PIMCO ADVISORS L P /
13F-HR, 1999-11-15
INVESTMENT ADVICE
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<PAGE>

               United States Securities and Exchange Commission
                            Washington, D.C. 20549

                                   FORM 13F

       Report for the Calendar Year or Quarter Ended September 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.
<TABLE>
<S>                                                            <C>
                                                                                  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) 219-2200
                                                                               /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))

- --------------------------------------------------------------------------------------------------------------------------
         Report Summary:

         Number of Other Included Managers:          6
         Form 13-F Information Table Entry Total:    3,545
         Form 13-F Information Table Value Total:    64,669,266,620
- --------------------------------------------------------------------------------------------------------------------------
         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>
<TABLE>
<CAPTION>
          ----------------- -------------------- ---------------------------------------------------
          No                   13F File No.:     Name:
          ----------------- -------------------- ---------------------------------------------------
          <S>               <C>                  <C>
          1.                28-5658              Cadence Capital Management
          ----------------- -------------------- ---------------------------------------------------
          2.                --                   Reserved
          ----------------- -------------------- ---------------------------------------------------
          3.                28-4554              NFJ Investment Group
          ----------------- -------------------- ---------------------------------------------------
          4.                28-4976              Pacific Investment Management Company
          ----------------- -------------------- ---------------------------------------------------
          5.                28-4558              Parametric Portfolio Associates
          ----------------- -------------------- ---------------------------------------------------
          6.                28-204               Oppenheimer Capital
          ----------------- -------------------- ---------------------------------------------------
          7.                28- 2701             PIMCO Advisors L.P.
          ----------------- -------------------- ---------------------------------------------------
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 1                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   AAR CORP        Equity  000361105   5,878,800     326,600           X            3       179,400
                                                                       X            3                     147,200
                                          28,728       1,596           X            5         1,596
   A D C           Equity  000886101   2,643,438      62,939           X            5        62,939
   TELECOMMUNICA
   COM
   AFLAC INC COM   Equity  001055102   2,485,266      59,173           X            5        59,173
                                     801,172,974  19,075,547           X            6    16,353,247
                                                                       X            6                              2,722,300
   AG SVCS AMER    Equity  001250109   2,070,000     138,000           X            1       138,000
   INC COM
   AES CORP COM    Equity              2,701,492      45,788           X            5        45,788
   AK STL HLDG     Equity  001547108     219,618      12,201           X            5        12,201
   CORP COM
   AMB PROPERTY    Equity  00163T109     649,299      30,919           X            5        30,919
   CORP COM
   AMFM INC COM    Equity  001693100     982,954      16,114           X            5        16,114
                                     913,660,742   1,693,300           X            6     1,693,300
                                                                       X            6                              2,319,400
   AMR CORP COM    Equity  001765106   1,186,974      21,981           X            5        21,981
                                     863,873,996  15,850,899           X            6    15,850,899
                                                                       X            6                              3,153,995
   ARM FINANCIAL   Equity  001944107           0      19,700           X            5        19,700
   AT&T CORP COM   Equity  001957109  57,413,180   1,304,845           X            5     1,304,845
                                      75,852,995   1,743,747           X            6     1,743,747
                                                                       X            6                                317,667
   AT&T CORP COM   Equity  001957208   2,671,955      72,215           X            5        72,215
   LIB GRP A
                                       7,318,600     197,800           X            6       197,800
   AVT             Equity  002420107  14,083,300     454,300           X            1       405,700
   CORPORATION
                                                                       X            1                                 48,600
                                          15,779         509           X            5           509
   AXA FINL INC    Equity  002451102   7,535,248     134,558           X            5       134,558
   ABBOTT LABS     Equity  002824100  10,006,465     270,445           X            5       270,445
   COM
   ABERCROMBIE &   Equity  002896207  26,713,324     785,686           X            1       721,286
   FITCH CO CL A
                                                                       X            1                                 64,400
                                         486,642      14,313           X            5        14,313
   ABINGTON        Equity  00350P100   1,802,400     150,200           X            1       150,200
   BANCORP INC
   NEW    COM
   ACNIELSEN       Equity  004833109  10,396,690     452,030           X            1       418,730
   CORP
   COM
                                                                       X            1                                 33,300
                                         284,694      12,378           X            5        12,378
   ACTUATE CORP    Equity  00508B102   6,007,800     176,700           X            1       152,200
    COM
                                                                       X            1                                 24,500
