMMUNITY Equity 203902101 4,773,600 198,900 X 1 198,900
FIRST BANKSH
COM
174,168 7,257 X 5 7,257
COMPAQ Equity 204493100 1,512 63 X 2 63
COMPUTER
CORP COM
4,025,472 167,728 X 5 167,728
1,067,709,168 44,487,882 X 6 35,220,857
X 6 9,267,025
COMPASS Equity 20449H109 2,221,074 82,262 X 5 82,262
BANCSHARES
INC COM
COMPLETE Equity 20452F107 5,652 314 X 5 314
BUSINESS SOLU
COM
5,504,400 305,800 X 7 305,800
COMPUTER Equity 204912109 30,035,500 546,100 X 1 538,400
ASSOC INTL COM
X 1 7,700
5,030,135 91,457 X 5 91,457
2,168,084,710 39,419,722 X 6 31,938,967
X 6 7,480,755
COMPUTER Equity 204925101 12,843,600 583,800 X 2 562,100
NETWORK
TECHNOLOGY
X 2 21,700
COMPUTER Equity 205363104 3,381 49 X 2 49
SCIENCES CORP
COM
2,730,330 39,570 X 5 39,570
COMPUWARE Equity 205638109 33,516,800 1,047,400 X 1 1,032,500
CORP COM
X 1 14,900
1,838,848 57,464 X 5 57,464
COMSAT CORP Equity 20564D107 384,000 12,000 X 2 12,000
COM SER 1
2,538,432 79,326 X 5 79,326
7,676,800 239,900 X 7 239,900
COMSTOCK RES Equity 205768203 35,226 11,742 X 5 11,742
INC COM NEW
COMVERSE Equity 205862402 37,465,796 492,971 X 1 452,421
TECHNOLOGY
COM PAR $0.1
X 1 40,550
938,372 12,347 X 5 12,347
34,200,000 450,000 X 7 450,000
CONAGRA INC Equity 205887102 1,699,839 62,957 X 5 62,957
COM
CONCENTRIC Equity 20589R107 24,640,000 616,000 X 2 460,200
NETWORK CP
COM
X 2 155,800
11,760 294 X 5 294
7,100,000 177,500 X 7 177,500
CONCENTRA Equity 20589T103 187,560 12,504 X 5 12,504
MANAGED CARE
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 23 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
COM21 INC COM Equity 205937105 11,488,600 675,800 X 2 515,900
X 2 159,900
3,400 200 X 5 200
CONCORD EFS Equity 206197105 3,960,600 94,300 X 2 57,400
INC COM
X 2 36,900
706,356 16,818 X 5 16,818
CONCUR Equity 206708109 4,533,200 161,900 X 7 161,900
TECHNOLOGIES
INC
CONECTIV INC Equity 206829103 345,120 14,380 X 5 14,380
COM
CONEXANT Equity 207142100 4,796,600 82,700 X 2 45,100
SYSTEMS INC
COM
X 2 37,600
180,264 3,108 X 5 3,108
CONMED CORP Equity 207410101 8,525,000 275,000 X 2 267,000
COM
X 2 8,000
1,240 40 X 5 40
CONSECO INC Equity 208464107 894,000 29,800 X 2 29,800
COM
6,783,060 226,102 X 5 226,102
749,469,330 24,982,311 X 6 20,861,358
X 6 4,120,953
19,797,000 659,900 X 7 659,900
CONSOLIDATED Equity 209115104 31,504,500 700,100 X 1 681,800
EDISON NY COM
X 1 18,300
9,259,380 205,764 X 5 205,764
CONSOLIDATED Equity 209615103 389,790 6,390 X 5 6,390
NAT GAS COM
CONSOLIDATED Equity 209759109 344,493 12,759 X 5 12,759
PAPERS COM
CONSOLIDATED Equity 209798107 209,214 11,623 X 5 11,623
PRODS INC COM
CONSOLIDATED Equity 210149100 502,227 18,601 X 5 18,601
STORES CP COM
CONSTELLATION Equity 210371100 14,044,500 468,150 X 3 180,400
ENERGY COM
X 3 287,750
3,332,100 111,070 X 5 111,070
CONVERGYS Equity 212485106 415,036 21,844 X 5 21,844
CORP COM
COOPER Equity 216640102 5,735 155 X 5 155
CAMERON CORP
COM
13,098,000 354,000 X 6 345,000
X 6 9,000
COOPER INDS Equity 216669101 421,772 8,111 X 5 8,111
INC COM
COOPER TIRE & Equity 216831107 316,008 13,167 X 5 13,167
RUBR CO COM
720,000 30,000 X 6 30,000
COORS ADOLPH Equity 217016104 1,970,950 39,419 X 5 39,419
CO CL B
CORDANT Equity 218412104 6,736,500 149,700 X 3 72,200
TECHNOLOGIES
INC
X 3 77,500
1,445,715 32,127 X 5 32,127
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 24 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
CORN PRODS Equity 219023108 672,000 22,400 X 2 22,400
INTL INC COM
120,600 4,020 X 5 4,020
5,736,000 191,200 X 7 191,200
CORNELL Equity 219141108 1,099,200 68,700 X 7 68,700
CORRECTIONS
INC
CORNING INC Equity 219350105 63,000 900 X 1 900
COM
2,977,870 42,541 X 5 42,541
CORPORATE Equity 21988R102 4,500,000 125,000 X 2 125,000
EXEC BRD CO
COM
129,600 3,600 X 5 3,600
CORVEL CORP Equity 221006109 12,610,444 573,202 X 6 573,202
COST PLUS INC Equity 221485105 17,710,000 385,000 X 2 378,000
CALIF COM
X 2 7,000
124,200 2,700 X 5 2,700
COSTCO Equity 22160Q102 10,790,880 134,886 X 5 134,886
COMPANIES INC
COM
32,000,000 400,000 X 7 400,000
COUNTRYWIDE Equity 222372104 30,138,700 700,900 X 1 682,200
CR IND DEL COM
X 1 18,700
4,689,494 109,058 X 5 109,058
500,722,573 11,644,711 X 6 10,020,921
X 6 1,623,790
COVANCE INC Equity 222816100 319,032 13,293 X 5 13,293
COM
COVENTRY CORP Equity 222862104 168,773 15,343 X 5 15,343
COM
COX Equity 224044107 795,019 21,487 X 5 21,487
COMMUNICATION
NEW CL A
1,332,000 36,000 X 6 36,000
COX RADIO INC Equity 224051102 102,600 1,900 X 5 1,900
CL A
891,000 16,500 X 7 16,500
CRAFTMADE Equity 22413E104 3,677,700 282,900 X 1 282,900
INTL INC
COM
CRANE CO COM Equity 224399105 4,268,576 137,696 X 5 137,696
6,950,975 224,225 X 6 165,225
X 6 59,000
CREE RESEARCH Equity 225447101 7,053,200 91,600 X 2 91,600
INC.
CRIIMI MAE INC Equity 226603108 117,436 58,718 X 5 58,718
COM
CROSS TIMBERS Equity 227573102 5,034,000 335,600 X 1 290,000
OIL CO COM
X 1 45,600
200,625 13,375 X 5 13,375
CROSSMANN Equity 22764E109 5,517,250 190,250 X 1 190,250
CMNTYS INC COM
5,974 206 X 5 206
CROWN CORK & Equity 228255105 283,780 10,135 X 5 10,135
SEAL INC COM
CUMMINS Equity 231021106 264,936 4,648 X 5 4,648
ENGINE INC COM
CURATIVE Equity 231264102 120,720 20,120 X 5 20,120
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 25 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
HEALTH SVCS
COM
CYBERONICS Equity 23251P102 3,660,000 305,000 X 2 35,000
X 2 270,000
CYBEX Equity 232522102 3,677,800 131,350 X 1 131,350
COMPUTER
PRODS CORP
COM
CYPRESS Equity 232806109 265,064 15,592 X 5 15,592
SEMICONDUCTOR
COM
CYPRUS AMAX Equity 232809103 216,300 14,420 X 5 14,420
MINERALS COM
CYTEC INDS INC Equity 232820100 371,776 11,618 X 5 11,618
COM
DII GROUP INC Equity 232949107 18,810,800 508,400 X 2 508,400
COM
174,788 4,724 X 5 4,724
DPL INC COM Equity 233293109 217,566 12,087 X 5 12,087
DQE INC COM Equity 23329J104 27,025,240 675,631 X 1 618,031
X 1 57,600
142,160 3,554 X 5 3,554
D R HORTON INC Equity 23331A109 8,790,700 517,100 X 1 447,600
COM
X 1 69,500
76,636 4,508 X 5 4,508
DSP Equity 23332K106 20,984,400 723,600 X 2 558,800
COMMUNICATION
COM
X 2 164,800
70,064 2,416 X 5 2,416
DTE ENERGY CO Equity 233331107 45,800,075 1,117,075 X 3 766,075
COM
X 3 351,000
6,825,516 166,476 X 5 166,476
DAIN RAUSCHER Equity 233856103 7,209,000 133,500 X 3 73,100
CORP COM
X 3 60,400
67,824 1,256 X 5 1,256
DAL-TILE INTL Equity 23426R108 3,598,100 327,100 X 1 327,100
INC COM
8,693,300 790,300 X 2 790,300
16,302 1,482 X 5 1,482
DALLAS Equity 235204104 7,425,600 145,600 X 3 80,100
SEMICONDUCTOR
COM
X 3 65,500
279,174 5,474 X 5 5,474
DANA CORP COM Equity 235811106 32,292,276 702,006 X 3 426,306
X 3 275,700
3,684,094 80,089 X 5 80,089
DANAHER CORP Equity 235851102 1,375,006 23,707 X 5 23,707
DEL COM
DARDEN Equity 237194105 28,729,558 1,305,889 X 1 1,196,389
RESTAURANTS
INC COM
X 1 109,500
2,736,338 124,379 X 5 124,379
DATA Equity 237823109 336 14 X 5 14
PROCESSING
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 26 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
RES COM
264,000 11,000 x 6 11,000
DAY RUNNER Equity 239545106 16,272 1,356 X 5 1,356
INC COM
180,000 15,000 X 6 15,000
DAYTON Equity 239753106 34,638,500 532,900 X 1 518,500
HUDSON CORP
COM
X 1 14,400
9,602,775 147,735 X 5 147,735
DAYTON Equity 240028100 2,730,300 143,700 X 1 143,700
SUPERIOR CORP
CL A
DEERE & CO COM Equity 244199105 30,115,800 772,200 X 3 474,750
X 3 297,450
1,270,308 32,572 X 5 32,572
DEL MONTE Equity 24522P103 10,835,987 637,411 X 6 637,411
FOODS CO
DELL COMPUTER Equity 247025109 13,547,957 366,161 X 5 366,161
CORP COM
DELPHI AUTO Equity 247126105 828 46 X 1 6
SYS CORP COM
X 1 40
1,026 57 X 2 57
2,463,588 136,866 X 5 136,866
DELPHI Equity 247171200 1,208,000 120,800 X 2 120,800
INFORMATION
SYSTEMS
DELTA AIR LINES Equity 247361108 4,872 84 X 2 84
DEL COM
5,475,896 94,412 X 5 94,412
DELUXE CORP Equity 248019101 27,370,200 701,800 X 1 640,100
COM
X 1 61,700
14,794,650 379,350 X 3 142,650
X 3 236,700
4,528,524 116,116 X 5 116,116
DENDRITE INTL Equity 248239105 10,425,600 289,600 X 1 264,900
INC COM
X 1 24,700
2,261,772 62,827 X 5 62,827
4,899,600 136,100 X 7 136,100
DENTSPLY INTL Equity 249030107 255,896 8,824 X 5 8,824
INC NEW COM
7,079,016 244,104 X 6 244,104
DEVELOPERS Equity 251591103 5,203,700 306,100 X 1 263,700
DIVERS RLTY
COM
X 1 42,400
32,113 1,889 X 5 1,889
DEVRY INC DEL Equity 251893103 205,106 9,323 X 5 9,323
COM
DEXTER CORP Equity 252165105 264,819 6,459 X 5 6,459
COM
DIAGEO PLC- Equity 25243Q20 1,063,207,594 24,725,758 X 6 21,992,940
SPONSORED
ADR NEW
X 6 2,732,818
DIAL CORP NEW Equity 25247D101 32,257,932 871,836 X 1 800,136
COM
X 1 71,700
715,432 19,336 X 5 19,336
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 27 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
7,400,000 200,000 X 7 200,000
DIEBOLD INC COM Equity 253651103 318,739 10,991 X 5 10,991
DIGITAL Equity 253859102 7,179,900 552,300 X 2 356,200
MICROWAVE
CORP COM
X 2 196,100
243,685 18,745 X 5 18,745
DILLARDS INC CL Equity 254067101 345,345 9,867 X 5 9,867
A
DIME BANCORP Equity 25429Q102 24,424,880 1,221,244 X 1 1,124,344
INC NEW COM
X 1 96,900
1,062,760 53,138 X 5 53,138
DIONEX CORP Equity 254546104 261,560 6,539 X 5 6,539
COM
DISNEY WALT CO Equity 254687106 22,134 714 X 2 714
13,858,643 447,053 X 5 447,053
149,153,865 4,811,415 X 6 3,882,015
X 6 929,400
DOLE FOOD INC Equity 256605106 284,200 9,800 X 2 9,800
COM
215,267 7,423 X 5 7,423
27,310,866 941,754 X 6 611,754
X 6 330,000
6,261,100 215,900 X 7 215,900
DOLLAR GEN Equity 256669102 852,629 29,401 X 5 29,401
CORP COM
DOLLAR THRIFTY Equity 256743105 1,439,800 62,600 X 1 62,600
AUTO GP COM
9,825,600 427,200 X 2 219,400
X 2 207,800
9,200 400 X 5 400
2,021,700 87,900 X 7 87,900
DOLLAR TREE Equity 256747106 28,573,600 649,400 X 1 594,500
STORES COM
X 1 54,900
455,928 10,362 X 5 10,362
DOMINION RES Equity 257470104 6,247,685 145,295 X 5 145,295
INC VA COM
1,290,000 30,000 X 6 30,000
DONALDSON INC Equity 257651109 287,856 11,994 X 5 11,994
COM
DONALDSON Equity 257661108 4,017,180 66,953 X 5 66,953
LUFKN&JEN NW
COM
DONNELLEY R R Equity 257867101 499,204 13,492 X 5 13,492
& SONS COM
430,564,893 11,636,889 X 6 10,158,959
X 6 1,477,930
DOUBLECLICK Equity 258609304 313,536 3,408 X 5 3,408
INC COM
DOVER CORP Equity 260003108 992,950 28,370 X 5 28,370
COM
425,623,065 12,160,659 X 6 10,073,734
X 6 2,086,925
DOVER DOWNS Equity 260086103 5,792,400 321,800 X 1 321,800
ENTMT INC
COM
DOW CHEM CO Equity 260543103 17,145 135 X 2 135
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 28 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
12,354,306 97,278 X 5 97,278
DOW JONES & CO Equity 260561105 413,241 7,797 X 5 7,797
INC COM
DOWNEY FINL Equity 261018105 4,871,900 221,450 X 2 160,000
CORP COM
X 2 61,450
4,972 226 X 5 226
DU PONT E I DE Equity 263534109 23,936 352 X 2 352
NEMOURS COM
23,386,764 343,923 X 5 343,923
1,194,943,328 17,572,696 X 6 14,561,606
X 6 3,011,090
DUKE ENERGY Equity 264399106 2,020,950 37,425 X 5 37,425
CORP COM
DUKE REALTY Equity 264411505 31,744,232 1,380,184 X 1 1,271,584
INVT INC COM
X 1 108,600
17,618 766 X 5 766
DUN & Equity 26483B106 909,160 25,976 X 5 25,976
BRADSTREET
CORP COM
DURA AUTO SYS Equity 265903104 10,378,500 314,500 X 1 271,700
X 1 42,800
7,029,000 213,000 X 2 163,000
X 2 50,000
182,424 5,528 X 5 5,528
DUPONT Equity 26613X101 5,400,000 112,500 X 2 112,500
PHOTOMASKS
INC COM
48,768 1,016 X 5 1,016
DYCOM INDS INC Equity 267475101 17,676,400 315,650 X 2 146,600
COM
X 2 169,050
145,208 2,593 X 5 2,593
DYNEGY INC COM Equity 26816L102 1,646,000 82,300 X 1 75,500
X 1 6,800
67,320 3,366 X 5 3,366
DYNEX CAP INC Equity 26817Q100 30,598 15,299 X 5 15,299
COM
EG & G INC COM Equity 268457108 541,224 15,034 X 5 15,034
3,796,200 105,450 X 6 97,450
X 6 8,000
E M C CORP Equity 268648102 9,812,825 178,415 X 5 178,415
MASS COM
83,971,250 1,526,750 X 7 1,526,750
ENSCO INTL INC Equity 26874Q100 574,140 28,707 X 5 28,707
COM
E TRADE GROUP Equity 269246104 1,663,040 41,576 X 5 41,576
INC COM
EAGLE USA Equity 270018104 3,712,800 88,400 X 1 76,800
AIRFREIGHT COM
X 1 11,600
5,909,400 140,700 X 2 140,700
46,200 1,100 X 5 1,100
EARTHGRAINS Equity 270319106 7,774,000 299,000 X 1 258,200
CO COM
X 1 40,800
109,434 4,209 X 5 4,209
EARTHWEB INC Equity 27032C108 9,546,000 258,000 X 2 222,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 29 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 2 36,000
EASTERN Equity 27637F100 7,612,000 190,300 X 3 102,700
ENTERPRISES
COM
X 3 87,600
327,240 8,181 X 5 8,181
3,225,240 80,631 X 6 80,631
EASTMAN CHEM Equity 277432100 427,908 8,229 X 5 8,229
CO COM
EASTMAN KODAK Equity 277461109 11,832 174 X 2 174
CO COM
13,299,440 195,580 X 3 77,530
X 3 118,050
13,747,764 202,173 X 5 202,173
EATON CORP Equity 278058102 1,823,348 19,819 X 5 19,819
COM
EATON VANCE Equity 278265103 270,640 7,960 X 5 7,960
CORP COM NON
VTG
ECHOSTAR Equity 278762109 119,952 784 X 5 784
COMMUNICATION
15,300,000 100,000 X 7 100,000
ECLIPSE Equity 278849104 1,870,000 170,000 X 2 115,000
SURGICAL
TECHNOLOGIES
X 2 55,000
ECOLAB INC COM Equity 278865100 655,336 14,894 X 5 14,894
EDISON INTL COM Equity 281020107 6,065,604 224,652 X 5 224,652
EDWARDS AG Equity 281760108 14,633,600 457,300 X 3 175,550
INC COM
X 3 281,750
4,203,104 131,347 X 5 131,347
EL PASO Equity 283905107 3,963,330 113,238 X 5 113,238
ENERGY CORP
59,128,300 1,689,380 X 6 1,006,062
X 6 683,318
ELCOR CORP Equity 284443108 7,700,000 175,000 X 2 50,000
COM
X 2 125,000
208,516 4,739 X 5 4,739
ELECTRONIC Equity 285512109 548,478 10,157 X 5 10,157
ARTS INC COM
ELECTRONIC Equity 285661104 7,425,447 130,271 X 5 130,271
DATA SYS NW
COM
689,700 12,100 X 6 500
X 6 11,600
ELECTRONICS Equity 286082102 642,549 12,599 X 5 12,599
FOR IMAGNG COM
EMERSON ELEC Equity 291011104 3,039,435 48,245 X 5 48,245
CO COM
618,051,735 9,810,345 X 6 7,997,095
X 6 1,813,250
EMMIS Equity 291525103 29,400 600 X 5 600
BROADCASTING
CP CL A
13,350,050 272,450 X 6 224,450
X 6 48,000
EMPI INC. Equity 291586105 3,182,400 132,600 X 1 132,600
EMULEX CORP Equity 292475209 19,147,500 172,500 X 2 99,200
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 30 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 2 73,300
ENERGEN CORP Equity 29265N108 6,604,400 347,600 X 3 184,900
COM
X 3 162,700
19,646 1,034 X 5 1,034
ENERGY EAST Equity 29266M109 32,071,000 1,233,500 X 1 1,200,800
CORP COM
X 1 32,700
5,902,338 227,013 X 5 227,013
ENGELHARD Equity 292845104 1,511,031 65,697 X 5 65,697
CORP COM
ENGINEERED Equity 292866100 1,192,200 99,350 X 1 99,350
SUPPORT SYS
INC COM
ENESCO GROUP Equity 292973104 7,626,800 331,600 X 3 187,600
X 3 144,000
98,647 4,289 X 5 4,289
ENNIS BUSINESS Equity 293389102 5,296,500 588,500 X 3 391,100
FORMS
X 3 197,400
ENRON CORP Equity 293561106 57,547,600 701,800 X 2 598,800
COM
X 2 103,000
9,288,468 113,274 X 5 113,274
32,923,000 401,500 X 7 401,500
ENTERCOM Equity 293639100 4,300,000 100,000 X 2 100,000
COMMUNICATION
CORP
ENTERGY CORP Equity 29364G103 2,294 74 X 2 74
NEW COM
3,680,661 118,731 X 5 118,731
ENZON INC Equity 293904108 4,674,600 222,600 X 7 222,600
EQUIFAX INC COM Equity 294429105 1,023,444 28,429 X 5 28,429
EQUITABLE COS Equity 29444G107 8,840,851 131,953 X 5 131,953
INC COM
EQUITY INNS INC Equity 294703103 153,549 17,061 X 5 17,061
COM
EQUITY OFFICE Equity 294741103 1,859,390 71,515 X 5 71,515
PPTYS TR COM
EQUITY Equity 29476L107 59,696,685 1,326,593 X 1 1,253,693
RESIDENT
PPTYS SH BEN
INT
X 1 72,900
1,571,985 34,933 X 5 34,933
L M ERICSSON Equity 294821400 462,000 14,000 X 2 14,000
TELEPHONE CO
CL B
43,285,572 1,311,684 X 6 1,290,984
X 6 20,700
ETHAN ALLEN Equity 297602104 14,567,300 383,350 X 1 332,100
INTERIORS COM
X 1 51,250
417,468 10,986 X 5 10,986
ETHYL CORP Equity 297659104 6,960,600 1,160,100 X 3 672,400
X 3 487,700
39,912 6,652 X 5 6,652
EVEREST REINS Equity 299808105 330,000 10,000 X 2 10,000
HLDGS COM
4,064,709 123,173 X 5 123,173
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 31 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
103,491,564 3,136,108 X 6 3,085,308
X 6 50,800
7,035,600 213,200 X 7 213,200
EVERGREEN RES Equity 299900308 4,000,000 160,000 X 2 131,500
INC COM NO PAR
X 2 28,500
20,000 800 X 5 800
EXAR CORP Equity 300645108 21,814,375 872,575 X 6 872,575
EXECUTIVE RISK Equity 301586103 224,740 2,644 X 5 2,644
INC COM
EXIDE CORP COM Equity 302051107 138,000 9,200 X 2 9,200
29,865 1,991 X 5 1,991
3,264,000 217,600 X 7 217,600
EXODUS Equity 302088109 2,880,000 24,000 X 2 15,200
COMMUNICATION
COM
X 2 8,800
374,880 3,124 X 5 3,124
15,000,000 125,000 X 7 125,000
EXPEDITORS Equity 302130109 238,518 8,834 X 5 8,834
INTL WASH COM
EXPRESS Equity 302182100 4,380,000 73,000 X 2 46,700
SCRIPTS INC CL A
X 2 26,300
367,980 6,133 X 5 6,133
12,000,000 200,000 X 7 200,000
EXXON CORP Equity 302290101 644,490 8,370 X 2 8,370
COM
70,284,676 912,788 X 5 912,788
789,250 10,250 X 6 9,950
X 6 300
F M C CORP COM Equity 302491303 2,120,376 31,182 X 5 31,182
NEW
FPL GROUP INC Equity 302571104 9,100,685 165,467 X 5 165,467
COM
FYI INC. Equity 302712104 5,146,000 166,000 X 2 166,000
FACTORY 2-U Equity 303072102 3,465,000 192,500 X 2 94,100
STORES INC
X 2 98,400
FAMILY DLR Equity 307000109 36,407,904 1,516,996 X 1 1,387,496
STORES INC COM
X 1 129,500
2,954,400 123,100 X 2 80,000
X 2 43,100
675,264 28,136 X 5 28,136
FASTENAL CO Equity 311900104 491,868 9,459 X 5 9,459
COM
FDX CORP Equity 31304N107 4,585,950 84,925 X 5 84,925
FEDERAL HOME Equity 313400301 31,673,800 546,100 X 1 531,600
LN MTG CP COM
X 1 14,500
8,973,992 154,724 X 5 154,724
1,813,763,240 31,271,780 X 6 27,299,055
X 6 3,972,725
FEDERAL MOGUL Equity 313549107 28,111,148 540,599 X 1 495,099
CORP COM
X 1 45,500
450,424 8,662 X 5 8,662
FEDERAL NATL Equity 313586109 31,980,400 470,300 X 1 457,800
MTG ASSN COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 32 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 12,500
340,000 5,000 X 2 5,000
27,221,760 400,320 X 5 400,320
55,814,400 820,800 X 7 820,800
FEDERATED Equity 31410H101 30,432,600 574,200 X 2 488,800
DEPT STORES
COM
X 2 85,400
11,847,355 223,535 X 5 223,535
FEDERATED Equity 314211103 8,449,200 469,400 X 1 407,500
INVESTORS CL B
X 1 61,900
65,070 3,615 X 5 3,615
FELCOR Equity 31430F101 229,089 10,909 X 5 10,909
LODGING TRUST
INC.
FERRO CORP Equity 315405100 316,428 11,301 X 5 11,301
COM
FIFTH THIRD Equity 316773100 1,922,967 28,701 X 5 28,701
BANCORP COM
FINOVA GROUP Equity 317928109 28,869,948 544,716 X 1 496,416
INC COM
X 1 48,300
908,579 17,143 X 5 17,143
FIRST AMER Equity 318900107 430,122 10,241 X 5 10,241
CORP TENN COM
588,000 14,000 X 6 14,000
FIRST DATA Equity 319963104 46,221,700 943,300 X 2 806,800
CORP COM
X 2 136,500
3,537,653 72,197 X 5 72,197
275,014,411 5,612,539 X 6 4,672,014
X 6 940,525
FIRST HEALTH Equity 320960107 95,348 4,334 X 5 4,334
GROUP CP COM
3,514,676 159,758 X 6 159,758
FIRST SEC CORP Equity 336294103 374,895 13,885 X 5 13,885
DEL COM
FIRST TENN Equity 337162101 25,984,932 683,814 X 1 625,214
NATL CORP COM
X 1 58,600
502,246 13,217 X 5 13,217
FIRST UNION Equity 337358105 17,254,734 367,122 X 5 367,122
CORP COM
FIRSTAR CORP Equity 33763V109 2,498,496 89,232 X 2 57,296
COM
X 2 31,936
2,320,696 82,882 X 5 82,882
FISERV INC COM Equity 337738108 2,050,929 66,159 X 5 66,159
FIRSTFED FINL Equity 337907109 6,999,600 368,400 X 2 368,400
CORP COM
52,630 2,770 X 5 2,770
FIRSTMERIT Equity 337915102 211,792 7,564 X 5 7,564
CORP COM
FLAGSTAR Equity 337930101 6,975,000 279,000 X 3 143,800
BANCORP INC
X 3 135,200
FIRSTENERGY Equity 337932107 850,268 27,428 X 5 27,428
CORP COM
FLEET FINL Equity 338915101 36,850,000 837,500 X 1 813,900
GROUP INC COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 33 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 23,600
924,000 21,000 X 2 21,000
15,661,712 355,948 X 5 355,948
177,249,996 4,028,409 X 6 2,171,809
X 6 1,856,600
16,055,600 364,900 X 7 364,900
FLEETWOOD Equity 339099103 6,255,600 240,600 X 3 143,700
ENTERPRISES
COM
X 3 96,900
161,798 6,223 X 5 6,223
FLEMING COS Equity 339130106 136,128 11,344 X 5 11,344
INC COM
FLORIDA Equity 341109106 30,175,713 735,993 X 1 675,793
PROGRESS
CORP COM
X 1 60,200
573,877 13,997 X 5 13,997
FLORIDA ROCK Equity 341140101 9,236,800 200,800 X 1 174,300
INDS
X 1 26,500
55,016 1,196 X 5 1,196
FLOWERS INDS Equity 343496105 30,004,304 1,363,832 X 1 1,245,132
INC COM
X 1 118,700
376,178 17,099 X 5 17,099
FLOWSERVE Equity 34354P105 120,688 6,352 X 5 6,352
CORP COM
15,279,952 804,208 X 6 804,208
FLUOR CORP Equity 343861100 283,240 7,081 X 5 7,081
COM
FOOD LION INC Equity 344775101 139,596 11,633 X 5 11,633
CL B
FOOD LION INC Equity 344775200 36,914,136 3,076,178 X 1 2,829,978
CL A
X 1 246,200
FOODMAKER INC Equity 344839204 13,462,400 480,800 X 1 416,900
NEW COM NEW
X 1 63,900
24,474,800 874,100 X 2 666,100
X 2 208,000
260,512 9,304 X 5 9,304
FORD MTR CO Equity 345370100 32,121,600 573,600 X 1 558,500
DEL COM
X 1 15,100
25,760 460 X 2 460
13,853,392 247,382 X 3 98,882
X 3 148,500
31,565,632 563,672 X 5 563,672
1,545,600 27,600 X 7 27,600
FOREST LABS Equity 345838106 397,210 8,635 X 5 8,635
INC CL A
FORT JAMES Equity 347471104 1,175,834 30,943 X 5 30,943
CORP COM
FORTUNE Equity 349631101 2,833,059 69,099 X 5 69,099
BRANDS INC COM
615,000 15,000 X 6 15,000
FORWARD AIR Equity 349853101 4,396,000 157,000 X 1 136,600
CORPORATION
X 1 20,400
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 34 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
4,244,800 151,600 X 2 104,300
X 2 47,300
FOSSIL INC COM Equity 349882100 7,257,600 151,200 X 1 130,600
X 1 20,600
9,153,600 190,700 X 2 190,700
64,176 1,337 X 5 1,337
FOSTER Equity 350244109 144,466 10,319 X 5 10,319
WHEELER CORP
COM
FOUNDATION Equity 350404109 570,000 38,000 X 2 38,000
118,095 7,873 X 5 7,873
15,390,000 1,026,000 X 7 1,026,000
FOX ENTMT Equity 35138T107 216,675 8,025 X 5 8,025
GROUP INC CL A
19,342,800 716,400 X 6 540,400
X 6 176,000
FRANCHISE FIN Equity 351807102 6,857,400 311,700 X 3 161,800
CORP COM
X 3 149,900
135,476 6,158 X 5 6,158
FRANKLIN COVEY Equity 353469109 133 19 X 5 19
CO COM
784,000 112,000 X 6 86,700
X 6 25,300
FRANKLIN RES Equity 354613101 1,977,471 48,231 X 5 48,231
INC COM
FREEPORT Equity 35671D501 10,096,600 531,400 X 6 531,400
COPPER & GOLD
CV PFD A
FREEPORT- Equity 35671D857 269,064 14,948 X 5 14,948
MCMORAN
COP&G CL B
45,387,000 2,521,500 X 6 1,561,500
X 6 960,000
FREMONT GEN Equity 357288109 437,000 23,000 X 2 23,000
CORP COM
28,956 1,524 X 5 1,524
10,991,500 578,500 X 7 578,500
FRONTIER Equity 35906P105 1,981,456 33,584 X 5 33,584
CORPORATION
COM
FULLER H B CO Equity 359694106 228,820 3,365 X 5 3,365
COM
FURNITURE Equity 360921100 26,456,080 944,860 X 1 860,460
BRANDS INTL
COM
X 1 84,400
239,624 8,558 X 5 8,558
9,559,200 341,400 X 7 341,400
FURON CO COM Equity 361106107 209,076 11,004 X 5 11,004
G & K SVCS INC Equity 361268105 306,488 5,894 X 5 5,894
CL A
GATX CORP COM Equity 361448103 14,045,484 369,618 X 3 145,118
X 3 224,500
147,250 3,875 X 5 3,875
GST Equity 361942105 15,867,800 1,220,600 X 2 1,168,300
TELECOMMUNICA
INC
X 2 52,300
6,432,400 494,800 X 7 494,800
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 35 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
GP STRATEGIES Equity 36225V104 2,770,803 307,867 X 6 307,867
CORP
GPU INC COM Equity 36225X100 4,363,674 103,897 X 5 103,897
GTE CORP COM Equity 362320103 48,799,600 642,100 X 1 624,700
X 1 17,400
53,233,592 700,442 X 3 476,842
X 3 223,600
26,082,060 343,185 X 5 343,185
GADZOOKS INC Equity 362553109 4,264,000 266,500 X 2 266,500
COM
4,000 250 X 5 250
GALILEO INTL Equity 363547100 31,921,794 602,298 X 1 552,798
INC COM
X 1 49,500
253,340 4,780 X 5 4,780
GALLAGHER Equity 363576109 6,905,000 138,100 X 3 72,000
ARTHUR J &CO
COM
X 3 66,100
271,150 5,423 X 5 5,423
GANNETT INC Equity 364730101 43,856,700 617,700 X 1 601,000
COM
X 1 16,700
6,380,344 89,864 X 5 89,864
GAP INC DEL COM Equity 364760108 40,912,500 818,250 X 1 796,500
X 1 21,750
8,039,200 160,784 X 5 160,784
GARDNER Equity 365558105 184,736 11,546 X 5 11,546
DENVER MACHY
COM
GARTNER Equity 366651107 2,080 104 X 5 104
GROUP INC - CL A
7,602,000 380,100 X 6 322,100
X 6 58,000
GATEWAY INC Equity 367626108 915,680 15,520 X 5 15,520
COM
GAYLORD Equity 368145108 420,800 52,600 X 2 52,600
CONTAINER
7,208 901 X 5 901
15,153,600 1,894,200 X 7 1,894,200
GENCORP INC Equity 368682100 8,337,500 333,500 X 1 316,600
COM
X 1 16,900
8,087,500 323,500 X 3 182,700
X 3 140,800
120,475 4,819 X 5 4,819
GENERAL Equity 369550108 41,062,728 595,112 X 1 564,712
DYNAMICS CORP
COM
X 1 30,400
6,969 101 X 2 101
11,920,716 172,764 X 5 172,764
67,896,000 984,000 X 6 984,000
GENERAL ELEC Equity 369604103 37,719,400 333,800 X 1 325,000
CO COM
X 1 8,800
115,373 1,021 X 2 1,021
59,400,710 525,670 X 5 525,670
23,902,325 211,525 X 6 177,950
X 6 33,575
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 36 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
75,095,845 664,565 X 7 664,565
GENERAL Equity 370021107 217,476 6,041 X 5 6,041
GROWTH PPTYS
COM
GENERAL INSTR Equity 370120107 953,148 22,694 X 5 22,694
CORP DEL COM
5,035,800 119,900 X 6 90,500
X 6 29,400
16,800,000 400,000 X 7 400,000
GENERAL MILLS Equity 370334104 9,911,920 123,899 X 5 123,899
INC COM
GENERAL Equity 370442105 27,654,000 419,000 X 1 407,800
MOTORS CORP
COM
X 1 11,200
28,728,546 435,281 X 2 370,881
X 2 64,400
13,265,076 200,986 X 5 200,986
GENERAL Equity 37047F103 503,608 21,896 X 5 21,896
NUTRITION COS
COM
GENERAL Equity 370787103 7,542 838 X 5 838
SEMICONDUCTOR
COM
27,785,754 3,087,306 X 6 3,087,306
GENTEX CORP Equity 371901109 502,740 17,955 X 5 17,955
COM
GENESYS Equity 371931106 20,000,000 800,000 X 2 535,200
TELECOMMN
LABS COM
X 2 264,800
30,175 1,207 X 5 1,207
GENESIS Equity 371933102 10,632,000 443,000 X 2 419,000
MICROCHIP INC
X 2 24,000
GENUINE PARTS Equity 372460105 1,007,545 28,787 X 5 28,787
CO COM
GEON CO COM Equity 37246W10 17,104,000 534,500 X 2 448,400
X 2 86,100
224,448 7,014 X 5 7,014
GENZYME CORP Equity 372917104 2,428,848 50,601 X 5 50,601
COM GENL DIV
GEORGIA PAC Equity 373298108 37,534,200 798,600 X 1 777,600
CORP COM
X 1 21,000
4,877,143 103,769 X 5 103,769
GEORGIA PAC Equity 373298702 13,637,200 545,488 X 3 211,488
CORP COM-
TIMBER GRP
X 3 334,000
369,375 14,775 X 5 14,775
GETTY IMAGES Equity 374276103 1,900,000 100,000 X 2 100,000
INC COM
1,292 68 X 5 68
GILEAD Equity 375558103 321,932 6,191 X 5 6,191
SCIENCES INC
COM
GILLETTE CO Equity 375766102 6,506,577 158,697 X 5 158,697
COM
GLEASON CORP Equity 377339106 6,330,800 372,400 X 3 203,200
COM
X 3 169,200
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 37 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
GLIMCHER RLTY Equity 379302102 6,659,200 416,200 X 3 234,500
TR SH BEN INT
X 3 181,700
16,400 1,025 X 5 1,025
GLOBAL INDS Equity 379336100 12,907,700 992,900 X 2 742,100
LTD COM
X 2 20,800
85,891 6,607 X 5 6,607
6,487,000 499,000 X 7 499,000
GLOBAL IMAGING Equity 37934A100 6,341,400 352,300 X 7 352,300
SYSTEMS INC
GLOBAL MARINE Equity 379352404 363,808 22,738 X 5 22,738
INC COM
GLOBAL Equity 37936U104 47,830,500 590,500 X 2 489,800
TELESYSTEMS
GROUP
X 2 100,700
340,362 4,202 X 5 4,202
GLOBIX Equity 37957F101 13,767,600 312,900 X 2 236,700
CORPORATION
X 2 76,200
GOLDEN WEST Equity 381317106 4,126,780 42,110 X 5 42,110
FINL DEL COM
GOODRICH B F Equity 382388106 14,606,676 347,778 X 3 138,628
CO COM
X 3 209,150
4,342,170 103,385 X 5 103,385
GOODYEAR TIRE Equity 382550101 659,738 11,182 X 5 11,182
& RUBR COM
GRACE W R & CO Equity 38388F108 621,509 32,711 X 5 32,711
DEL COM
GRACO INC COM Equity 384109104 71,166 2,454 X 5 2,454
333,645 11,505 X 6 11,505
GRAINGER W W Equity 384802104 489,780 9,070 X 5 9,070
INC COM
GREAT ATL & Equity 390064103 277,202 8,153 X 5 8,153
PAC TEA COM
GREAT LAKES Equity 390568103 323,702 7,037 X 5 7,037
CHEM CORP COM
GREENPOINT Equity 395384100 4,894,065 148,305 X 5 148,305
FINL CORP COM
GROUP 1 Equity 398905109 2,032,800 96,800 X 1 96,800
AUTOMOTIVE INC
COM
GUIDANT CORP Equity 401698105 25,382,088 497,688 X 2 423,588
COM
X 2 74,100
3,117,630 61,130 X 5 61,130
42,151,500 826,500 X 7 826,500
GUILFORD MLS Equity 401794102 5,146,500 514,650 X 3 320,250
INC COM
X 3 194,400
8,100 810 X 5 810
170,000 17,000 X 6 17,000
GULF CDA RES Equity 40218L305 195,200 48,800 X 2 48,800
LTD ORD
15,200 3,800 X 5 3,800
4,564,000 1,141,000 X 7 1,141,000
GULFSTREAM Equity 402734107 885,156 13,017 X 5 13,017
AEROSPACE COM
HMT Equity 403917107 32,680 16,340 X 5 16,340
TECHNOLOGY
CORP COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 38 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
H T E INC COM Equity 403926108 42,000 14,000 X 5 14,000
HCC INS HLDGS Equity 404132102 208,817 9,079 X 5 9,079
INC COM
HCR MANOR Equity 404134108 285,864 11,911 X 5 11,911
HEALTH&RETIRE Equity 40426W10 13,288,680 885,912 X 3 337,812
PPTYS COM SH
BE
X 3 548,100
2,863,440 190,896 X 5 190,896
HS RES INC COM Equity 404297103 1,609,500 107,300 X 1 107,300
270 18 X 5 18
HA-LO INDS INC Equity 404429102 10 1 X 1 1
COM
50,970 5,097 X 5 5,097
10,885,960 1,088,596 X 6 1,088,596
HAIN FOOD Equity 405219106 3,712,800 176,800 X 1 176,800
GROUP INC COM
3,150,000 150,000 X 2 150,000
756 36 X 5 36
HALLIBURTON Equity 406216101 3,416,985 75,933 X 5 75,933
CO COM
HAMBRECHT & Equity 406545103 130,573 3,529 X 5 3,529
QUIST GROUP
7,536,900 203,700 X 7 203,700
HANGER Equity 41043F208 8,162 583 X 5 583
ORTHOPEDIC
GRP COM NEW
4,803,400 343,100 X 7 343,100
HANNA M A CO Equity 410522106 78,416 4,901 X 5 4,901
COM
2,900,320 181,270 X 6 181,270
HANNAFORD Equity 410550107 401,328 7,432 X 5 7,432
BROS CO COM
HANOVER Equity 410768105 8,064,000 252,000 X 2 188,000
COMPRESSOR
CO COM
X 2 64,000
178,816 5,588 X 5 5,588
HANOVER Equity 410783104 579 193 X 5 193
DIRECT INC COM
3,321,300 1,107,100 X 7 1,107,100
HANSEN NAT Equity 411310105 700,000 175,000 X 1 175,000
CORP COM
HARCOURT GEN Equity 41163G101 409,032 7,866 X 5 7,866
INC COM
HARDINGE INC Equity 412324303 595,800 33,100 X 3 33,100
COM
41,400 2,300 X 5 2,300
HARLEY Equity 412822108 39,382,200 729,300 X 1 710,100
DAVIDSON INC
COM
X 1 19,200
2,505,600 46,400 X 2 29,500
X 2 16,900
5,132,268 95,042 X 5 95,042
21,600,000 400,000 X 7 400,000
HARMAN INTL Equity 413086109 7,040,000 160,000 X 3 90,200
IND INC NEW
X 3 69,800
137,940 3,135 X 5 3,135
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 39 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
18,474,588 419,877 X 6 419,877
HARMONIC INC. Equity 413160102 13,075,800 229,400 X 2 229,400
HARNISCHFEGER Equity 413345109 11,818 5,909 X 5 5,909
INDS INC COM
746,600 373,300 X 7 373,300
HARRAHS Equity 413619107 3,048,848 138,584 X 5 138,584
ENTMT INC COM
157,032,568 7,137,844 X 6 5,957,694
X 6 1,180,150
HARRIS CORP Equity 413875105 43,140,942 1,106,178 X 3 600,278
DEL COM
X 3 505,900
518,583 13,297 X 5 13,297
HARTE-HANKS Equity 416196103 252,720 9,360 X 5 9,360
INC
HARTFORD FINL Equity 416515104 36,783,600 634,200 X 1 617,500
SVCS COM
X 1 16,700
4,292 74 X 2 74
1,650,854 28,463 X 5 28,463
HARTFORD LIFE Equity 416592103 1,381,074 26,058 X 5 26,058
INC CL A
HASBRO INC COM Equity 418056107 28,008,400 1,000,300 X 1 915,300
X 1 85,000
3,855,600 137,700 X 2 89,600
X 2 48,100
6,600,440 235,730 X 5 235,730
HAVERTY Equity 419596101 3,979,500 113,700 X 1 113,700
FURNITURE COS
5,446,000 155,600 X 2 133,200
X 2 22,400
7,367,500 210,500 X 3 112,000
X 3 98,500
HEALTHSOUTH Equity 421924101 1,757,115 117,141 X 5 117,141
CORP COM
HEALTH MGMT Equity 421933102 369,501 33,591 X 5 33,591
ASSOC INC CL A
HEALTH CARE Equity 42217K106 4,397,600 191,200 X 1 164,900
REIT INC COM
X 1 26,300
64,676 2,812 X 5 2,812
HEALTHCARE Equity 42219W10 3,638 107 X 5 107
FINL PRTNER
COM
3,131,400 92,100 X 7 92,100
HEICO CORP Equity 422806109 3,442,500 137,700 X 1 137,700
NEW COM
7,500 300 X 5 300
HEICO CORP Equity 422806208 2,095,200 87,300 X 1 87,300
NEW CL A
HEINZ H J CO Equity 423074103 65,000 1,300 X 1 1,300
COM
7,850 157 X 2 157
5,115,150 102,303 X 5 102,303
182,660,250 3,653,205 X 6 3,019,905
X 6 633,300
HELMERICH & Equity 423452101 278,448 11,602 X 5 11,602
PAYNE INC COM
HERCULES INC Equity 427056106 382,200 9,800 X 2 9,800
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 40 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
384,384 9,856 X 5 9,856
163,955,844 4,203,996 X 6 3,271,896
X 6 932,100
7,952,100 203,900 X 7 203,900
HERSHEY FOODS Equity 427866108 944,885 16,015 X 5 16,015
CORP COM
HERTZ CORP CL Equity 428040109 39,903,944 643,612 X 1 589,612
A
X 1 54,000
3,868,800 62,400 X 2 40,300
X 2 22,100
188,542 3,041 X 5 3,041
HEWLETT Equity 428236103 40,100 401 X 2 401
PACKARD CO
COM
18,550,300 185,503 X 5 185,503
HIGHWOODS Equity 431284108 9,444,600 349,800 X 1 303,200
PPTYS INC COM
X 1 46,600
35,640 1,320 X 5 1,320
HILLENBRAND Equity 431573104 331,702 7,714 X 5 7,714
INDS INC COM
HILTON HOTELS Equity 432848109 371,770 26,555 X 5 26,555
CORP COM
HITACHI Equity 433578507 752,000 8,000 X 2 8,000
HISPANIC Equity 43357B104 469,148 6,173 X 5 6,173
BROADCASTING
HOLLINGER INTL Equity 435569108 145,608 12,134 X 5 12,134
INC CL A
38,574,480 3,214,540 X 6 3,214,540
HOME DEPOT Equity 437076102 45,696,000 714,000 X 1 695,000
INC COM
X 1 19,000
43,405,952 678,218 X 2 577,818
X 2 100,400
18,102,528 282,852 X 5 282,852
79,056,000 1,235,250 X 7 1,235,250
HOMESTAKE Equity 437614100 169,624 21,203 X 5 21,203
MNG CO COM
HOMESTEAD Equity 437851108 1,998,604 999,302 X 6 872,294
VILLAGE INC
X 6 127,008
HON INDS INC Equity 438092108 368,851 12,719 X 5 12,719
COM
HONEYWELL INC Equity 438506107 50,506,400 435,400 X 1 423,800
COM
X 1 11,600
4,524 39 X 2 39
3,303,216 28,476 X 5 28,476
HOOPER HOMES Equity 439104100 14,542,000 727,100 X 1 631,200
INC
X 1 95,900
73,960 3,698 X 5 3,698
HORACE MANN Equity 440327104 121,689 4,507 X 5 4,507
EDUCTR CP COM
6,769,683 250,729 X 6 250,729
HORMEL FOODS Equity 440452100 2,388,480 59,712 X 5 59,712
CORP COM
HOST MARRIOTT Equity 44107P104 3,715,452 309,621 X 5 309,621
CORP COM
HOT TOPIC Equity 441339108 5,400,000 200,000 X 2 200,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 41 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
HOUSEHOLD Equity 441815107 2,618,041 55,703 X 5 55,703
INTL INC COM
923,557,661 19,650,163 X 6 17,166,683
X 6 2,483,480
Houston Equity 442161204 595,000 5,000 X 4 5,000
Industries
Conv. Pfd.
HOWMET Equity 443208103 3,095,700 182,100 X 1 182,100
INTERNATIONAL
COM
96,900 5,700 X 5 5,700
HUBBELL INC CL Equity 443510201 14,205,510 315,678 X 3 127,378
B
X 3 188,300
435,195 9,671 X 5 9,671
HUDSON UNITED Equity 444165104 9,644,100 311,100 X 1 272,000
BANCORP COM
X 1 39,100
6,475,900 208,900 X 3 111,600
X 3 97,300
142,228 4,588 X 5 4,588
HUGHES SUPPLY Equity 444482103 7,731,000 257,700 X 3 133,400
INC COM
X 3 124,300
44,220 1,474 X 5 1,474
HUMANA INC COM Equity 444859102 229,229 17,633 X 5 17,633
HUNTINGTON Equity 446150104 27,888,960 871,530 X 1 799,370
BANCSHARES
COM
X 1 72,160
750,720 23,460 X 5 23,460
HUSSMANN INTL Equity 448110106 7,073,700 416,100 X 3 229,800
INC COM
X 3 186,300
130,492 7,676 X 5 7,676
HUTCHINSON Equity 448407106 128,800 4,600 X 2 4,600
TECHNOLOGY
COM
3,892 139 X 5 139
2,584,400 92,300 X 7 92,300
ICN Equity 448924100 5,494,400 171,700 X 2 124,500
PHARMACEUTICA
NEW COM
X 2 47,200
528,384 16,512 X 5 16,512
4,684,800 146,400 X 7 146,400
IBP INC COM Equity 449223106 19,149,600 797,900 X 3 661,800
X 3 136,100
298,632 12,443 X 5 12,443
ICG Equity 449246107 17,661 841 X 5 841
COMMUNICATION
INC COM
8,215,200 391,200 X 7 391,200
IDEC Equity 449370105 4,827,900 62,700 X 1 54,400
PHARMACEUTICA
COM
X 1 8,300
3,880,800 50,400 X 2 32,500
X 2 17,900
377,377 4,901 X 5 4,901
IMC GLOBAL INC Equity 449669100 5,137,400 302,200 X 3 244,400
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 42 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 3 57,800
3,147,380 185,140 X 5 185,140
IMCO RECYCLING Equity 449681105 2,720,000 160,000 X 2 160,000
INC COM
289 17 X 5 17
IMS HEALTH INC Equity 449934108 1,796,946 57,966 X 5 57,966
COM
ITC DELTACOM Equity 45031T104 12,737,200 454,900 X 2 208,500
INC
X 2 246,400
69,300 2,475 X 5 2,475
ITT Equity 45068B109 4,682,600 180,100 X 2 92,700
EDUCATIONAL
SVCS COM
X 2 87,400
25,012 962 X 5 962
3,419,000 131,500 X 6 131,500
ITT INDS INC IND Equity 450911102 1,914,440 50,380 X 5 50,380
COM
232,164,800 6,109,600 X 6 6,051,600
X 6 58,000
IDACORP INC Equity 451107106 206,976 6,468 X 5 6,468
IDEX CORP COM Equity 45167R104 248,622 7,534 X 5 7,534
IDEXX LABS Equity 45168D104 11,884,100 516,700 X 2 460,700
CORP COM
X 2 56,000
81,282 3,534 X 5 3,534
IKON OFFICE Equity 451713101 483,000 32,200 X 2 32,200
SOLUTIONS COM
573,030 38,202 X 5 38,202
9,241,500 616,100 X 7 616,100
ILLINOIS TOOL Equity 452308109 3,218,992 39,256 X 5 39,256
WKS INC COM
67,215,400 819,700 X 7 819,700
IMATION CORP Equity 45245A107 277,725 11,109 X 5 11,109
COM
IMMUNEX CORP Equity 452528102 171,196 1,348 X 5 1,348
NEW COM
28,575,000 225,000 X 7 225,000
IMPAC Equity 45254P102 436,180 87,236 X 5 87,236
MORTGAGE
HOLDINGS INC
IMPERIAL CR Equity 452729106 75,397 10,771 X 5 10,771
INDS INC COM
IMRGLOBAL CORP Equity 45321W10 8,061,700 424,300 X 7 424,300
INCO LTD COM Equity 453258402 328,338 18,241 X 5 18,241
INDUSTRI- Equity 455792101 47,052 23,526 X 5 23,526
MATEMATK INTL
COM
INMC MTN Equity 456607100 378,592 23,662 X 5 23,662
HLDGS INC COM
INET Equity 45662V105 4,800,000 200,000 X 2 200,000
TECHNOLOGIES
INC
INFOCURE CORP Equity 45665A108 8,517,100 160,700 X 7 160,700
INFORMIX CORP Equity 456779107 200,151 22,239 X 5 22,239
COM
INFOSPACE COM Equity 45678T102 6,504,800 138,400 X 2 60,300
INC COM
X 2 78,100
39,104 832 X 5 832
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 43 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
INGERSOLL Equity 456866102 10,823,865 166,521 X 5 166,521
RAND CO COM
Ingersoll-Rand Equity 456867209 537,000 17,900 X 4 17,900
Conv. Pfd.
INKTOMI CORP Equity 457277101 78,144 592 X 5 592
COM
16,500,000 125,000 X 7 125,000
INSITUFORM Equity 457667103 587,092 26,686 X 5 26,686
TECH INC CL A
INNKEEPERS Equity 4576J0104 6,477,000 647,700 X 3 337,600
USA TR COM
X 3 310,100
15,290 1,529 X 5 1,529
INTEL CORP COM Equity 458140100 40,249,440 670,824 X 2 574,124
X 2 96,700
37,089,480 618,158 X 5 618,158
195,664,980 3,261,083 X 6 2,474,533
X 6 786,550
INTERFACE INC Equity 458665106 108,684 12,076 X 5 12,076
CL A
INTERIM SVCS Equity 45868P100 72,198 3,438 X 5 3,438
INC COM
210,000 10,000 X 6 10,000
INTERMET CORP Equity 45881K104 7,264,500 484,300 X 3 265,300
COM
X 3 219,000
16,725 1,115 X 5 1,115
INTERNATIONAL Equity 459200101 50,426,100 390,900 X 1 380,800
BUS MACH COM
X 1 10,100
272,964 2,116 X 2 2,116
98,920,425 766,825 X 5 766,825
65,396,550 506,950 X 7 506,950
INTERNATIONAL Equity 459506101 10,912 248 X 2 248
FLAV&FRA COM
433,884 9,861 X 5 9,861
INTERNATIONAL Equity 459902102 324,000 18,000 X 2 18,000
GAME TEC COM
297,396 16,522 X 5 16,522
5,562,000 309,000 X 7 309,000
INTERNATIONAL Equity 460053101 117,720 2,943 X 5 2,943
NETWORKS COM
6,384,000 159,600 X 7 159,600
INTL PAPER CO Equity 460146103 4,840,700 96,814 X 5 96,814
COM
INTL SPEEDWAY Equity 460335201 2,280,000 47,500 X 2 30,600
CORP - CL A
X 2 16,900
163,200 3,400 X 5 3,400
INTL TELECOMM Equity 46047F104 11,796,800 737,300 X 1 640,000
DATA SYS COM
X 1 97,300
9,600 600 X 5 600
4,832,000 302,000 X 7 302,000
INTERPOOL INC Equity 46062R108 9,313,018 716,386 X 6 716,386
INTERPUBLIC Equity 460690100 1,626,465 18,695 X 5 18,695
GROUP COS COM
INTRAV INC Equity 460930100 2,255,400 125,300 X 1 125,300
COM
INTRANET Equity 460939309 2,840,000 355,000 X 2 355,000
SOLUTIONS INC
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 44 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
INTIMATE Equity 461156101 34,947,931 743,573 X 1 681,308
BRANDS INC CL A
X 1 62,265
9,884,805 210,315 X 2 148,050
X 2 62,265
1,455,825 30,975 X 3 20,475
X 3 10,500
210,090 4,470 X 5 4,470
INTUIT COM Equity 461202103 4,266,000 47,400 X 2 31,200
X 2 16,200
457,920 5,088 X 5 5,088
INVACARE CORP Equity 461203101 7,857,000 291,000 X 3 133,000
COM
X 3 158,000
116,235 4,305 X 5 4,305
INVESTMENT Equity 46145F105 300,256 9,383 X 5 9,383
TEC GRP NEW
COM
IPALCO Equity 462613100 23,200,800 1,104,800 X 1 1,013,700
ENTERPRISES
INC COM
X 1 91,100
344,736 16,416 X 5 16,416
IRON MTN INC Equity 46284P104 136,300 4,700 X 5 4,700
DEL COM
6,324,900 218,100 X 7 218,100
ISLE OF CAPRI Equity 464592104 1,400,000 200,000 X 2 200,000
CASINOS
IT GROUP INC Equity 465266104 7,174,400 448,400 X 7 448,400
I2 Equity 465754109 318,286 7,402 X 5 7,402
TECHNOLOGIES
INC COM
IVAX CORP COM Equity 465823102 1,716,946 122,639 X 5 122,639
J & J SNACK Equity 466032109 2,395,200 99,800 X 1 99,800
FOODS CORP
COM
192 8 X 5 8
JABIL CIRCUIT Equity 466313103 342,000 7,600 X 5 7,600
INC COM
15,120,000 336,000 X 6 299,000
X 6 37,000
22,500,000 500,000 X 7 500,000
JAKKS PACIFIC Equity 47012E106 3,705,000 123,500 X 2 97,900
INC
X 2 25,600
JEFFERSON Equity 475070108 680,064 10,304 X 5 10,304
PILOT CORP COM
JOHN NUVEEN Equity 478035108 1,221,200 28,400 X 1 28,400
COMPANY
5,418 126 X 5 126
JOHNS MANVILLE Equity 478129109 576,128 41,152 X 5 41,152
CP NEW COM
JOHNSON & Equity 478160104 40,572 414 X 2 414
JOHNSON COM
21,513,254 219,523 X 5 219,523
JOHNSON CTLS Equity 478366107 53,557,800 776,200 X 1 755,400
INC COM
X 1 20,800
6,409,341 92,889 X 5 92,889
JONES APPAREL Equity 480074103 6,728,600 197,900 X 2 143,700
GROUP COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 45 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 2 54,200
921,298 27,097 X 5 27,097
JONES PHARMA Equity 480236108 22,815,000 585,000 X 2 544,300
INC
X 2 40,700
125,424 3,216 X 5 3,216
7,663,500 196,500 X 7 196,500
JOSTENS INC Equity 481088102 6,932,100 330,100 X 3 169,500
COM
X 3 160,600
282,219 13,439 X 5 13,439
KLA-TENCOR Equity 482480100 728,130 11,202 X 5 11,202
CORP COM
K MART CORP Equity 482584109 370,864 23,179 X 2 23,179
COM
2,993,024 187,064 X 5 187,064
7,384,000 461,500 X 7 461,500
K-SWISS INC Equity 482686102 6,559,600 142,600 X 1 142,600
CL A
14,352 312 X 5 312
6,918,400 150,400 X 7 150,400
K V Equity 482740206 160,000 10,000 X 6 10,000
PHARMACEUTICA
CO CL A
KAISER Equity 483007100 3,213,900 357,100 X 2 138,000
ALUMINUM CORP
X 2 219,100
18,315 2,035 X 5 2,035
KAMAN CORP CL Equity 483548103 7,742,400 483,900 X 3 265,900
A
X 3 218,000
12,144 759 X 5 759
KANSAS CITY Equity 485170104 9,581,568 149,712 X 5 149,712
SOUTHN IND COM
28,800,000 450,000 X 7 450,000
KAUFMAN&BROA Equity 486168107 6,830,000 273,200 X 1 236,900
HOME CP COM
X 1 36,300
268,075 10,723 X 5 10,723
KEANE INC COM Equity 486665102 209,323 9,101 X 5 9,101
KEEBLER FOODS Equity 487256109 7,212,000 240,400 X 1 208,800
CO COM
X 1 31,600
160,500 5,350 X 5 5,350
3,213,000 107,100 X 6 107,100
KELLOGG CO COM Equity 487836108 1,348,083 40,851 X 5 40,851
KELLSTROM Equity 488035106 6,804,000 378,000 X 1 326,300
INDS INC COM
X 1 51,700
21,600 1,200 X 5 1,200
KELLY SVCS INC Equity 488152208 8,153,600 254,800 X 3 130,500
CL A
X 3 124,300
76,896 2,403 X 5 2,403
KEMET CORP Equity 488360108 73,117 3,179 X 5 3,179
COM
7,699,457 334,759 X 6 334,759
KERR MCGEE Equity 492386107 13,430,000 268,600 X 1 246,600
CORP COM
X 1 22,000
340,000 6,800 X 2 6,800
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 46 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
35,561,500 711,230 X 3 434,580
X 3 276,650
456,600 9,132 X 5 9,132
7,570,000 151,400 X 7 151,400
KEY PRODTN INC Equity 493138101 255,600 28,400 X 1 28,400
COM
KEYCORP NEW Equity 493267108 13,715,200 428,600 X 3 163,100
COM
X 3 265,500
1,645,120 51,410 X 5 51,410
KEYSPAN CORP Equity 49337W10 223,392 8,592 X 5 8,592
COM
KEYSTONE AUTO Equity 49338N109 91,800 5,400 X 5 5,400
INDS INC COM
1,298,834 76,402 X 6 76,402
KIMBALL INTL Equity 494274103 7,167,200 421,600 X 3 215,700
INC CL B
X 3 205,900
2,465 145 X 5 145
KIMBERLY CLARK Equity 494368103 26,807,100 470,300 X 2 400,700
CORP COM
X 2 69,600
45,988,341 806,813 X 3 536,213
X 3 270,600
3,841,572 67,396 X 5 67,396
1,044,468 18,324 X 6 18,324
KING WORLD Equity 495667107 17,146,500 489,900 X 3 417,900
PRODTNS INC
COM
X 3 72,000
965,440 27,584 X 5 27,584
KNIGHT RIDDER Equity 499040103 4,864,200 88,440 X 5 88,440
INC COM
KNIGHT/TRIMAR Equity 499067106 4,733,600 77,600 X 1 67,400
GROUP INC CL A
X 1 10,200
24,400 400 X 5 400
15,250,000 250,000 X 7 250,000
KOALA CORP Equity 499866101 3,059,100 113,300 X 1 113,300
COM
KOHLS CORP Equity 500255104 5,669,972 73,636 X 5 73,636
COM
82,690,300 1,073,900 X 7 1,073,900
KONINKLIJKE Equity 500472204 650,440 6,440 X 2 6,440
PHILIPS ELEC NY
SHR
7,564,900 74,900 X 7 74,900
KROGER CO COM Equity 501044101 73,491,824 2,624,708 X 1 2,482,508
X 1 142,200
7,104,580 253,735 X 5 253,735
KULICKE & SOFFA Equity 501242101 324,000 12,000 X 2 12,000
INDS COM
64,071 2,373 X 5 2,373
5,321,700 197,100 X 7 197,100
LG&E ENERGY Equity 501917108 2,363,319 112,539 X 5 112,539
CORP COM
LTV CORP NEW Equity 501921100 120,400 17,200 X 2 17,200
COM
378,476 54,068 X 5 54,068
1,971,200 281,600 X 7 281,600
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 47 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
LNR PPTY CORP Equity 501940100 4,252,500 202,500 X 1 175,700
COM
X 1 26,800
87,150 4,150 X 5 4,150
LSI LOGIC CORP Equity 502161102 787,198 17,113 X 5 17,113
COM
L-3 Equity 502424104 4,896,000 102,000 X 2 90,000
COMMUNICATION
HOLDINGS INC
X 2 12,000
12,470,112 259,794 X 6 259,794
6,768,000 141,000 X 7 141,000
LA Z BOY INC Equity 505336107 261,464 11,368 X 5 11,368
COM
LABORATORY Equity 50540R102 72,624 24,208 X 5 24,208
AMER HLDGS
COM
LAFARGE CORP Equity 505862102 32,446,750 927,050 X 1 904,750
COM
X 1 22,300
736,295 21,037 X 5 21,037
LAIDLAW INC Equity 50730K503 221,004 31,572 X 5 31,572
COM
LAMAR Equity 512815101 131,651 3,211 X 5 3,211
ADVERTISING CO
CL A
2,693,700 65,700 X 6 61,700
X 6 4,000
LANCASTER Equity 513847103 7,255,600 213,400 X 3 114,600
COLONY CORP
COM
X 3 98,800
150,790 4,435 X 5 4,435
LANDS END INC Equity 515086106 2,812,800 58,600 X 2 37,500
COM
X 2 21,100
172,704 3,598 X 5 3,598
LASER Equity 51806D100 32,079 10,693 X 5 10,693
MORTGAGE
MGMT
LASER VISION Equity 51807H100 23,568,300 374,100 X 2 374,100
CTRS INC COM
113,400 1,800 X 5 1,800
LAUDER ESTEE Equity 518439104 497,100 9,942 X 5 9,942
COS INC CL A
LEAR CORP COM Equity 521865105 37,485,800 749,716 X 1 686,816
X 1 62,900
368,650 7,373 X 5 7,373
LEE Equity 523768109 224,580 7,486 X 5 7,486
ENTERPRISES
INC COM
LEGATO SYS INC Equity 524651106 32,898,818 567,221 X 1 520,621
COM
X 1 46,600
1,711,986 29,517 X 5 29,517
LEGGETT & Equity 524660107 396,396 14,157 X 5 14,157
PLATT INC COM
LEGG MASON INC Equity 524901105 324,710 8,545 X 5 8,545
COM
LEHMAN BROS Equity 524908100 11,339,800 182,900 X 1 180,300
HLDGS INC COM
X 1 2,600
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 48 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
3,702,578 59,719 X 5 59,719
LENNAR CORP Equity 526057104 30,009,384 1,250,391 X 1 1,147,791
COM
X 1 102,600
7,005,600 291,900 X 3 163,100
X 3 128,800
107,976 4,499 X 5 4,499
LEVEL ONE Equity 527295109 322,959 6,591 X 5 6,591
COMMUNICATNS
COM
LEVEL 3 Equity 52729N100 1,085,580 18,093 X 5 18,093
COMMUNICATION
INC
LEXMARK INTL Equity 529771107 37,322,208 565,488 X 1 518,688
GROUP INC CL A
X 1 46,800
1,471,470 22,295 X 5 22,295
LIBERTY FINL Equity 530512102 993,917 34,273 X 5 34,273
COS INC COM
LIBERTY PPTY Equity 531172104 32,705,500 1,308,220 X 1 1,204,720
TR SH BEN INT
X 1 103,500
804,125 32,165 X 5 32,165
LIFEPOINT Equity 53219L109 21,047 1,619 X 5 1,619
HOSPITALS COM
2,927,600 225,200 X 7 225,200
LIGHTBRIDGE Equity 532226107 964,600 74,200 X 1 74,200
INC COM
LILLY ELI & CO Equity 532457108 11,430,864 158,762 X 5 158,762
COM
LIMITED INC COM Equity 532716107 7,380 164 X 2 164
1,292,310 28,718 X 5 28,718
LINCARE HLDGS Equity 532791100 212,900 8,516 X 5 8,516
INC COM
LINCOLN Equity 533900106 6,204,000 310,200 X 3 164,900
ELECTRIC
HOLDINGS
X 3 145,300
145,860 7,293 X 5 7,293
LINCOLN NATL Equity 534187109 10,917,972 209,961 X 5 209,961
CORP IND COM
Lincoln Equity 534187604 486,000 18,000 X 4 18,000
National
Corp. Conv. Pfd
LINDSAY MFG CO Equity 535555106 152,442 8,469 X 5 8,469
COM
4,671,216 259,512 X 6 259,512
LINEAR Equity 535678106 5,835,700 87,100 X 2 56,600
TECHNOLOGY
CORP COM
X 2 30,500
1,577,247 23,541 X 5 23,541
20,100,000 300,000 X 7 300,000
LINENS N Equity 535679104 444,928 10,112 X 5 10,112
THINGS INC COM
LITTON INDS INC Equity 538021106 3,538,944 49,152 X 5 49,152
COM
LIZ CLAIBORNE Equity 539320101 580,500 16,125 X 5 16,125
COM
LOCKHEED Equity 539830109 481,000 13,000 X 2 13,000
MARTIN CORP
COM
1,387,019 37,487 X 5 37,487
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 49 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
242,465,107 6,553,111 X 6 5,672,551
X 6 880,560
8,935,500 241,500 X 7 241,500
LOEWS CORP Equity 540424108 316,000 4,000 X 2 4,000
COM
16,226,600 205,400 X 3 171,600
X 3 33,800
960,166 12,154 X 5 12,154
1,264,000 16,000 X 6 16,000
3,318,000 42,000 X 7 42,000
LONE STAR INDS Equity 542290408 14,193,000 373,500 X 1 321,600
INC COM NEW
X 1 51,900
20,345,200 535,400 X 2 465,200
X 2 70,200
7,178,200 188,900 X 3 102,500
X 3 86,400
88,882 2,339 X 5 2,339
LONG BEACH Equity 542446109 223,455 14,897 X 5 14,897
FINL CORP
LONGS DRUG Equity 543162101 214,725 6,135 X 5 6,135
STORES CORP
COM
LONGVIEW FIBRE Equity 543213102 4,977,600 311,100 X 2 311,100
CO COM
22,064 1,379 X 5 1,379
1,088,000 68,000 X 7 68,000
LOUISIANA PAC Equity 546347105 4,189,752 174,573 X 5 174,573
CORP COM
LOWES COS INC Equity 548661107 45,799,500 803,500 X 1 781,800
COM
X 1 21,700
3,013,248 52,864 X 5 52,864
25,650,000 450,000 X 7 450,000
LUBYS Equity 549282101 6,918,000 461,200 X 3 232,200
CAFETERIAS INC
COM
X 3 229,000
40,740 2,716 X 5 2,716
LUCENT Equity 549463107 68,961,760 1,029,280 X 1 998,470
TECHNOLOGIES
COM
X 1 30,810
45,336,555 676,665 X 2 578,325
X 2 98,340
32,026,938 478,014 X 5 478,014
84,404,925 1,259,775 X 7 1,259,775
LYCOS INC COM Equity 550818108 378,488 4,114 X 5 4,114
M & T BK CORP Equity 55261F104 30,800 56 X 5 56
COM
271,012,500 492,750 X 6 454,000
X 6 38,750
MBIA INC COM Equity 55262C100 777,855 11,967 X 5 11,967
MBNA CORP COM Equity 55262L100 39,993,100 1,290,100 X 2 1,098,600
X 2 191,500
4,014,500 129,500 X 5 129,500
M D C HLDGS INC Equity 552676108 5,097,400 231,700 X 1 199,800
COM
X 1 31,900
8,023,400 364,700 X 3 207,800
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 50 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 3 156,900
8,800 400 X 5 400
MCN ENERGY Equity 55267J100 2,377,347 113,207 X 5 113,207
GROUP INC COM
MCI WORLDCOM Equity 55268B106 22,618 263 X 2 263
INC COM
42,039,466 488,831 X 5 488,831
765,354,936 8,899,476 X 6 6,478,511
X 6 2,420,965
79,244,700 921,450 X 7 921,450
MGIC INVT CORP Equity 552848103 2,686,866 54,834 X 5 54,834
WIS COM
MGM GRAND INC Equity 552953101 3,679,900 75,100 X 1 71,500
COM
X 1 3,600
7,546 154 X 5 154
MMC NETWORKS Equity 55308N102 24,750,000 550,000 X 2 550,000
INC COM
81,045 1,801 X 5 1,801
6,525,000 145,000 X 7 145,000
MSC INDL Equity 553530106 15,630 1,563 X 5 1,563
DIRECT INC CL A
11,938,230 1,193,823 X 6 1,193,823
M S CARRIERS Equity 553533100 2,418,000 80,600 X 1 80,600
INC COM
570 19 X 5 19
MTS SYS CORP Equity 553777103 6,310,800 525,900 X 3 269,500
COM
X 3 256,400
6,324 527 X 5 527
MYR GROUP INC Equity 554053108 1,989,000 110,500 X 1 110,500
COM
MACROVISION Equity 555904101 13,987,500 186,500 X 2 136,900
X 2 49,600
MACROMEDIA INC Equity 556100105 30,800,000 880,000 X 2 671,300
X 2 208,700
295,155 8,433 X 5 8,433
MAGELLAN Equity 559079108 39,700 3,970 X 5 3,970
HEALTH SVCS
COM
801,500 80,150 X 6 78,350
X 6 1,800
5,576,000 557,600 X 7 557,600
MAIL-WELL INC Equity 560321200 11,380,800 711,300 X 1 614,700
COM
X 1 96,600
145,952 9,122 X 5 9,122
MALLINCKRODT Equity 561232109 52,124,400 1,447,900 X 3 991,700
INC NEW COM
X 3 456,200
585,828 16,273 X 5 16,273
MANDALAY Equity 562567107 25,538,100 1,216,100 X 1 1,115,900
RESORT GROUP
MANDALAY
X 1 100,200
217,728 10,368 X 5 10,368
MANITOWOC INC Equity 563571108 15,049,860 358,330 X 1 310,906
COM
X 1 47,424
315,504 7,512 X 5 7,512
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 51 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
MARINE Equity 568240204 8,715,000 622,500 X 2 622,500
DRILLING COS
COM PAR $0.0
48,972 3,498 X 5 3,498
MARINER POST- Equity 568459101 12,333 12,333 X 5 12,333
ACUTE NET COM
MARKEL CORP Equity 570535104 139,315 745 X 5 745
COM
3,740,000 20,000 X 6 20,000
MARSH & Equity 571748102 34,595,200 455,200 X 1 442,900
MCLENNAN COS
COM
X 1 12,300
7,861,516 103,441 X 5 103,441
MARSHALL & Equity 571834100 683,200 10,675 X 5 10,675
ILSLEY CORP
COM
12,800,000 200,000 X 7 200,000
MARRIOTT INTL Equity 571903202 2,508,637 67,801 X 5 67,801
INC NEW CL A
MARTIN Equity 573284106 20,998,100 355,900 X 1 319,100
MARIETTA
MATLS COM
X 1 36,800
4,101,326 69,514 X 5 69,514
MASCO CORP Equity 574599106 9,056,323 312,287 X 5 312,287
COM
MASTEC INC COM Equity 576323109 210,000 7,500 X 5 7,500
MASTECH CORP Equity 57632N105 8,817,900 464,100 X 1 402,900
COM
X 1 61,200
66,044 3,476 X 5 3,476
MATRI Equity 576817100 3,836,700 548,100 X 7 548,100
HEALTHCARE INC
MATTEL INC COM Equity 577081102 1,025,518 39,443 X 5 39,443
289,845,816 11,147,916 X 6 9,807,006
X 6 1,340,910
MAXIM Equity 57772K101 1,170,576 17,736 X 5 17,736
INTEGRATED
PRODS COM
19,800,000 300,000 X 7 300,000
MAY DEPT Equity 577778103 5,535 135 X 2 135
STORES CO COM
1,665,256 40,616 X 5 40,616
814,644,006 19,869,366 X 6 16,741,772
X 6 3,127,594
MAYTAG CORP Equity 578592107 28,383,600 405,480 X 1 370,280
COM
X 1 35,200
1,085,840 15,512 X 5 15,512
MCCORMICK & CO Equity 579780206 27,944,640 873,270 X 1 796,170
INC COM NON
VTG
X 1 77,100
197,632 6,176 X 5 6,176
MCDERMOTT Equity 580037109 684,404 24,443 X 5 24,443
INTL INC COM
MCDONALDS Equity 580135101 19,270 470 X 2 470
CORP COM
8,318,654 202,894 X 5 202,894
1,796,422,995 43,815,195 X 6 39,030,860
X 6 4,784,335
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 52 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
MCGRATH Equity 580589109 6,864,000 343,200 X 3 184,300
RENTCORP COM
X 3 158,900
340 17 X 5 17
MCGRAW HILL Equity 580645109 41,607,000 770,500 X 1 751,800
COS INC COM
X 1 18,700
5,576,094 103,261 X 5 103,261
MCKESSON Equity 58155Q103 3,613,952 112,936 X 5 112,936
HBOC INC
MCLEODUSA INC Equity 582266102 208,010 3,782 X 5 3,782
COM
MCWHORTER Equity 582803102 12,236 874 X 5 874
TECHNOLOGIES
COM
3,496,822 249,773 X 6 249,773
MEAD CORP COM Equity 582834107 325,038 7,739 X 5 7,739
10,699,500 254,750 X 6 176,750
X 6 78,000
MEDALLION FINL Equity 583928106 207,271 10,909 X 5 10,909
CORP COM
MEDIAONE Equity 58440J104 917,600 12,400 X 2 12,400
GROUP INC COM
9,847,624 133,076 X 5 133,076
15,554,800 210,200 X 7 210,200
Mediaone Group Equity 58440J401 405,000 4,500 X 4 4,500
Conv. Pfd.
MEDIA METRIX Equity 58440X103 1,444,250 27,250 X 2 27,250
INC
MEDICAL Equity 58461C103 3,907,200 88,800 X 1 77,200
MANAGER CORP
COM
X 1 11,600
96,844 2,201 X 5 2,201
MEDICIS Equity 584690309 70,250 2,810 X 5 2,810
PHARMACEUTICA
CL A NEW
5,940,000 237,600 X 7 237,600
MEDIMMUNE INC Equity 584699102 36,101,200 530,900 X 1 487,000
COM
X 1 43,900
1,056,516 15,537 X 5 15,537
13,600,000 200,000 X 7 200,000
MEDICONSULT.C Equity 58469J100 2,524,000 252,400 X 7 252,400
INC
MEDQUIST INC Equity 584949101 8,302,800 188,700 X 1 163,900
COM
X 1 24,800
28,094,000 638,500 X 2 421,300
X 2 217,200
263,472 5,988 X 5 5,988
MEDPARTNERS Equity 58503X107 154,168 19,271 X 5 19,271
INC NEW COM
MEDTRONIC INC Equity 585055106 9,191,286 117,837 X 5 117,837
COM
MELLON BK Equity 585509102 8,368,128 232,448 X 5 232,448
CORP COM
MENS Equity 587118100 180,076 6,926 X 5 6,926
WEARHOUSE INC
COM
7,068,100 271,850 X 7 271,850
MENTOR Equity 587200106 202,137 15,549 X 5 15,549
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 53 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
GRAPHICS CORP
COM
MERCANTILE Equity 587342106 951,045 16,685 X 5 16,685
BANCORPORTN
COM
MERCER INTL Equity 588056101 120,000 20,000 X 2 20,000
INC SBI
3,405,000 567,500 X 7 567,500
MERCK & CO INC Equity 589331107 55,500 750 X 2 750
COM
25,166,586 340,089 X 5 340,089
MERCURY GENL Equity 589400100 1,730,702 50,903 X 5 50,903
CORP NEW COM
MERCURY Equity 589405109 250,250 7,150 X 5 7,150
INTERACTIVE CP
COM
MEREDITH CORP Equity 589433101 265,755 7,593 X 5 7,593
COM
MERISTAR Equity 58984Y103 22,477,400 1,021,700 X 1 937,400
HOSPITALITY
CORPORATION
X 1 84,300
151,822 6,901 X 5 6,901
8,649,762 393,171 X 7 393,171
MERITOR Equity 59000G100 7,875,400 302,900 X 3 148,600
AUTOMOTIVE INC
COM
X 3 154,300
170,170 6,545 X 5 6,545
MERITAGE Equity 59001A102 2,838,000 258,000 X 1 258,000
CORPORATION
MERRILL CORP Equity 590175105 6,473,600 462,400 X 3 248,200
COM
X 3 214,200
210 15 X 5 15
MERRILL LYNCH Equity 590188108 12,827,600 160,345 X 5 160,345
& CO INC COM
MESA AIR Equity 590479101 2,571,200 321,400 X 2 321,400
GROUP INC COM
14,288 1,786 X 5 1,786
METRIS COS INC Equity 591598107 9,950,700 242,700 X 1 210,700
COM
X 1 32,000
324,433 7,913 X 5 7,913
METRO Equity 591918107 4,096,900 77,300 X 1 67,200
NETWORKS INC
COM
X 1 10,100
382,183 7,211 X 5 7,211
METTLER Equity 592688105 11,497,200 442,200 X 2 207,200
TOLEDO INTL
COM
X 2 235,000
79,508 3,058 X 5 3,058
METZLER Equity 592903108 6,487,600 231,700 X 2 224,800
GROUP INC COM
X 2 6,900
93,436 3,337 X 5 3,337
MICHAEL FOOD Equity 594079105 9,921,600 413,400 X 1 357,100
INC NEW COM
X 1 56,300
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 54 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
7,660,800 319,200 X 3 172,200
X 3 147,000
19,056 794 X 5 794
MICREL INC COM Equity 594793101 449,402 6,073 X 5 6,073
MICROSOFT Equity 594918104 67,842,000 753,800 X 1 733,400
CORP COM
X 1 20,400
66,541,320 739,348 X 2 632,148
X 2 107,200
72,503,820 805,598 X 5 805,598
91,557,000 1,017,300 X 7 1,017,300
MICROCHIP Equity 595017104 406,456 8,648 X 5 8,648
TECHNOLOGY
COM
MICRO FINANCIAL Equity 595072109 4,075,400 291,100 X 2 227,300
X 2 63,800
MICROMUSE INC Equity 595094103 26,650,000 533,000 X 2 501,100
COM
X 2 31,900
120,050 2,401 X 5 2,401
4,500,000 90,000 X 7 90,000
MICRON Equity 595112103 1,024,000 25,600 X 2 25,600
TECHNOLOGY
INC COM
1,298,960 32,474 X 5 32,474
23,292,000 582,300 X 7 582,300
MID ATLANTIC Equity 59523C107 48,000 4,800 X 5 4,800
MED SVCS COM
8,134,000 813,400 X 7 813,400
MIDAMERN Equity 59562V107 322,000 9,200 X 2 9,200
ENRG HLDG
NEW COM
1,508,920 43,112 X 5 43,112
7,476,000 213,600 X 7 213,600
MIDWEST Equity 597911106 4,188,800 123,200 X 1 107,000
EXPRESS
HOLDINGS
X 1 16,200
85,000 2,500 X 5 2,500
MILLER HERMAN Equity 600544100 230,538 10,978 X 5 10,978
INC COM
MINDSPRING Equity 602683104 221,188 5,027 X 5 5,027
ENTERPRISES
COM
MINERALS Equity 603158106 351,120 6,270 X 5 6,270
TECHNOLOGIES
MINIMED INC COM Equity 60365K108 8,470,000 110,000 X 2 110,000
209,671 2,723 X 5 2,723
28,466,900 369,700 X 7 369,700
MINNESOTA MNG Equity 604059105 1,305 15 X 2 15
& MFG CO COM
6,529,959 75,057 X 5 75,057
1,722,225,900 19,795,700 X 6 17,458,770
X 6 2,336,930
MINNESOTA Equity 604110106 27,473,640 1,373,682 X 1 1,253,182
PWR & LT CO
COM
X 1 120,500
172,940 8,647 X 5 8,647
MIPS Equity 604567107 5,184,000 108,000 X 2 94,800
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 55 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
TECHNOLOGY
INC.
X 2 13,200
MIRAGE Equity 60462E104 207,043 12,179 X 5 12,179
RESORTS INC
COM
683,400 40,200 X 7 40,200
MITCHELL Equity 606592301 7,867,800 437,100 X 3 225,000
ENERGY & DEV
X 3 12,100
MOBIL CORP COM Equity 607059102 26,037 263 X 2 263
48,135,582 486,218 X 3 330,768
X 3 55,450
38,712,762 391,038 X 5 391,038
32,071,842 323,958 X 6 33,358
X 6 90,600
MODIS Equity 607830106 155,344 11,096 X 5 11,096
PROFESSIONAL
SERVICES
MOHAWK INDS Equity 608190104 30,111,000 1,003,700 X 1 977,300
INC COM
X 1 26,400
335,820 11,194 X 5 11,194
MOLEX INC COM Equity 608554101 520,035 14,055 X 5 14,055
11,100,000 300,000 X 7 300,000
MONACO COACH Equity 60886R103 6,333,600 226,200 X 1 195,150
CORP COM
X 1 31,050
7,952,000 284,000 X 2 284,000
80,528 2,876 X 5 2,876
MONSANTO CO Equity 611662107 8,680 217 X 2 217
COM
4,498,520 112,463 X 5 112,463
1,382,950,520 34,573,763 X 6 2 73,010
X 6 7,500,753
MONTANA Equity 612085100 4,585,000 65,500 X 2 42,600
POWER CO COM
X 2 22,900
533,400 7,620 X 5 7,620
17,500,000 250,000 X 7 250,000
MORGAN J P & Equity 616880100 14,980,000 107,000 X 3 40,300
CO INC COM
X 3 66,700
8,480,360 60,574 X 5 60,574
MORGAN STAN Equity 617446448 18,776,900 182,300 X 1 177,400
DEAN WITTR
COM NEW
X 1 4,900
29,376,527 285,209 X 5 285,209
73,496,062 713,554 X 6 401,194
X 6 312,360
83,762,175 813,225 X 7 813,225
MORTONS Equity 619429103 5,226,900 275,100 X 1 275,100
RESTAURANT
GROUP INCCOM
MOTIVEPOWER Equity 61980K101 8,347,500 463,750 X 1 400,750
INDS INC COM
X 1 63,000
7,957,800 442,100 X 2 442,100
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 56 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
630 35 X 5 35
MOTOROLA INC Equity 620076109 41,211,000 433,800 X 1 422,800
COM
X 1 11,000
66,671,000 701,800 X 2 600,300
X 2 101,500
12,429,230 130,834 X 5 130,834
966,363,370 10,172,246 X 6 7,946,961
X 6 2,225,285
78,669,500 828,100 X 7 828,100
MOVADO GROUP Equity 624580106 15,225,912 585,612 X 1 535,512
INC COM
X 1 50,100
8,892 342 X 5 342
MUELLER INDS Equity 624756102 4,097,000 120,500 X 1 104,500
INC COM
X 1 16,000
183,294 5,391 X 5 5,391
MULTEX.COM Equity 625367107 4,290,000 165,000 X 7 165,000
MURPHY OIL Equity 626717102 265,874 5,426 X 5 5,426
CORP COM
MUTUAL RISK Equity 628351108 28,435,671 861,687 X 1 783,721
MGMT LTD COM
X 1 77,966
928,191 28,127 X 5 28,127
MYLAN LABS INC Equity 628530107 6,310,200 242,700 X 3 187,800
COM
X 3 54,900
516,048 19,848 X 5 19,848
NCR CORP NEW Equity 62886E108 33,700,681 687,769 X 1 630,969
COM
X 1 56,800
2,023,210 41,290 X 5 41,290
NEC CORP - Equity 629050204 844,200 13,400 X 2 13,400
SPONSORED ADR
NTL INC COM Equity 629407107 634,938 7,383 X 5 7,383
NVR INC COM Equity 62944T105 8,725,600 167,800 X 1 145,500
X 1 22,300
31,148 599 X 5 599
NABISCO GROUP Equity 62952P102 994,380 49,719 X 5 49,719
HLDG CP COM
NABORS INDS Equity 629568106 734,400 30,600 X 2 30,600
INC COM
352,272 14,678 X 5 14,678
16,365,600 681,900 X 7 681,900
NASH FINCH CO Equity 631158102 4,608,000 460,800 X 3 285,100
COM
X 3 175,700
6,060 606 X 5 606
National Equity 632525309 435,000 14,500 X 4 14,500
Australia
Bank Conv. Pf
NATIONAL CITY Equity 635405103 13,059,618 197,873 X 5 197,873
CORP COM
NATIONAL Equity 635519101 9,010,000 265,000 X 2 265,000
COMPUTER SYS
COM
308,516 9,074 X 5 9,074
6,060,296 178,244 X 6 178,244
NATIONAL DATA Equity 635621105 421,228 9,796 X 5 9,796
CORP COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 57 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
NATIONAL FUEL Equity 636180101 6,825,600 142,200 X 3 76,200
GAS N J COM
X 3 66,000
292,464 6,093 X 5 6,093
NATIONAL GOLF Equity 63623G109 6,691,200 278,800 X 3 149,900
PPTYS COM
X 3 128,900
4,896 204 X 5 204
NATIONAL R V Equity 637277104 9,288,000 387,000 X 2 42,000
HLDGS COM
X 2 345,000
13,152 548 X 5 548
NATIONAL Equity 637640103 31,992,500 1,279,700 X 2 1,056,000
SEMICONDUCTOR
COM
X 2 223,700
404,975 16,199 X 5 16,199
500,000 20,000 X 6 20,000
NATIONAL SVC Equity 637657107 249,480 6,930 X 5 6,930
INDS INC COM
NATIONWIDE Equity 638612101 976,140 21,692 X 5 21,692
FINL SVCS CL A
NAVISTAR INTL Equity 63934E108 8,790,900 175,818 X 5 175,818
CORP NEW COM
750,000 15,000 X 6 15,000
NETWORKS Equity 640938106 245,835 16,389 X 5 16,389
ASSOCS INC COM
NETWORK Equity 64120L104 620,368 11,078 X 5 11,078
APPLIANCE INC
COM
14,000,000 250,000 X 7 250,000
NETWORK Equity 64120S109 3,900,000 300,000 X 2 300,000
ACCESS
SOLUTIONS CRP
NEVADA POWER Equity 641423108 238,600 9,544 X 5 9,544
CO COM
NEW CENTURY Equity 64352U103 1,387,308 35,572 X 5 35,572
ENERGIES COM
NEW ENGLAND Equity 644001109 571,250 11,425 X 5 11,425
ELEC SYS COM
NEW ERA OF Equity 644312100 6,996,000 159,000 X 1 138,000
NETWORKS COM
X 1 21,000
96,800 2,200 X 5 2,200
5,412,000 123,000 X 7 123,000
NEW PLAN RLTY Equity 648053106 6,055,560 336,420 X 3 178,800
TR SH BEN INT
X 3 157,620
79,056 4,392 X 5 4,392
NEW YORK Equity 650111107 43,737,700 1,182,100 X 1 1,150,300
TIMES CO CL A
X 1 31,800
5,591,181 151,113 X 5 151,113
Newell Equity 651195307 515,200 9,200 X 4 9,200
Financial
Trust Conv. Pfd
NEWELL Equity 651229106 1,151,242 25,027 X 5 25,027
RUBBERMAID
INC COM
NEWFIELD EXPL Equity 651290108 8,506,400 303,800 X 2 257,100
CO COM
X 2 46,700
228,452 8,159 X 5 8,159
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 58 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
7,100,800 253,600 X 7 253,600
NEWMONT Equity 651639106 228,700 11,435 X 5 11,435
MINING CORP
COM
NEWPARK RES Equity 651718504 740,700 82,300 X 2 46,900
INC COM PAR
$.01NEW
X 2 5,400
67,743 7,527 X 5 7,527
NEWPORT NEWS Equity 652228107 8,646,000 288,200 X 1 274,600
SHIPBLDG COM
X 1 13,600
7,353,000 245,100 X 3 130,300
X 3 114,800
284,760 9,492 X 5 9,492
NEXTCARD INC Equity 65332K107 2,080,800 61,200 X 2 61,200
NEXTEL Equity 65332V103 1,748,050 34,961 X 5 34,961
COMMUNICATION
CL A
NEXTLINK Equity 65333H707 328,486 4,439 X 5 4,439
COMMUNICATION
CL A
11,100,000 150,000 X 7 150,000
NIAGARA Equity 653520106 469,424 29,339 X 5 29,339
MOHAWK
HOLDINGS INC
5,190,400 324,400 X 7 324,400
NICHOLS Equity 653818104 20,602,230 936,465 X 6 936,465
RESEARCH CORP
NIELSEN MEDIA Equity 653929307 18,565,800 640,200 X 2 512,200
RESH INC COM
X 2 128,000
293,944 10,136 X 5 10,136
NICOR INC COM Equity 654086107 46,753,300 1,230,350 X 3 834,950
X 3 395,400
267,862 7,049 X 5 7,049
NIKE INC CL B Equity 654106103 39,967,200 634,400 X 2 540,600
X 2 93,800
1,676,304 26,608 X 5 26,608
99 CENTS ONLY Equity 65440K106 15,665,000 313,300 X 2 202,200
STORES COM
X 2 111,100
110,300 2,206 X 5 2,206
NISOURCE INC Equity 65473P105 26,200,018 1,007,693 X 1 922,193
COM
X 1 85,500
729,638 28,063 X 5 28,063
NOKIA CORP Equity 654902204 1,288,000 14,000 X 2 14,000
SPON ADR
63,465,464 689,842 X 6 239,842
X 6 450,000
79,561,600 864,800 X 7 864,800
NOBLE DRILLING Equity 655042109 3,558,000 177,900 X 2 114,300
CORP COM
X 2 63,600
262,660 13,133 X 5 13,133
19,320,000 966,000 X 6 730,900
X 6 235,100
NORDSTROM INC Equity 655664100 1,433,270 42,155 X 5 42,155
COM
20,400,000 600,000 X 6 600,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 59 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
NORFOLK Equity 655844108 1,666,980 55,566 X 5 55,566
SOUTHERN
CORP COM
NORRELL CORP Equity 656301108 6,946,400 365,600 X 3 195,600
GA COM
X 3 170,000
31,749 1,671 X 5 1,671
NORSK HYDRO A Equity 656531605 281,200 7,400 X 2 7,400
S SPONS ADR
4,807,000 126,500 X 7 126,500
NORTEL Equity 656569100 23,316 268 X 2 268
NETWORKS
4,953,693 56,939 X 5 56,939
NORTH FORK Equity 659424105 1,190,616 56,696 X 5 56,696
BANCORP NY
COM
NORTHEAST Equity 664397106 577,638 32,091 X 5 32,091
UTILS COM
NORTHN STS Equity 665772109 532,968 22,207 X 5 22,207
PWR MINN COM
NORTHERN TR Equity 665859104 5,334,515 54,995 X 5 54,995
CORP COM
NORTHROP Equity 666807102 16,341,600 247,600 X 3 198,800
GRUMMAN CORP
COM
X 3 48,800
934,626 14,161 X 5 14,161
NORTHWEST Equity 667280101 28,496,000 890,500 X 2 740,800
AIRLS CORP CL A
X 2 149,700
36,768 1,149 X 5 1,149
NOVA CORP GA Equity 669784100 227,275 9,091 X 5 9,091
COM
NOVELL INC COM Equity 670006105 1,647,776 63,376 X 5 63,376
13,000,000 500,000 X 7 500,000
NOVELLUS SYS Equity 670008101 484,636 7,127 X 5 7,127
INC COM
NOVOSTE CORP Equity 67010C100 10,472,700 498,700 X 2 411,600
COM
X 2 87,100
6,300 300 X 5 300
NUCOR CORP Equity 670346105 460,365 9,795 X 5 9,795
COM
NUEVO ENERGY Equity 670509108 2,522 194 X 5 194
CO COM
419,120 32,240 X 6 32,240
OAK INDS INC Equity 671400505 12,469,600 283,400 X 2 267,400
COM NEW
X 2 16,000
188,320 4,280 X 5 4,280
7,541,600 171,400 X 6 130,400
X 6 41,000
OCCIDENTAL Equity 674599105 9,975,000 475,000 X 1 436,000
PETE CP DEL
COM
X 1 39,000
5,712 272 X 2 272
893,823 42,563 X 5 42,563
OCEAN ENERGY Equity 67481E106 8,655,000 865,500 X 2 401,200
INC COM NEW
X 2 464,300
102,160 10,216 X 5 10,216
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 60 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
10,956,000 1,095,600 X 7 1,095,600
OCWEN ASSET Equity 67574M106 64,660 16,165 X 5 16,165
INVESTMENT
OFFICE DEPOT Equity 676220106 5,071,198 230,509 X 5 230,509
INC COM
OFFICEMAX INC Equity 67622M108 160,128 13,344 X 5 13,344
COM
OGDEN CORP Equity 676346109 978,777 36,251 X 5 36,251
COM
OHIO CAS CORP Equity 677240103 12,357,000 686,500 X 3 271,400
COM
X 3 415,100
4,158 231 X 5 231
OLD KENT FINL Equity 679833103 2,686,530 63,965 X 5 63,965
CORP COM
OLD REP INTL Equity 680223104 56,151 3,303 X 5 3,303
CORP COM
1,045,500 61,500 X 6 55,500
X 6 6,000
OLIN CORP COM Equity 680665205 264,303 20,331 X 5 20,331
PAR $1
OLSTEN CORP Equity 681385100 70,776 11,796 X 5 11,796
COM
OMNICARE INC Equity 681904108 149,188 11,476 X 5 11,476
COM
1,300,000 100,000 X 7 100,000
OMNICOM Equity 681919106 47,208,000 590,100 X 1 574,700
GROUP INC COM
X 1 15,400
50,112,000 626,400 X 2 538,100
X 2 88,300
2,322,080 29,026 X 5 29,026
85,162,800 1,064,535 X 6 1,046,660
X 6 17,875
82,000,000 1,025,000 X 7 1,025,000
ONESOURCE Equity 68272J106 1,197,000 133,000 X 2 95,000
INFORMATION
SERVICE
X 2 38,000
OPTICAL Equity 683829105 5,661,600 67,400 X 1 58,400
COATING
LABORATORY
X 1 9,000
4,687,200 55,800 X 2 38,300
X 2 17,500
ORACLE CORP Equity 68389X105 481 13 X 2 13
COM
9,439,218 255,114 X 5 255,114
O REILLY Equity 686091109 236,400 4,728 X 5 4,728
AUTOMOTIVE
COM
ORION CAP CORP Equity 686268103 7,866,864 218,524 X 3 113,324
COM
X 3 105,200
14,976 416 X 5 416
OSHKOSH Equity 688239201 3,260,000 65,200 X 1 56,100
TRUCK CORP
COM
X 1 9,100
OSTEOTECH INC Equity 688582105 9,865,046 340,174 X 1 303,824
COM
X 1 36,350
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 61 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
OUTBACK Equity 689899102 31,547,100 808,900 X 1 741,500
STEAKHOUSE
INC COM
X 1 67,400
451,191 11,569 X 5 11,569
OUTDOOR SYS Equity 690057104 305,676 8,491 X 5 8,491
INC COM
OWENS & MINOR Equity 690732102 7,140,100 649,100 X 3 342,400
INC
X 3 306,700
55,363 5,033 X 5 5,033
OWENS Equity 69073F103 1,636,998 48,147 X 5 48,147
CORNING COM
OWENS ILL INC Equity 690768403 864,039 26,183 X 5 26,183
COM NEW
OXFORD HEALTH Equity 691471106 27,662,400 1,728,900 X 2 1,437,900
PLANS COM
X 2 291,000
229,088 14,318 X 5 14,318
3,475,200 217,200 X 7 217,200
PECO ENERGY Equity 693304107 35,523,600 845,800 X 1 823,600
CO COM
X 1 22,200
1,862,910 44,355 X 5 44,355
PG&E CORP COM Equity 69331C108 1,617,792 50,556 X 5 50,556
PE CORP COM PE Equity 69332S102 21,792,500 189,500 X 2 160,100
BIO GRP
X 2 29,400
960,020 8,348 X 5 8,348
P.F. CHANGS Equity 69333Y108 3,146,000 143,000 X 2 87,000
CHINA BISTRO
X 2 56,000
PMC-SIERRA INC Equity 69344F106 32,001,600 542,400 X 1 497,800
COM
X 1 44,600
512,710 8,690 X 5 8,690
14,160,000 240,000 X 7 240,000
PMI GROUP INC Equity 69344M101 232,722 3,694 X 5 3,694
COM
PNC BK CORP Equity 693475105 29,755,914 513,033 X 3 310,983
COM
X 3 202,050
2,224,068 38,346 X 5 38,346
P P & L RES INC Equity 693499105 502,510 16,210 X 5 16,210
COM
PPG INDS INC Equity 693506107 1,163,008 19,712 X 5 19,712
COM
PSS WORLD MED Equity 69366A100 167,673 15,243 X 5 15,243
PXRE CORP COM Equity 693674103 6,244,200 346,900 X 3 220,000
X 3 126,900
18,828 1,046 X 5 1,046
PACCAR INC COM Equity 693718108 11,876,876 224,092 X 5 224,092
PACIFIC CENTY Equity 694058108 220,000 10,000 X 2 10,000
FINL CP COM
45,078 2,049 X 5 2,049
6,787,000 308,500 X 7 308,500
PACIFIC Equity 694873100 122,688 5,112 X 5 5,112
SUNWEAR CA
INC COM
6,685,200 278,550 X 7 278,550
PACIFICARE HLT Equity 695112102 10,648,800 147,900 X 1 135,700
SYS DEL COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 62 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 12,200
288,000 4,000 X 2 4,000
3,091,248 42,934 X 5 42,934
7,344,000 102,000 X 7 102,000
PACIFICORP COM Equity 695114108 679,716 37,762 X 5 37,762
PAINE WEBBER Equity 695629105 4,685,148 99,684 X 5 99,684
GROUP INC COM
PAIRGAIN Equity 695934109 9,991,200 832,600 X 2 574,900
TECHNOLOGIES
COM
X 2 257,700
147,528 12,294 X 5 12,294
PAPA JOHNS Equity 698813102 242,055 5,379 X 5 5,379
INTL INC COM
PARAMETRIC Equity 699173100 1,415,848 101,132 X 5 101,132
TECH CORP COM
PAREXEL INTL Equity 699462107 69,420 5,340 X 5 5,340
CORP COM
1,501,500 115,500 X 7 115,500
PARKER Equity 701094104 865,306 18,811 X 5 18,811
HANNIFIN CORP
COM
PARKWAY PPTYS Equity 70159Q104 7,580,100 229,700 X 1 198,600
INC SHS
X 1 31,100
PATTERSON Equity 703412106 226,625 6,475 X 5 6,475
DENTAL CO COM
PAXAR CORP Equity 704227107 486 54 X 5 54
COM
15,631,236 1,736,804 X 6 1,736,804
PAYCHEX INC Equity 704326107 2,961,024 92,532 X 5 92,532
COM
50,786,400 1,587,075 X 7 1,587,075
PAYLESS Equity 704379106 1,325,430 24,545 X 5 24,545
SHOESOURCE
INC COM
PENN VA CORP Equity 707882106 1,586,000 79,300 X 3 79,300
COM
14,140 707 X 5 707
PENNEY J C INC Equity 708160106 14,611,065 298,185 X 3 112,635
COM
X 3 185,550
1,808,590 36,910 X 5 36,910
PENTAIR INC COM Equity 709631105 1,102,022 23,957 X 5 23,957
PEOPLES Equity 711030106 13,152,370 346,115 X 3 135,690
ENERGY CORP
COM
X 3 210,425
236,816 6,232 X 5 6,232
PEOPLES Equity 711147108 26,919,428 1,416,812 X 1 1,271,012
HERITAGE FINL
COM
X 1 145,800
24,624 1,296 X 5 1,296
PEOPLESOFT INC Equity 712713106 680,000 40,000 X 2 40,000
COM
977,551 57,503 X 5 57,503
PEPSICO INC COM Equity 713448108 8,034 206 X 2 206
7,202,520 184,680 X 5 184,680
3,872,700 99,300 X 6 75,600
X 6 23,700
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 63 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
PEREGRINE Equity 71366Q101 8,842,600 340,100 X 7 340,100
SYSTEMS INC
PERFORMANCE Equity 713755106 80,892 2,996 X 5 2,996
FOOD GROUP
COM
2,231,577 82,651 X 6 82,651
6,650,100 246,300 X 7 246,300
PERRIGO CO COM Equity 714290103 156,000 19,500 X 5 19,500
PHARMACYCLICS Equity 716933106 6,860,000 245,000 X 2 214,900
INC COM X 2 30,100
24,164 863 X 5 863
PHARMACIA & Equity 716941109 10,317 181 X 2 181
UPJOHN INC COM
6,103,503 107,079 X 5 107,079
PFIZER INC COM Equity 717081103 24,864,426 228,114 X 5 228,114
PHELPS DODGE Equity 717265102 259,284 4,182 X 5 4,182
CORP COM
PHILADELPHIA Equity 718009608 3,450,000 150,000 X 2 150,000
SUBN CORP COM
PAR $
187,933 8,171 X 5 8,171
PHILIP MORRIS Equity 718154107 216,000 5,400 X 2 5,400
COS INC COM
23,068,720 576,718 X 5 576,718
74,620,640 1,865,516 X 6 1,370,911
X 6 494,605
5,888,000 147,200 X 7 147,200
PHILLIPS PETE Equity 718507106 1,811,850 36,237 X 5 36,237
CO COM
PHYMATRIX Equity 718925100 28,600 14,300 X 5 14,300
PHOTRONICS INC Equity 719405102 6,856,800 285,700 X 2 277,500
COM X 2 8,200
133,488 5,562 X 5 5,562
PILGRIMS PRIDE Equity 721467108 3,900,000 130,000 X 1 130,000
CORP COM
10,467,000 348,900 X 3 193,700
X 3 155,200
15,930 531 X 5 531
PILLOWTEX Equity 721501104 32,320 2,020 X 5 2,020
CORP COM
8,109,904 506,869 X 6 506,869
PINNACLE Equity 72346N101 8,983,200 374,300 X 7 374,300
HOLDINGS INC
PINNACLE Equity 723481107 10,356,400 304,600 X 2 187,200
SYSTEMS INC X 2 117,400
330,888 9,732 X 5 9,732
PINNACLE WEST Equity 723484101 289,440 7,236 X 5 7,236
CAP CORP COM
PIONEER HI Equity 723686101 1,687,296 43,264 X 5 43,264
BRED INTL COM
PIONEER NAT Equity 723787107 112,981 10,271 X 5 10,271
RES CO COM
PIONEER STD Equity 723877106 552 46 X 5 46
ELECTRS COM
144,000 12,000 X 6 12,000
PITNEY BOWES Equity 724479100 30,118,400 470,600 X 2 400,700
INC COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 64 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 2 69,900
2,555,008 39,922 X 5 39,922
PITTWAY CORP Equity 725790208 241,366 7,099 X 5 7,099
DEL CL A
PLACER DOME Equity 725906101 668,544 55,712 X 5 55,712
INC COM
PLATINUM Equity 72764T101 327,671 11,299 X 5 11,299
TECHNOLOGY
COM
POLICY MGMT Equity 731108106 209,490 6,983 X 5 6,983
SYS CORP COM
15,143,910 504,797 X 6 504,797
POLYCOM INC Equity 73172K104 39,795,600 1,020,400 X 2 783,500
COM
X 2 236,900
234 6 X 5 6
POPULAR INC Equity 733174106 4,532,940 151,098 X 5 151,098
COM
POTLATCH CORP Equity 737628107 401,456 9,124 X 5 9,124
COM
POTOMAC ELEC Equity 737679100 587,569 20,261 X 5 20,261
PWR CO COM
POWER Equity 739276103 5,898,400 80,800 X 1 70,200
INTEGRATIONS
INC.
X 1 10,600
26,061,000 357,000 X 2 203,700
X 2 153,300
POWERTEL INC Equity 73936C109 4,200,000 140,000 X 2 140,000
COM
16,170 539 X 5 539
4,671,000 155,700 X 7 155,700
PRAXAIR INC COM Equity 74005P104 652,582 13,318 X 5 13,318
PRE PAID LEGAL Equity 740065107 2,667,600 98,800 X 2 60,200
SVCS COM
X 2 38,600
113,643 4,209 X 5 4,209
PRECISION Equity 740189105 7,627,200 181,600 X 3 95,500
CASTPARTS CP
COM
X 3 86,100
78,078 1,859 X 5 1,859
14,898,660 354,730 X 6 354,730
PREMARK INTL Equity 740459102 37,277,582 980,989 X 1 902,389
INC COM
X 1 78,600
322,544 8,488 X 5 8,488
PREMIER NATL Equity 74053F107 5,491,140 274,557 X 1 274,557
BANCORP INC
COM
PREMIER PKS Equity 740540208 1,436,266 38,818 X 5 38,818
INC COM NEW
12,957,400 350,200 X 7 350,200
PRENTISS PPTYS Equity 740706106 10,516,800 438,200 X 1 379,200
TR SH B
X 1 59,000
PRESIDENTIAL Equity 740884101 7,422,000 371,100 X 3 181,500
LIFE COR
X 3 189,600
PRICE Equity 741444202 155,911 22,273 X 5 22,273
ENTERPRISES
INC COM NEW
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 65 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
PRICE T ROWE & Equity 741477103 2,186,748 57,546 X 5 57,546
ASSOC COM
PRIMUS Equity 741929103 5,902,600 268,300 X 2 268,300
TELECOM
GROUP COM
133,496 6,068 X 5 6,068
PRIORITY Equity 74264T102 13,573,072 399,208 X 2 266,208
HEALTHCARE CL
B
X 2 133,000
48,280 1,420 X 5 1,420
PROCTER & Equity 742718109 10,324 116 X 2 116
GAMBLE CO COM
18,950,325 212,925 X 5 212,925
4,832,255 54,295 X 6 41,595
X 6 12,700
PROFIT Equity 743168106 12,863,900 273,700 X 2 172,200
RECOVERY
GROUP COM
X 2 101,500
49,726 1,058 X 5 1,058
PROGRESSIVE Equity 743315103 2,054,505 14,169 X 5 14,169
CORP OHIO COM
PROLOGIS TR SH Equity 743410102 438,800 21,940 X 5 21,940
BEN INT
21,539,840 1,076,992 X 6 880,531
X 6 196,461
PROMUS HOTEL Equity 74342P106 228,005 7,355 X 5 7,355
CORP COM
PROTECTIVE Equity 743674103 39,211,452 1,153,278 X 1 1,045,478
LIFE CORP COM
X 1 107,800
153,782 4,523 X 5 4,523
1,351,500 39,750 X 6 39,750
Protective Life Equity 743674202 348,000 6,000 X 4 6,000
Trust Conv. Pfd.
PROVIDENCE & Equity 743737108 3,291,400 235,100 X 1 235,100
WORCESTER RR
COCOM
PROVIDENT Equity 743859100 3,883,918 168,866 X 1 168,866
BANKSHARES
COM
34,730 1,510 X 5 1,510
PROVIDENT COS Equity 743862104 519,720 12,993 X 5 12,993
INC COM
PROVIDENT FINL Equity 743866105 1,232,968 28,022 X 5 28,022
GROUP COM
PROVINCE Equity 743977100 2,000,000 100,000 X 7 100,000
HEALTHCARE CO
PROVIDIAN FINL Equity 74406A102 24,884,847 267,579 X 1 245,429
CORP COM
X 1 22,150
3,599,100 38,700 X 2 27,300
X 2 11,400
2,590,794 27,858 X 5 27,858
13,950,000 150,000 X 7 150,000
PROXIM INC COM Equity 744284100 18,281,600 315,200 X 2 218,800
X 2 96,400
156,600 2,700 X 5 2,700
PSINET INC COM Equity 74437C101 29,752,800 676,200 X 2 508,500
X 2 167,700
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 66 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
142,560 3,240 X 5 3,240
8,800,000 200,000 X 7 200,000
PUBLIC SVC CO N Equity 744499104 7,080,000 354,000 X 3 195,300
MEX COM
X 3 158,700
251,340 12,567 X 5 12,567
PUBLIC SVC Equity 744573106 46,178,546 1,126,306 X 3 769,056
ENTERPRISE
COM
X 3 357,250
2,935,272 71,592 X 5 71,592
PUGET SOUND Equity 745332106 357,072 14,878 X 5 14,878
ENERGY INC COM
PULTE CORP COM Equity 745867101 25,836,084 1,123,308 X 1 1,032,508
X 1 90,800
157,435 6,845 X 5 6,845
QLT Equity 746927102 12,375,000 225,000 X 7 225,000
PHOTOTHERAPE
INC
QLOGIC CORP Equity 747277101 41,540,400 314,700 X 2 302,500
COM
X 2 12,200
473,220 3,585 X 5 3,585
QUAKER OATS Equity 747402105 7,885,218 119,473 X 5 119,473
CO COM
QUALCOMM INC Equity 747525103 23,486,400 163,100 X 1 158,500
COM
X 1 4,600
12,816,000 89,000 X 2 64,400
X 2 24,600
3,267,360 22,690 X 5 22,690
QUANTA Equity 74762E102 14,229,600 323,400 X 2 213,400
SERVICES INC.
X 2 110,000
QUANTUM CORP Equity 747906105 542,928 22,622 X 5 22,622
COM
QUIKSILVER INC Equity 74838C106 14,644,500 563,250 X 2 468,350
COM
X 2 94,900
160,862 6,187 X 5 6,187
QUINTILES Equity 748767100 491,064 11,692 X 5 11,692
TRANSNATIONL
COM
QUIXOTE CORP Equity 749056107 3,992,400 332,700 X 1 332,700
QUORUM Equity 749084109 195,052 15,004 X 5 15,004
HEALTH GRP INC
COM
QWEST Equity 749121109 833,085 25,245 X 5 25,245
COMMUNICATION
COM
R & B FALCON Equity 74912E101 315,000 35,000 X 2 35,000
CORP
41,814 4,646 X 5 4,646
4,294,395 477,155 X 6 357,455
X 6 119,700
5,989,500 665,500 X 7 665,500
RCN CORP COM Equity 749361101 232,764 5,542 X 5 5,542
RFS HOTEL INVS Equity 74955J108 151,879 11,683 X 5 11,683
INC COM
RF MICRO Equity 749941100 20,467,500 272,900 X 2 255,000
DEVICES INC
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 67 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 2 17,900
22,500,000 300,000 X 7 300,000
RADIAN GROUP Equity 750236101 984,116 20,084 X 5 20,084
INC COM
RAILAMERICA Equity 750753105 2,950,000 295,000 X 1 295,000
INC COM
RAMBUS INC DEL Equity 750917106 197,800 2,150 X 5 2,150
COM
16,100,000 175,000 X 7 175,000
RALCORP HLDGS Equity 751028101 174,112 10,882 X 5 10,882
INC NEW COM
RALSTON Equity 751277302 5,280 176 X 2 176
PURINA CO COM
RAL-PUR GP
915,180 30,506 X 5 30,506
RARE Equity 753820109 3,070,600 118,100 X 1 118,100
HOSPITALITY
INTL INC
6,099,600 234,600 X 2 199,600
X 2 35,000
RATIONAL Equity 75409P202 660,000 20,000 X 2 20,000
SOFTWARE
CORP COM NEW
510,477 15,469 X 5 15,469
RAYCHEM CORP Equity 754603108 440,707 11,911 X 5 11,911
DEL COM
RAYMOND Equity 754730109 7,456,800 310,700 X 3 165,500
JAMES FINL INC
COM
X 3 145,200
80,064 3,336 X 5 3,336
RAYONIER INC Equity 754907103 430,000 8,600 X 2 8,600
COM
255,850 5,117 X 5 5,117
7,335,000 146,700 X 7 146,700
RAYTHEON CO Equity 755111309 966 14 X 2 14
CL A
294,354 4,266 X 5 4,266
57,370,395 831,455 X 6 734,280
X 6 97,175
RAYTHEON CO Equity 755111408 12,950 185 X 2 185
CL B
6,632,360 94,748 X 5 94,748
309,574,230 4,422,489 X 6 3,070,144
X 6 1,352,345
READERS Equity 755267101 31,916,000 797,900 X 1 731,500
DIGEST ASSN CL
A NON VTG
X 1 66,400
2,656,000 66,400 X 2 43,400
X 2 23,000
269,120 6,728 X 5 6,728
REED Equity 758212872 29,363,850 1,087,550 X 6 707,550
INTERNATIONAL
PLC SPONSORED
X 6 380,000
REGIONS FINL Equity 758940100 995,144 26,188 X 5 26,188
CORP COM
REINSURANCE Equity 759351109 4,610,375 131,725 X 1 114,475
GROUP AMER
COM
X 1 17,250
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 68 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
99,225 2,835 X 5 2,835
RELIANCE Equity 759464100 81,998 11,714 X 5 11,714
GROUP HLDGS
COM
RELIANT ENERGY Equity 75952J108 1,244,488 44,446 X 5 44,446
RELIASTAR FINL Equity 75952U103 462,836 10,519 X 5 10,519
CORP COM
RENAL CARE Equity 759930100 239,902 9,227 X 5 9,227
GROUP INC COM
17,183,400 660,900 X 7 660,900
RENT-A-CENTER Equity 76009N100 9,362,400 390,100 X 1 337,400
INC
X 1 52,700
190,920 7,955 X 5 7,955
RENT WAY INC Equity 76009U104 8,910,000 356,400 X 2 356,400
COM
70,250 2,810 X 5 2,810
REPSOL SA ADR Equity 76026T205 31,586,380 1,579,319 X 3 977,919
X 3 601,400
REPUBLIC Equity 760282103 156,960 10,464 X 5 10,464
BANCORP INC
COM
REPUBLIC N Y Equity 760719104 33,122,800 487,100 X 3 285,300
CORP COM
X 3 201,800
1,318,044 19,383 X 5 19,383
RES-CARE INC Equity 760943100 7,323,200 318,400 X 7 318,400
RESEARCH IN Equity 760975102 2,788,000 139,400 X 2 96,900
MOTION
X 2 42,500
RESMED INC COM Equity 761152107 10,490,700 317,900 X 2 221,900
X 2 96,000
122,199 3,703 X 5 3,703
RESOURCE Equity 761195205 258,748 18,482 X 5 18,482
AMERICA INC
CL A
REX Stores
Corp. Equity 761624105 1,551,000 51,700 X 1 51,700
REYNOLDS & Equity 761695105 31,920,803 1,387,861 X 1 1,269,461
REYNOLDS CO
CL A
X 1 118,400
325,611 14,157 X 5 14,157
REYNOLDS Equity 761763101 70,800 1,200 X 2 1,200
METALS CO COM
394,415 6,685 X 5 6,685
1,215,400 20,600 X 7 20,600
REYNOLDS R J Equity 76182K105 12,921,056 403,783 X 3 168,500
TOB HLDGS COM
X 3 235,283
396,096 12,378 X 5 12,378
RITE AID CORP Equity 767754104 275,000 11,000 X 2 11,000
COM
638,875 25,555 X 5 25,555
5,762,500 230,500 X 7 230,500
RIVIANA FOODS Equity 769536103 746,700 39,300 X 3 39,300
INC
3,800 200 X 5 200
ROADHOUSE Equity 769725102 1,200,000 200,000 X 1 200,000
GRILL INC
COM
ROBERT HALF Equity 770323103 288,080 11,080 X 5 11,080
INTL INC COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 69 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
ROBERTS Equity 770491108 6,319,200 263,300 X 1 228,800
PHARMACEUTICA
COM
X 1 34,500
140,976 5,874 X 5 5,874
ROCHESTER GAS Equity 771367109 6,579,900 243,700 X 3 127,600
& ELEC COM
X 3 116,100
46,440 1,720 X 5 1,720
ROCK OF AGES Equity 772632105 1,081,000 108,100 X 1 108,100
CORP DEL
COM
ROCKWELL INTL Equity 773903109 29,804,600 488,600 X 1 464,100
CORP NEW COM
X 1 24,500
1,035,719 16,979 X 5 16,979
645,037,485 10,574,385 X 6 8,958,990
X 6 1,615,395
ROGERS CANTEL Equity 775102205 3,331,200 208,200 X 2 137,100
MOBILE COMM-B
X 2 71,100
ROHM & HAAS CO Equity 775371107 3,302,357 76,799 X 5 76,799
COM
ROLLINS TRUCK Equity 775741101 6,851,900 622,900 X 3 317,400
LEASING COM
X 3 305,500
116,424 10,584 X 5 10,584
ROPER INDS INC Equity 776696106 201,792 6,306 X 5 6,306
NEW COM
ROSS STORES Equity 778296103 3,415,000 68,300 X 2 48,800
INC COM
X 2 19,500
589,600 11,792 X 5 11,792
ROWAN COS INC Equity 779382100 331,200 18,400 X 2 18,400
COM
511,866 28,437 X 5 28,437
14,691,600 816,200 X 7 816,200
ROWE Equity 779528108 1,867,000 186,700 X 1 186,700
FURNITURE
CORP COM
ROYAL DUTCH Equity 780257804 38,622,000 643,700 X 1 627,100
PETE CO NY REG
GLD1.
X 1 16,600
262,200 4,370 X 5 4,370
RUBIOS Equity 78116B102 1,192,500 79,500 X 2 79,500
RESTAURANTS
INC
RUBY TUESDAY Equity 781182100 10,603,900 558,100 X 1 484,400
INC COM
X 1 73,700
45,809 2,411 X 5 2,411
RUDDICK CORP Equity 781258108 145,120 7,256 X 5 7,256
COM
3,255,340 162,767 X 6 162,767
RUSH Equity 781846100 2,075,200 129,700 X 1 129,700
ENTERPISES INC
COM
RUSS BERRIE & Equity 782233100 7,090,000 283,600 X 3 156,700
CO COM
X 3 126,900
61,700 2,468 X 5 2,468
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 70 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
RYDER SYS INC Equity 783549108 227,162 8,737 X 5 8,737
COM
RYLAND GROUP Equity 783764103 7,884,000 262,800 X 2 147,400
INC COM
X 2 115,400
45,480 1,516 X 5 1,516
SBC Equity 78387G103 40,640,600 700,700 X 1 683,400
COMMUNICATION
INC COM
X 1 17,300
36,045,434 621,473 X 5 621,473
624,544 10,768 X 6 10,768
SCI SYS INC COM Equity 783890106 418,723 8,909 X 5 8,909
SDL INC COM Equity 784076101 9,690,000 190,000 X 2 190,000
200,124 3,924 X 5 3,924
SEI Equity 784117103 8,025,600 91,200 X 1 79,200
INVESTMENTS
CO COM
X 1 12,000
317,768 3,611 X 5 3,611
SFX ENTMT INC Equity 784178105 102,144 1,596 X 5 1,596
CL A
26,672,640 416,760 X 7 416,760
SLM HLDG CORP Equity 78442A109 1,048,892 22,802 X 5 22,802
COM
SPS Equity 784626103 44,460 1,170 X 5 1,170
TECHNOLOGIES
INC COM
10,897,526 286,777 X 6 286,777
SPX CORP COM Equity 784635104 7,308,000 87,000 X 2 61,600
X 2 25,400
7,135,464 84,946 X 5 84,946
SABRE GROUP Equity 785905100 128,892 1,868 X 5 1,868
HLDGS INC CL A
50,629,992 733,768 X 6 584,368
X 6 149,400
SAFECO CORP Equity 786429100 6,703,312 152,348 X 5 152,348
COM
SAFEGUARD Equity 786449108 187,047 2,969 X 5 2,969
SCIENTIFICS COM
5,695,200 90,400 X 7 90,400
SAFESKIN CORP Equity 786454108 183,660 15,305 X 5 15,305
COM
SAFEWAY INC Equity 786514208 36,095,000 721,900 X 1 702,600
COM NEW
X 1 19,300
28,230,000 564,600 X 2 481,300
X 2 83,300
4,041,500 80,830 X 5 80,830
SAGA SYSTEMS Equity 786610105 188,773 14,521 X 5 14,521
INC
ST JUDE MED Equity 790849103 467,532 12,987 X 5 12,987
INC COM
ST MARY LD & Equity 792228108 2,564,100 122,100 X 1 122,100
EXPL CO COM
210 10 X 5 10
12,497,625 595,125 X 6 595,125
ST PAUL COS INC Equity 792860108 765,600 23,925 X 5 23,925
COM
SAKS HLDGS INC Equity 79377W10 504,629 17,401 X 5 17,401
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 71 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
SANCHEZ Equity 799702105 22,736,000 649,600 X 2 629,200
COMPUTER
ASSOC COM
X 2 20,400
2,590 74 X 5 74
SANDERSON Equity 800013104 2,345,000 167,500 X 1 167,500
FARMS INC
COM
SANMINA CORP Equity 800907107 754,832 9,932 X 5 9,932
COM
30,400,000 400,000 X 7 400,000
SANTA FE Equity 80218K105 6,723,640 840,455 X 3 488,925
SNYDER CORP
COM
X 3 351,530
119,128 14,891 X 5 14,891
SARA LEE CORP Equity 803111103 2,320,677 100,899 X 5 100,899
COM
3,723,700 161,900 X 6 123,300
X 6 38,600
SAUCONY INC CL Equity 804120202 3,737,500 162,500 X 7 162,500
B
SAWTEC INC Equity 805468105 11,500,000 250,000 X 2 125,900
X 2 124,100
24,334 529 X 5 529
SBARRO INC COM Equity 805844107 3,873,582 143,466 X 3 128,666
X 3 14,800
95,094 3,522 X 5 3,522
SCHAWK INC CL A Equity 806373106 117,297 13,033 X 5 13,033
HENRY SCHEIN Equity 806407102 18,550,400 579,700 X 2 512,600
INC
X 2 67,100
150,624 4,707 X 5 4,707
SCHERING Equity 806605101 19,463,600 374,300 X 1 364,500
PLOUGH CORP
COM
X 1 9,800
42,380,000 815,000 X 2 694,000
X 2 121,000
11,175,164 214,907 X 5 214,907
5,707,936 109,768 X 6 84,168
X 6 25,600
38,849,200 747,100 X 7 747,100
SCHLUMBERGER Equity 806857108 5,559,040 86,860 X 5 86,860
LTD COM
SCHOLASTIC Equity 807066105 226,032 4,432 X 5 4,432
CORP COM
SCHOOL Equity 807863105 16 1 X 5 1
SPECIALTY INC
COM
5,320,000 332,500 X 7 332,500
SCHULMAN A INC Equity 808194104 221 13 X 5 13
COM
3,144,456 184,968 X 6 184,968
SCHWAB Equity 808513105 5,840,220 53,580 X 5 53,580
CHARLES CP
NEW COM
39,329,925 360,825 X 7 360,825
SCIENTIFIC Equity 808655104 491,904 13,664 X 5 13,664
ATLANTA INC
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 72 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
SCOTTS CO CL A Equity 810186106 305,328 6,361 X 5 6,361
SCRIPPS Equity 811054204 265,104 5,523 X 5 5,523
HOWARD INC CL
A
SEA Equity 811371707 6,392,000 188,000 X 3 100,700
CONTAINERS
LTD CL
X 3 87,300
SEAGATE Equity 811804103 384,800 14,800 X 2 14,800
TECHNOLOGY
COM
1,360,866 52,341 X 5 52,341
8,569,600 329,600 X 7 329,600
SEAGRAM LTD Equity 811850106 1,569,950 31,399 X 5 31,399
COM
SEALED AIR Equity 81211K100 752,700 11,580 X 5 11,580
CORP COM
Sealed Air Corp.Equity 81211K209 589,000 9,500 X 4 9,500
Conv. Pfd.
SEARS ROEBUCK Equity 812387108 2,215,800 49,240 X 5 49,240
& CO COM
SEAWAY FOOD Equity 812744100 2,678,000 133,900 X 1 133,900
TOWN INC
COM
SECURITY Equity 81413P105 55,194,750 84,915 X 6 84,915
CAPITAL GROUP
A
SECURITY CAP Equity 81413P204 21,630 1,442 X 5 1,442
GROUP INC CL B
18,317,265 1,221,151 X 6 910,615
X 6 310,536
SECURITY Equity 814208104 232,848 11,088 X 5 11,088
DYNAMICS TECH
COM
SEITEL INC COM Equity 816074306 278,128 17,383 X 5 17,383
NEW
SELECTIVE INS Equity 816300107 6,688,000 352,000 X 3 181,800
GROUP COM
X 3 170,200
14,858 782 X 5 782
SEMTECH CORP Equity 816850101 15,600,000 300,000 X 2 156,100
COM
X 2 143,900
379,704 7,302 X 5 7,302
SEMPRA Equity 816851109 790,878 34,386 X 5 34,386
ENERGY COM
SENSORMATIC Equity 817265101 144,564 10,326 X 5 10,326
ELECTRS CP COM
SEPRACOR INC Equity 817315104 383,535 4,735 X 5 4,735
COM
SEQUENT Equity 817338106 214,380 11,910 X 5 11,910
COMPUTER SYS
COM
SERVICE CORP Equity 817565104 348,365 18,335 X 5 18,335
INTL COM
SERVICEMASTER Equity 81760N109 252,738 13,302 X 5 13,302
COMPANY
7-ELEVEN INC Equity 817826100 107,396 53,698 X 5 53,698
COM
SHARED MED Equity 819486101 273,065 4,201 X 5 4,201
SYS CORP COM
17,148,690 263,826 X 6 263,826
SHAW INDS INC Equity 820286102 31,458,780 1,747,710 X 1 1,596,010
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 73 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 151,700
242,370 13,465 X 5 13,465
20,194,146 1,121,897 X 6 890,847
X 6 231,050
SHERWIN Equity 824348106 503,580 17,985 X 5 17,985
WILLIAMS CO
COM
SHOE CARNIVAL Equity 824889109 5,344,800 314,400 X 1 314,400
INC COM
SHOPKO STORES Equity 824911101 138,348 3,843 X 5 3,843
INC COM
9,357,768 259,938 X 6 259,938
SHOREWOOD Equity 825229107 215,514 11,973 X 5 11,973
PACKAGING CP
COM
SHURGARD Equity 82567D104 6,768,900 250,700 X 3 137,600
STORAGE CTRS
COM
X 3 113,100
56,700 2,100 X 5 2,100
SICOR INC COM Equity 825846108 66,636 16,659 X 5 16,659
SIEBEL Equity 826170102 659,670 9,995 X 5 9,995
SIGMA ALDRICH Equity 826552101 354,586 10,429 X 5 10,429
CORP COM
SILICON Equity 827056102 308,848 19,303 X 5 19,303
GRAPHICS INC
COM
SIMON Equity 828806109 674,175 26,967 X 5 26,967
PROPERTY
GROUP INC
SKYWEST INC Equity 830879102 12,975,000 519,000 X 2 409,000
X 2 110,000
20,900 836 X 5 836
SMITH A O COM Equity 831865209 10,061,800 359,350 X 1 311,000
X 1 48,350
121,044 4,323 X 5 4,323
SMITH INTL INC Equity 832110100 516,774 12,018 X 5 12,018
COM
SMITHFIELD Equity 832248108 14,444,100 437,700 X 2 286,600
FOODS INC COM
X 2 151,100
706,530 21,410 X 5 21,410
SMURFIT-STONE Equity 832727101 659,400 31,400 X 2 31,400
CONTAINR COM
68,607 3,267 X 5 3,267
17,801,700 847,700 X 7 847,700
SNYDER Equity 832914105 31,210,080 945,760 X 1 866,360
COMMUNICATION
COM
X 1 79,400
482,262 14,614 X 5 14,614
SOFTNET Equity 833964109 13,708,800 489,600 X 2 357,700
SYSTEMS
X 2 131,900
SOFTWORKS INC Equity 83404P102 1,559,800 141,800 X 2 141,800
SOLECTRON Equity 834182107 3,736,054 55,762 X 5 55,762
CORP COM
1,185,900 17,700 X 6 17,700
54,136,000 808,000 X 7 808,000
SOLUTIA INC COM Equity 834376105 2,386,230 113,630 X 5 113,630
SONAT INC COM Equity 835415100 384,384 11,648 X 5 11,648
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 74 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
SONIC CORP. Equity 835451105 7,718,700 233,900 X 2 189,100
X 2 44,800
47,223 1,431 X 5 1,431
SONIC Equity 83545G102 5,971,000 426,500 X 2 376,500
AUTOMOTIVE INC.
X 2 50,000
SOTHEBYS Equity 835898107 249,204 6,558 X 5 6,558
HLDGS INC CL A
10,229,600 269,200 X 7 269,200
SOUTHDOWN Equity 841297104 38,310,400 598,600 X 1 549,100
INC COM
X 1 49,500
390,784 6,106 X 5 6,106
SOUTHERN CO Equity 842587107 5,486 211 X 2 211
COM
6,802,744 261,644 X 5 261,644
SOUTHTRUST Equity 844730101 33,160,700 872,650 X 1 849,150
CORP COM
X 1 23,500
4,204,396 110,642 X 5 110,642
SOUTHWEST Equity 844741108 32,019,750 1,524,750 X 1 1,484,100
AIRLS CO COM
X 1 40,650
4,980,192 237,152 X 5 237,152
SPARTECH CORP Equity 847220209 3,059,200 95,600 X 2 95,600
COM NEW
160,000 5,000 X 5 5,000
6,107,712 190,866 X 6 190,866
SPRINGS INDS Equity 851783100 15,704,832 356,928 X 3 134,578
INC CL A
X 3 222,350
152,372 3,463 X 5 3,463
SPRINT CORP Equity 852061100 7,950,848 150,016 X 5 150,016
COM
1,436,201,897 27,098,149 X 6 23,239,259
X 6 3,858,890
SPRINT Equity 852061506 3,692,745 64,785 X 5 64,785
CORP.(PCS
GROUP)
3,405,522 59,746 X 6 46,813
X 6 12,933
STAFF LEASING Equity 852381102 4,644,653 357,281 X 6 357,281
INC
STANDARD Equity 85375C101 5,834,400 448,800 X 2 448,800
PACIFIC
CORPORATION
5,863 451 X 5 451
STANDARD Equity 853836104 7,602,400 292,400 X 3 146,900
PRODS CO COM
X 3 145,500
3,042 117 X 5 117
STANLEY Equity 854305208 4,127,200 187,600 X 1 187,600
FURNITURE INC
COM
STANLEY WKS Equity 854616109 511,936 15,998 X 5 15,998
COM
STAPLES INC Equity 855030102 2,748,925 88,675 X 5 88,675
COM
65,100,000 2,100,000 X 7 2,100,000
STARBUCKS Equity 855244109 1,061,758 27,941 X 5 27,941
CORP COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 75 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
STARWOOD FINL Equity 85568W10 340,628 5,494 X 5 5,494
TR MD CL A SH
BEN
STARWOOD Equity 85590A203 5,049,962 162,902 X 5 162,902
HOTELS &
RESORTS
WORLDW
STATE STREET Equity 857477103 2,971,940 34,964 X 5 34,964
CORP COM
STATION Equity 857689103 3,726,000 186,300 X 1 177,300
CASINOS INC
X 1 9,000
14,756,000 737,800 X 2 700,400
X 2 37,400
2,580 129 X 5 129
6,382,000 319,100 X 7 319,100
STERLING Equity 859158107 2,156,500 113,500 X 1 113,500
BANCORP
COM
STERLING COMM Equity 859205106 504,569 13,637 X 5 13,637
INC COM
STERLING Equity 859547101 19,448,000 748,000 X 3 610,400
SOFTWARE INC
COM
X 3 137,600
1,368,458 52,633 X 5 52,633
6,947,200 267,200 X 7 267,200
STEWART Equity 860370105 953,025 63,535 X 5 63,535
ENTERPRISES CL
A
STILLWATER Equity 86074Q102 275,552 8,611 X 5 8,611
MNG CO COM
STONE ENERGY Equity 861642106 7,140,000 170,000 X 2 170,000
CORP COM
540,078 12,859 X 5 12,859
STORAGE Equity 862111200 204,217 8,879 X 5 8,879
TECHNOLOGY CP
COM PAR $0
STRATTEC Equity 863111100 4,766,800 140,200 X 1 140,200
SECURITY CORP.
STRIDE RITE Equity 863314100 2,973,000 297,300 X 1 259,300
CORP COM
X 1 38,000
39,190 3,919 X 5 3,919
STRYKER CORP Equity 863667101 6,180,000 103,000 X 2 73,300
COM
X 2 29,700
2,035,920 33,932 X 5 33,932
STURM RUGER & Equity 864159108 7,124,700 647,700 X 3 313,900
CO INC COM
X 3 333,800
31,977 2,907 X 5 2,907
SUIZA FOODS Equity 865077101 227,724 5,422 X 5 5,422
CORP COM
SUMMIT Equity 866005101 769,314 18,317 X 5 18,317
BANCORP COM
SUMMIT Equity 86627E101 11,719,400 532,700 X 2 375,100
TECHNOLOGY
INC COM
X 2 157,600
12,298 559 X 5 559
SUN Equity 866810104 9,189,075 133,175 X 5 133,175
MICROSYSTEMS
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 76 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
SUNGARD DATA Equity 867363103 548,216 16,124 X 5 16,124
SYS INC COM
SUNGLASS HUT Equity 86736F106 15,478,500 910,500 X 2 805,100
INTL INC COM
X 2 105,400
67,830 3,990 X 5 3,990
SUNOCO INC COM Equity 86764P109 3,754,020 125,134 X 5 125,134
SUNTRUST BKS Equity 867914103 9,151,056 132,624 X 5 132,624
INC COM
SUPERIOR Equity 868157108 3,673,000 734,600 X 7 734,600
ENERGY
SERVICES INC
SUPERIOR SVCS Equity 868316100 208,899 7,737 X 5 7,737
INC COM
SUPERIOR Equity 868365107 17,795,075 711,803 X 1 639,353
TELECOM INC
COM
X 1 72,450
3,350 134 X 5 134
SUPERVALU INC Equity 868536103 30,563,572 1,175,522 X 1 1,082,022
COM
X 1 93,500
52,588,198 2,022,623 X 3 1,409,323
X 3 613,300
3,108,742 119,567 X 5 119,567
SYBRON INTL Equity 87114F106 603,652 21,559 X 5 21,559
CORP COM
SYKES Equity 871237103 11,447,700 346,900 X 1 300,800
ENTERPRISES
INC COM
X 1 46,100
122,100 3,700 X 5 3,700
7,857,300 238,100 X 7 238,100
SYLVAN Equity 871399101 213,354 7,902 X 5 7,902
LEARNING SYS
COM
4,347,000 161,000 X 7 161,000
SYMANTEC CORP Equity 871503108 1,557,244 59,894 X 5 59,894
COM
SYMBOL Equity 871508107 32,750,032 885,136 X 1 814,186
TECHNOLOGIES
COM
X 1 70,950
4,399,300 118,900 X 2 88,350
X 2 30,550
503,237 13,601 X 5 13,601
SYNOPSYS INC Equity 871607107 2,101,990 38,218 X 5 38,218
COM
SYNOVUS FINL Equity 87161C105 422,540 21,127 X 5 21,127
CORP COM
SYSCO CORP Equity 871829107 1,389,120 46,304 X 5 46,304
COM
SYSTEMS & Equity 871873105 210,000 14,000 X 5 14,000
COMPTR TECH
COM
3,984,135 265,609 X 6 265,609
TCA CABLE TV Equity 872241104 359,128 6,413 X 5 6,413
INC COM
TCF FINL CORP Equity 872275102 2,114,504 75,518 X 5 75,518
COM
TECO ENERGY Equity 872375100 235,106 10,222 X 5 10,222
INC COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 77 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
THQ INC. Equity 872443403 17,147,700 591,300 X 2 532,800
X 2 58,500
TJ INTL INC COM Equity 872534102 3,720,000 120,000 X 2 120,000
21,421 691 X 5 691
TJX COS INC Equity 872540109 47,853,300 1,450,100 X 1 1,411,800
NEW COM
X 1 38,300
2,777,082 84,154 X 5 84,154
336,600 10,200 X 6 10,200
TRW INC COM Equity 872649108 780,395 14,189 X 5 14,189
TSI Equity 872879101 2,562,000 91,500 X 2 40,500
INTERNATIONAL
X 2 51,000
TLC THE LASER Equity 872934104 19,968,000 416,000 X 2 322,300
CENTER
X 2 93,700
24,240,000 505,000 X 7 505,000
TMP Equity 872941109 7,936,000 124,000 X 2 124,000
WORLDWIDE INC
COM
147,200 2,300 X 5 2,300
TV GUIDE INC CL Equity 87307Q109 210,493 5,689 X 5 5,689
A
TACO CABANA Equity 873425102 4,804,000 480,400 X 1 480,400
INC COM
2,157,000 215,700 X 2 215,700
31,090 3,109 X 5 3,109
TALBOTS INC Equity 874161102 8,132,000 214,000 X 1 185,500
COM
X 1 28,500
35,758 941 X 5 941
TANDY CORP Equity 875382103 41,081,600 838,400 X 1 816,800
COM
X 1 21,600
3,136 64 X 2 64
5,254,221 107,229 X 5 107,229
TECHNITROL INC Equity 878555101 62,624 1,957 X 5 1,957
COM
6,477,056 202,408 X 6 202,408
TECUMSEH Equity 878895200 6,240,300 102,300 X 3 54,500
PRODUCTS CO
CL A
X 3 47,800
153,232 2,512 X 5 2,512
TEKTRONIX INC Equity 879131100 341,280 11,376 X 5 11,376
COM
TELEFLEX INC Equity 879369106 239,897 5,579 X 5 5,579
COM
TELEPHONE & Equity 879433100 514,869 7,053 X 5 7,053
DATA SYS COM
TELLABS INC COM Equity 879664100 64,491,200 948,400 X 1 923,000
X 1 25,400
680,000 10,000 X 2 10,000
6,231,520 91,640 X 5 91,640
68,680,000 1,010,000 X 7 1,010,000
TEMPLE INLAND Equity 879868107 27,448,200 397,800 X 1 365,300
INC COM
X 1 32,500
290,352 4,208 X 5 4,208
TENET Equity 88033G100 646,000 34,000 X 2 34,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 78 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
HEALTHCARE
CORP COM
811,338 42,702 X 5 42,702
361,435,157 19,022,903 X 6 15,964,638
X 6 3,058,265
13,651,500 718,500 X 7 718,500
TENNECO INC Equity 88037E101 14,415,600 600,650 X 3 229,400
NEW COM
X 3 371,250
2,106,360 87,765 X 5 87,765
TERADYNE INC Equity 880770102 1,281,600 17,800 X 2 17,800
COM
750,672 10,426 X 5 10,426
12,463,200 173,100 X 7 173,100
TERAYON Equity 880775101 17,808,000 318,000 X 2 269,100
COMMUNICATION
SYSTEMS
X 2 48,900
TEREX CORP Equity 880779103 10,335,000 344,500 X 1 297,600
NEW COM
X 1 46,900
12,150 405 X 5 405
TEVA Equity 881624209 6,188,700 126,300 X 6 116,800
PHARMACEUTICA
INDUSTRIES
X 6 9,500
TETRA Equity 88162F105 52,670 5,267 X 5 5,267
TECHNOLOGIES
DEL COM
5,978,210 597,821 X 6 597,821
TETRA TECH INC Equity 88162G103 12,226,464 764,154 X 2 739,131
NEW COM
X 2 25,023
42,672 2,667 X 5 2,667
7,496,576 468,536 X 6 468,536
TEXACO INC COM Equity 881694103 8,261,314 133,247 X 5 133,247
100,855,400 1,626,700 X 6 1,267,800
X 6 358,900
TEXAS INDS INC Equity 882491103 326,118 8,362 X 5 8,362
COM
TEXAS INSTRS Equity 882508104 51,652,800 358,700 X 1 349,000
INC COM
X 1 9,700
21,600 150 X 2 150
10,406,592 72,268 X 5 72,268
TEXAS UTILS CO Equity 882848104 6,548,028 159,708 X 5 159,708
COM
TEXTRON INC Equity 883203101 41,574,000 507,000 X 1 493,600
COM
X 1 13,400
6,790,830 82,815 X 5 82,815
263,690,680 3,215,740 X 6 3,158,840
X 6 56,900
THERMO Equity 883556102 240,000 12,000 X 2 12,000
ELECTRON CORP
COM
329,360 16,468 X 5 16,468
29,200,000 1,460,000 X 7 1,460,000
THOMAS & Equity 884315102 36,443,800 775,400 X 3 624,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 79 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 3 151,400
291,165 6,195 X 5 6,195
THOR INDS INC Equity 885160101 1,078,000 38,500 X 3 38,500
COM
3,164 113 X 5 113
3COM CORP COM Equity 885535104 867,591 32,133 X 5 32,133
3DFX Equity 88553X103 6,400,000 400,000 X 2 262,400
INTERACTIVE
COM
X 2 137,600
57,600 3,600 X 5 3,600
TIDEWATER INC Equity 886423102 1,398,240 46,608 X 5 46,608
COM
TIFFANY & CO Equity 886547108 610,464 6,359 X 5 6,359
NEW COM
26,400,000 275,000 X 7 275,000
TIMBERLAND CO Equity 887100105 4,093,600 60,200 X 1 52,300
CL A
X 1 7,900
93,092 1,369 X 5 1,369
TIME WARNER Equity 887315109 17,657,897 241,889 X 5 241,889
INC COM
244,396,700 3,347,900 X 6 3,287,700
X 6 60,200
18,771,950 257,150 X 7 257,150
TIMES MIRROR Equity 887364107 724,461 12,279 X 5 12,279
CO NEW COM
SER A
TORCHMARK Equity 891027104 421,090 12,385 X 5 12,385
CORP COM
TORO CO COM Equity 891092108 5,830,500 149,500 X 1 129,800
X 1 19,700
17,043 437 X 5 437
TOSCO CORP Equity 891490302 306,800 11,800 X 2 11,800
COM NEW
3,096,964 119,114 X 5 119,114
6,848,400 263,400 X 7 263,400
TOWER Equity 891707101 33,078,125 1,323,125 X 1 1,207,225
AUTOMOTIVE INC
COM
X 1 115,900
16,715,000 668,600 X 2 438,600
X 2 230,000
202,700 8,108 X 5 8,108
8,017,500 320,700 X 7 320,700
TOYS R US INC Equity 892335100 2,767,506 131,786 X 5 131,786
COM
TRAMMELL Equity 89288R106 165,952 10,372 X 5 10,372
CROW CO
TRANSAMERICA Equity 893485102 827,400 11,032 X 5 11,032
CORP COM
8,712,375 116,165 X 6 97,765
X 6 18,400
TRANSPORTATIO Equity 89388T101 650,000 50,000 X 1 50,000
TECHNOLOGIES
INDS
TRAVELERS Equity 893939108 27,386,658 702,222 X 1 644,722
PPTY CAS CL A
X 1 57,500
96,525 2,475 X 5 2,475
TRANSWITCH Equity 894065101 6,098,250 129,750 X 1 112,500
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 80 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 1 17,250
14,452,500 307,500 X 2 189,900
X 2 117,600
169,200 3,600 X 5 3,600
7,679,800 163,400 X 7 163,400
TRICON GLOBAL Equity 895953107 33,460,938 619,647 X 2 527,347
REST COM
X 2 92,300
4,463,046 82,649 X 5 82,649
12,906,000 239,000 X 6 239,000
TRIBUNE CO Equity 896047107 917,589 10,547 X 5 10,547
NEW COM
TRIGON Equity 89618L100 34,191,180 949,755 X 1 868,455
HEALTHCARE
INC COM
X 1 81,300
97,704 2,714 X 5 2,714
6,328,944 175,804 X 6 175,804
TRINET CORP Equity 896287109 6,904,800 246,600 X 3 141,500
RLTY TR COM
X 3 105,100
60,816 2,172 X 5 2,172
TRUE NORTH Equity 897844106 86,910 2,897 X 5 2,897
COMM COM
10,191,000 339,700 X 7 339,700
TRUSTMARK Equity 898402102 1,087,233 47,271 X 5 47,271
CORP COM
TUBOSCOPE INC Equity 898600101 5,118,400 365,600 X 2 365,600
COM
40,810 2,915 X 5 2,915
TUPPERWARE Equity 899896104 22,674,600 872,100 X 3 720,200
CORP COM
X 3 151,900
342,576 13,176 X 5 13,176
TWEETER HOME Equity 901167106 7,546,500 193,500 X 2 193,500
ENTERTAINMENT
GRP.
24-7 MEDIA INC. Equity 901314104 16,112,000 424,000 X 2 354,600
X 2 69,400
TYCO INTL LTD Equity 902124106 61,019,830 642,314 X 1 624,114
NEW COM
X 1 18,200
58,919,855 620,209 X 2 528,209
X 2 92,000
9,613,620 101,196 X 5 101,196
87,248,000 918,400 X 7 918,400
TYSON FOODS Equity 902494103 522,104 23,732 X 5 23,732
INC CL A
UAL CORP COM Equity 902549500 6,500,000 100,000 X 3 52,500
PAR $0.01
X 3 47,500
17,030 262 X 5 262
322,647,325 4,963,805 X 6 4,427,405
X 6 536,400
UCAR INTL INC Equity 90262K109 665,000 26,600 X 2 26,600
COM
208,550 8,342 X 5 8,342
5,285,000 211,400 X 6 165,200
X 6 46,200
13,482,500 539,300 X 7 539,300
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 81 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
UST CORP COM Equity 902900109 7,698,000 256,600 X 3 126,400
X 3 130,200
125,880 4,196 X 5 4,196
USX MARATHON Equity 902905827 14,642,100 443,700 X 3 171,200
GROUP COM NEW
X 3 272,500
5,587,593 169,321 X 5 169,321
UST INC COM Equity 902911106 42,673,500 1,471,500 X 3 1,024,800
X 3 446,700
2,565,891 88,479 X 5 88,479
4,988,870 172,030 X 6 107,300
X 6 64,730
US BANCORP Equity 902973106 7,415,067 224,699 X 5 224,699
DEL COM
U S LIQUIDS INC Equity 902974104 4,216,800 200,800 X 1 173,300
COM
X 1 27,500
USA NETWORKS Equity 902984103 200,360 5,009 X 5 5,009
INC COM
U S CAN CORP Equity 90328W10 2,325,400 105,700 X 1 91,300
COM
X 1 14,400
U S G CORP COM Equity 903293405 16,178,400 288,900 X 3 225,500
NEW
X 3 63,400
3,525,536 62,956 X 5 62,956
U S Equity 90331R101 376,035 8,745 X 5 8,745
FOODSERVICE
COM
USX-U S STL COM Equity 90337T101 41,931,945 1,553,035 X 3 817,635
X 3 735,400
4,959,360 183,680 X 5 183,680
ULTRAMAR Equity 904000106 29,514,298 1,341,559 X 3 821,871
DIAMOND
SHMRK COM
X 3 519,688
1,901,790 86,445 X 5 86,445
UNILEVER N V N Equity 904784709 21,000 300 X 5 300
Y SHS NEW
1,621,480 23,164 X 6 8,701
X 6 14,463
UNICOM CORP Equity 904911104 35,981,400 922,600 X 1 898,300
COM
X 1 24,300
2,652 68 X 2 68
1,136,382 29,138 X 5 29,138
UNION CARBIDE Equity 905581104 646,163 13,187 X 5 13,187
CORP COM
UNION PACIFIC Equity 907818108 35,635,200 614,400 X 2 523,200
CORP COM
X 2 91,200
1,385,504 23,888 X 5 23,888
Union Pacific Equity 907824403 4,611,000 87,000 X 4 87,000
Conv. Pfd.
UNION PAC RES Equity 907834105 608,000 38,000 X 2 38,000
GROUP COM
412,800 25,800 X 5 25,800
12,758,400 797,400 X 7 797,400
UNION Equity 908068109 47,475,000 1,055,000 X 3 554,100
PLANTERS CORP
COM
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 82 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
X 3 500,900
819,675 18,215 X 5 18,215
UNIONBANCAL Equity 908906100 3,104,928 86,248 X 5 86,248
CORP COM
UNIPHASE CORP Equity 909149106 40,952,200 246,700 X 1 243,200
COM
X 1 3,500
830,000 5,000 X 2 5,000
268,256 1,616 X 5 1,616
UNISOURCE Equity 909208100 415,224 34,602 X 5 34,602
WORLDWIDE
COM
2,220,000 185,000 X 7 185,000
UNISYS CORP Equity 909214108 35,866,857 919,663 X 1 843,563
COM
X 1 76,100
3,822 98 X 2 98
5,568,771 142,789 X 5 142,789
UNITED Equity 910197102 7,379,892 614,991 X 3 324,091
DOMINION
RLTYTR COM
X 3 290,900
94,368 7,864 X 5 7,864
UNITED Equity 910581107 34,429,500 546,500 X 1 532,500
HEALTHCARE
CORP COM
X 1 14,000
1,432,809 22,743 X 5 22,743
47,873,700 759,900 X 7 759,900
UNITED ILLUM Equity 910637107 6,816,600 162,300 X 3 88,600
CO COM
X 3 73,700
74,970 1,785 X 5 1,785
UNITED INTL Equity 910734102 241,332 3,549 X 5 3,549
HLDGS INC CL A
UNITED NAT Equity 911163103 3,102,500 124,100 X 1 124,100
FOOD INC COM
3,825,000 153,000 X 2 153,000
1,150 46 X 5 46
UNITED Equity 911363109 13,706,970 456,899 X 2 403,549
RENTALS INC
X 2 53,350
54,270 1,809 X 5 1,809
6,183,000 206,100 X 7 206,100
US AIRWAYS Equity 911905107 500,016 11,364 X 5 11,364
GROUP INC COM
U S HOME CORP Equity 911920106 4,071,600 113,100 X 1 98,200
NEW COM
X 1 14,900
54,576 1,516 X 5 1,516
U S INDS INC Equity 912080108 2,724,777 160,281 X 5 160,281
NEW COM
US WEST INC Equity 91273H101 14,118,700 239,300 X 3 93,350
NEW COM
X 3 145,950
3,916,479 66,381 X 5 66,381
87,281,709 1,479,351 X 6 1,133,351
X 6 346,000
U S TR CORP Equity 91288L105 394,404 4,287 X 5 4,287
NEW COM
UNITED Equity 913017109 46,548,000 646,500 X 1 629,100
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 83 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
TECHNOLOGIES
CP COM
X 1 17,400
14,544 202 X 2 202
14,284,368 198,394 X 5 198,394
43,899,840 609,720 X 6 601,720
X 6 8,000
58,730,400 815,700 X 7 815,700
UNITED Equity 913238101 989,320 123,665 X 6 103,565
WISCONSIN
SERVICES
X 6 20,100
UNITRIN INC COM Equity 913275103 316,766 7,726 X 5 7,726
UNITRODE CORP Equity 913283107 132,240 4,560 X 5 4,560
COM
68,885,730 2,375,370 X 6 2,335,370
X 6 40,000
UNIVERSAL Equity 913456109 7,198,800 257,100 X 3 140,800
CORP VA COM
X 3 116,300
121,380 4,335 X 5 4,335
UNIVERSAL Equity 913538104 5,233,200 249,200 X 1 216,500
FOODS CORP
COM
X 1 32,700
6,279,000 299,000 X 3 159,400
X 3 139,600
110,145 5,245 X 5 5,245
UNIVERSAL FST Equity 913543104 7,541,600 342,800 X 3 185,000
PRODS COM
X 3 157,800
22,506 1,023 X 5 1,023
UNIVISION Equity 914906102 495,690 7,626 X 5 7,626
COMMUNICATION
- A
UNOCAL CORP Equity 915289102 884,280 22,107 X 5 22,107
COM
83,361,200 2,084,030 X 6 1,698,680
X 6 385,350
UNUMPROVIDEN Equity 91529Y106 772,750 14,050 X 5 14,050
CORP COM
USFREIGHTWAYS Equity 916906100 7,534,800 163,800 X 1 142,100
CORP COM
X 1 21,700
7,548,600 164,100 X 3 86,400
X 3 77,700
137,448 2,988 X 5 2,988
USINTERNETWO Equity 917311805 6,930,000 165,000 X 2 165,000
INC
UTILICORP UTD Equity 918005109 4,631,688 192,987 X 5 192,987
INC COM
V F CORP COM Equity 918204108 7,109,061 165,327 X 5 165,327
VALASSIS Equity 918866104 27,385,180 740,140 X 1 679,090
COMMUNICATNS
COM
X 1 61,050
2,612,200 70,600 X 2 43,500
X 2 27,100
502,793 13,589 X 5 13,589
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 84 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
VALERO ENERGY Equity 91913Y100 823,200 39,200 X 2 39,200
CORP NEW COM
169,197 8,057 X 5 8,057
18,280,500 870,500 X 7 870,500
VALMET OYJ- Equity 920232303 330,000 15,000 X 2 15,000
SPONSORED ADR
VERIO INC Equity 923433106 7,245,000 103,500 X 7 103,500
VERITAS Equity 923436109 42,086,056 895,448 X 1 816,848
SOFTWARE CO
COM
X 1 78,600
470,000 10,000 X 2 10,000
253,142 5,386 X 5 5,386
VERITY INC. Equity 92343C106 14,769,000 273,500 X 2 273,500
VERITAS DGC Equity 92343P107 17,580,600 976,700 X 2 694,800
INC COM
X 2 281,900
14,400 800 X 5 800
VERTICALNET INC Equity 92532L107 8,400,000 80,000 X 2 50,100
X 2 29,900
VIACOM INC CL B Equity 925524308 10,511,952 238,908 X 5 238,908
VIATEL INC Equity 925529208 32,065,600 572,600 X 2 492,900
X 2 79,700
VIAD CORP COM Equity 92552R109 5,334,573 172,083 X 5 172,083
VICON INDS INC Equity 925811101 261,900 29,100 X 1 29,100
COM
VINTAGE PETE Equity 927460105 4,351,600 395,600 X 2 395,600
INC COM
32,582 2,962 X 5 2,962
VISIO CORP COM Equity 927914101 9,355,600 246,200 X 1 213,500
X 1 32,700
15,469,800 407,100 X 2 377,000
X 2 30,100
88,654 2,333 X 5 2,333
VISHAY Equity 928298108 430,500 20,500 X 2 20,500
INTERTECHNOLO
COM
200,613 9,553 X 5 9,553
8,995,875 428,375 X 7 428,375
VISUAL Equity 928444108 21,788,800 680,900 X 2 458,500
NETWORKS INC
COM
X 2 222,400
105,600 3,300 X 5 3,300
9,433,600 294,800 X 7 294,800
VISX INC DEL Equity 92844S105 21,835,600 276,400 X 1 253,500
COM
X 1 22,900
22,151,600 280,400 X 2 241,200
X 2 39,200
1,374,047 17,393 X 5 17,393
35,550,000 450,000 X 7 450,000
VITAL SIGNS INC Equity 928469105 39,500 1,975 X 5 1,975
COM
5,810,800 290,540 X 6 290,540
VITESSE Equity 928497106 36,937,100 551,300 X 1 506,000
SEMICONDUCTOR
COM
X 1 45,300
5,198,798 77,594 X 5 77,594
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 85 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
VIVUS INC COM Equity 928551100 70,692 23,564 X 5 23,564
VOLT Equity 928703107 1,771 77 X 5 77
INFORMATION
SCIEN COM
287,500 12,500 X 6 12,500
VORNADO RLTY Equity 929042109 745,325 21,295 X 5 21,295
TR SH BEN INT
VULCAN MATLS Equity 929160109 4,964,400 103,425 X 5 103,425
CO COM
WPP GROUP PLC- Equity 929309300 91,981,300 1,069,550 X 6 1,022,650
SPONSORED ADR
X 6 46,900
WACHOVIA CORP Equity 929771103 6,824,444 79,354 X 5 79,354
COM
WAL MART Equity 931142103 56,116,800 1,169,100 X 1 1,137,900
STORES INC COM
X 1 31,200
41,068,992 855,604 X 2 729,004
X 2 126,600
30,252,576 630,262 X 5 630,262
83,208,000 1,733,500 X 7 1,733,500
WALGREEN CO Equity 931422109 5,271,301 181,769 X 5 181,769
COM
WALLACE Equity 932270101 85,375 3,415 X 5 3,415
COMPUTER SVCS
COM
17,498,600 699,944 X 6 699,944
WARNACO Equity 934390105 262,845 9,735 X 5 9,735
GROUP INC CL A
WARNER Equity 934488107 34,562,100 500,900 X 1 487,500
LAMBERT CO
COM
X 1 13,400
11,243,067 162,943 X 5 162,943
WASHINGTON Equity 938824109 6,520,360 296,380 X 3 159,250
FED INC COM
X 3 137,130
7,920 360 X 5 360
WASHINGTON Equity 938837101 7,449,000 286,500 X 3 152,900
GAS LT CO COM
X 3 133,600
92,430 3,555 X 5 3,555
WASHINGTON Equity 939322103 5,298,408 147,178 X 5 147,178
MUTUAL INC.
WASHINGTON Equity 939640108 687,564 1,278 X 5 1,278
POST CO CL B
WASTE Equity 941053100 2,517,000 83,900 X 2 73,300
CONNECTIONS
X 2 10,600
WASTE INDS INC Equity 941058109 1,090,800 60,600 X 1 60,600
COM
WASTE MGMT Equity 94106L109 39,198,600 725,900 X 1 706,700
INC DEL COM
X 1 19,200
6,453,756 119,514 X 5 119,514
1,081,801,008 20,033,352 X 6 15,225,928
X 6 4,807,424
WATERS CORP Equity 941848103 41,446,318 782,006 X 1 721,106
COM
X 1 60,900
387,854 7,318 X 5 7,318
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 86 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
WATSON Equity 942683103 617,925 17,655 X 5 17,655
PHARMACEUTICA
COM
WAUSAU- Equity 943315101 7,579,584 421,088 X 3 229,788
MOSINEE PAPER
COM
X 3 191,300
70,452 3,914 X 5 3,914
WEATHERFORD Equity 947074100 5,083,800 137,400 X 2 100,100
INTL INC COM
X 2 37,300
511,784 13,832 X 5 13,832
WEBSTER FINL Equity 947890109 12,231,000 453,000 X 2 435,000
CORP CONN COM
X 2 18,000
91,152 3,376 X 5 3,376
WEBTRENDS Equity 94844D104 20,778,200 451,700 X 2 428,700
CORP.
X 2 23,000
WELLPOINT HLT Equity 94973H108 33,337,000 392,200 X 1 381,600
NETW NEW COM
X 1 10,600
5,145,135 60,531 X 5 60,531
WELLS FARGO & Equity 949746101 35,780,300 832,100 X 1 809,800
CO DEL COM
X 1 22,300
38,992,400 906,800 X 2 772,500
X 2 134,300
25,498,699 592,993 X 5 592,993
1,884,562,591 43,827,037 X 6 37,215,652
X 6 6,611,385
WENDYS INTL Equity 950590109 25,776,800 920,600 X 2 783,900
INC COM
X 2 136,700
312,116 11,147 X 5 11,147
WESLEY JESSEN Equity 951018100 9,475,200 296,100 X 1 256,500
VISIONCR COM
X 1 39,600
106,240 3,320 X 5 3,320
WEST COAST Equity 952145100 2,961,000 164,500 X 1 164,500
BANCORP ORE
NEW COM
WESTAMERICA Equity 957090103 11,901,600 330,600 X 1 286,600
BANCORP COM
X 1 44,000
75,600 2,100 X 5 2,100
WESTERN RES Equity 959425109 77,652 2,876 X 5 2,876
INC COM
2,700,000 100,000 X 7 100,000
WESTERN Equity 95988E204 387,612 14,356 X 5 14,356
WIRELESS CORP
CL A
WESTNGHOUSE Equity 960386100 8,496,800 326,800 X 3 177,600
AIR BRAKE
X 3 149,200
WESTPOINT Equity 961238102 25,969,260 865,642 X 1 793,142
STEVENS INC
COM
X 1 72,500
202,980 6,766 X 5 6,766
610,200 20,340 X 6 20,340
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 87 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
WESTVACO Equity 961548104 32,267,053 1,112,657 X 3 710,107
CORP COM
X 3 402,550
231,855 7,995 X 5 7,995
WESTWOOD Equity 961815107 279,396 7,761 X 5 7,761
ONE INC COM
WEYERHAEUSER Equity 962166104 41,779,500 605,500 X 1 590,300
CO COM
X 1 15,200
4,679,373 67,817 X 5 67,817
WHIRLPOOL Equity 963320106 31,701,600 428,400 X 3 276,650
CORP COM
X 3 151,750
2,578,160 34,840 X 5 34,840
WHITMAN CORP Equity 96647R107 17,060,400 947,800 X 3 785,700
COM
X 3 162,100
136,224 7,568 X 5 7,568
7,264,800 403,600 X 6 283,200
X 6 120,400
WHITTMAN- Equity 966834103 240,832 7,526 X 5 7,526
HART INC COM
WILD OATS Equity 96808B107 6,735,000 224,500 X 7 224,500
MARKETS INC
WILLAMETTE Equity 969133107 26,565,000 577,500 X 1 530,200
INDS INC COM
X 1 47,300
5,832,800 126,800 X 2 91,100
X 2 35,700
549,332 11,942 X 5 11,942
WILLIAMS COS Equity 969457100 4,214 98 X 2 98
INC DEL COM
2,137,186 49,702 X 5 49,702
WILLIAMS- Equity 969904101 212,485 6,071 X 5 6,071
SONOMA INC
8,148,000 232,800 X 7 232,800
WINN DIXIE Equity 974280109 587,634 15,882 X 5 15,882
STORES INC COM
WINNEBAGO Equity 974637100 6,628,600 301,300 X 2 301,300
INDS INC COM
13,354 607 X 5 607
WINSLOEW Equity 975377102 9,676,400 284,600 X 1 263,900
FURNITURE INC
COM
X 1 20,700
WINSTAR Equity 975515107 29,419,600 600,400 X 2 417,900
COMMUNICATION
COM
X 2 182,500
233,779 4,771 X 5 4,771
WISCONSIN Equity 976657106 207,150 8,286 X 5 8,286
ENERGY CORP
COM
WIT CAPITAL Equity 97737K309 1,555,500 45,750 X 2 45,750
GROUP INC
WORLD FUEL Equity 981475106 7,755,000 517,000 X 3 294,100
SVCS CORP
X 3 222,900
WORLDGATE Equity 98156L307 5,421,300 106,300 X 2 36,300
COMMUNICATION
INC
X 2 70,000
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 88 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
WORTHINGTON Equity 981811102 385,616 24,101 X 5 24,101
INDS INC COM
WRIGLEY WM JR Equity 982526105 1,062,304 11,936 X 5 11,936
CO COM
1,521,900 17,100 X 6 6,400
X 6 10,700
XILINX INC COM Equity 983919101 29,754,000 522,000 X 1 479,300
X 1 42,700
798,000 14,000 X 2 14,000
3,635,460 63,780 X 5 63,780
XEROX CORP Equity 984121103 309,160 5,240 X 2 5,240
COM
7,496,953 127,067 X 5 127,067
1,746,400 29,600 X 7 29,600
XOMED Equity 98412V107 7,688,100 156,900 X 2 113,600
SURGICAL
PRODUCTS
X 2 43,300
YAHOO INC COM Equity 984332106 688,000 4,000 X 2 4,000
1,546,624 8,992 X 5 8,992
YORK INTL CORP Equity 986670107 1,002,932 23,324 X 5 23,324
NEW COM
25,563,500 594,500 X 6 539,000
X 6 55,500
YOUNG & Equity 987425105 4,545 101 X 5 101
RUBICAM INC
COM
13,007,250 289,050 X 6 258,850
X 6 30,200
22,500,000 500,000 X 7 500,000
YOUNG Equity 987434107 150,844 3,508 X 5 3,508
BROADCASTING
INC - A
6,871,400 159,800 X 7 159,800
ZALE CORP NEW Equity 988858106 276,720 6,918 X 5 6,918
COM
7,936,000 198,400 X 7 198,400
ZEBRA Equity 989207105 215,232 5,664 X 5 5,664
TECHNOLOGIES
CP CL A
ZIONS Equity 989701107 28,659,072 447,798 X 1 410,198
BANCORPORATIO
COM
X 1 37,600
5,766,400 90,100 X 2 57,800
X 2 32,300
706,496 11,039 X 5 11,039
ACE LTD ORD Equity G0070K103 924,000 33,000 X 5 33,000
445,129,776 15,897,492 X 6 14,641,222
X 6 1,256,270
AMDOCS LTD Equity G02602103 782,000 34,000 X 2 34,000
218,500 9,500 X 5 9,500
ANNUITY AND Equity G03910109 21,765,018 989,319 X 6 973,119
LIFE RE HLDGS
X 6 16,200
5,702,400 259,200 X 7 259,200
ESG RE LTD ORD Equity G31215109 6,555,000 437,000 X 3 228,000
X 3 209,000
FRUIT OF THE Equity G3682L105 111,140 11,114 X 5 11,114
LOOM INC CL A
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 89 Form 13F Reporting Manager: Pimco Advisors L.P. I.D. # 28-2701 Qtr 2 1999
- ----------------------------------------------------------------------------------------------------------------------------
Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R R ---------------------------------
Class Value Amount E D.V D.Othr Sole Shared None
- ----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
GEMSTAR INLT Equity G3788V106 27,625,000 425,000 X 7 425,000
GROUP LTD
ICO GLOBAL Equity G4705T109 2,162,400 360,400 X 7 360,400
COMMUNICATION
PARTNER RE LTD Equity G6852T105 6,949,525 187,825 X 6 168,825
X 6 19,000
RENAISSANCERE Equity G7496G10 34,928,703 944,019 X 6 938,919
HOLDINGS LTD
X 6 5,100
TERRA NOVA Equity G87615103 4,201,200 155,600 X 6 155,600
BERMUDA
HOLDING CL A
HILFIGER TOMMY Equity G8915Z102 26,587,016 718,568 X 1 658,968
CORP ORD
X 1 59,600
2,109 57 X 5 57
TRANSOCEAN Equity G90076103 490,126 18,851 X 5 18,851
OFFSHORE COM
XL CAPITAL Equity G98255105 1,183,448 21,133 X 5 21,133
LIMITED CL A
845,597,480 15,099,955 X 6 13,415,847
X 6 1,684,108
MILLICOM INTL Equity L6388F102 6,416,000 200,500 X 7 200,500
CELLULAR S.A.
CHECK POINT Equity M22465104 5,119,200 94,800 X 2 67,700
SOFTWARE TECH
X 2 27,100
FUNDTECH LTD. Equity M47095100 7,805,200 300,200 X 2 179,100
X 2 121,100
GALILEO Equity M47298100 25,807,500 573,500 X 2 346,300
TECHNOLOGY
X 2 227,200
ORCKIT Equity M7531S10 8,065,000 322,600 X 2 242,300
COMMUNICATION
LTD
X 2 80,300
6,887,500 275,500 X 7 275,500
CORE LABS Equity N22717107 3,375,400 241,100 X 2 241,100
NEW HOLLAND Equity N62648105 397,800 23,400 X 2 23,400
NV
8,834,900 519,700 X 7 519,700
ROYAL Equity V7780T103 17,600,000 400,000 X 7 400,000
CARRIBEAN
CRUSIE LTD
FLEXTRONICS Equity Y2573F102 19,728,800 352,300 X 6 318,800
INTERNATIONAL
LTD
X 6 33,500
6,266,400 111,900 X 7 111,900
- ----------------------------------------------------------------------------------------------------------------------------
Total Market Value 68,348,369,104
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