   ACXIOM CORP     Equity  005125109     299,180      14,959           X            5        14,959
   COM
   ADAPTEC INC     Equity  00651F108  29,700,000     742,500           X            1       682,300
   COM
                                                                       X            1                             60,200
                                       4,386,400     109,660           X            5       109,660
                                       4,568,400     114,210           X            6       102,665
                                                                                                                  11,545
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 2                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   ADAPTEC INC     Equity  00651FAC2   4,559,556     114,885           X            6       114,885
   Adeplhia        Equity  006848402     932,800       5,300           X            4         5,300
   Communications
   Conv. Pf
   ADOBE SYS INC   Equity  00724F101  30,916,800     542,400           X             1       498,000
   COM
                                                                       X             1                                 44,400
                                         705,717      12,381           X             5        12,381
   ADVANCED        Equity  00754A105     253,836      11,538           X             5        11,538
   FIBRE COMMNCT
   COM
   ADVANCED        Equity  007903107     388,620      22,860           X             5        22,860
   MICRO DEVICES
   COM
   ADVANCED        Equity  007973100   5,722,600     184,600           X             1       159,000
   ENERGY INDS
   INC    COM
                                                                       X             1                                 25,600
                                           9,672         312           X             5           312
   AETNA INC COM   Equity  008117103   3,050,103      62,247           X             5        62,247
   AFFILIATED      Equity  008190100     618,321      15,081           X             5        15,081
   COMPUTER SVCS
   - A
   AFFILIATED      Equity  008252108     268,704       9,952           X             5         9,952
   MANAGERS
   GROUP
   AIR EXPRESS     Equity  009104100      86,917       3,779           X             5         3,779
   INTL CORP COM
                                      44,089,091   1,943,278           X             6     1,943,278
  AIR PRODS &      Equity  009158106     687,387      23,703           X             5        23,703
   CHEMS INC COM
  AIRGAS INC COM   Equity  009363102     247,044      20,587           X             5        20,587
  ALABAMA NATL     Equity  010317105   3,571,900     155,300           X             1       155,300
   BANCORPORATIO
   COM
                                           6,900         300           X             5           300
   ALBANY INTL   Equity  012348108        52,305       3,487           X             5         3,487
   CORP CL A
                                       7,030,085     464,799           X             6       464,799
   ALBERTO      Equity  013068101        450,892      19,604           X             5        19,604
   CULVER CO CL B
   CONV
   ALBERTSONS      Equity  013104104   7,835,360     195,884           X             5       195,884
   INC COM
   ALCAN           Equity  013716105     447,640      14,440           X             5        14,440
   ALUMINIUM NEW
   COM
   ALCOA INC       Equity  013817101  29,840,600     481,300           X             1       474,200
         COM
                                                                       X             1                                  7,100
                                      14,283,622     230,381           X             5       230,381
                                     451,102,681   7,268,464           X             6     5,895,854
                                                                       X             6                              1,372,610
   ALLEGHANY       Equity  017175100     483,387       2,731           X             5         2,731
   CORP DEL COM
                                       7,251,188     429,700           X             6       429,700
   ALLEGHENY       Equity  017361106     551,328      17,229           X             5        17,229
   ENERGY INC COM
   ALLEGHENY       Equity  017415100     417,877      24,581           X             5        24,581
   TELEDYNE INC
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 3                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   ALLERGAN INC    Equity  018490102  34,421,090     312,919           X            1       287,319
   COM
                                                                       X            1                                 25,600
                                       1,308,780      11,898           X            5        11,898
   ALLIANT ENERGY  Equity  018802108     426,720      15,240           X            5        15,240
   CORP
   ALLIED SIGNA    Equity  019512102  45,180,000     753,000           X            1       742,300
   INC
                                                                       X            1                                 10,700
                                      10,667,460     177,791           X            5       177,791
                                      11,756,838     196,150           X            6       150,275
                                                                       X            6                                 45,875
   ALLIED WASTE    Equity  019589308     451,164      37,597           X            5        37,597
   INDS INC COM
   PAR$.0
   ALLMERICA       Equity  019754100  23,261,376     484,612           X            1       445,112
   FINANCIAL CORP
                                                                       X            1                                 39,500
                                       1,660,800      34,600           X            5        34,600
   ALLSTATE CORP   Equity  020002101   8,682,300     347,292           X            5       347,292
   COM
                                         947,644      38,000           X            6        38,000
   ALLTEL CORP     Equity  020039103  31,311,000     447,300           X            1       440,500
                                                                       X            1                                  6,800
                                       4,650,590      66,437           X            5        66,437
   ALTERA CORP     Equity  021441100  45,021,000   1,047,000           X            1     1,031,300
                                                                       X            1                                 15,700
                                       1,766,483      41,081           X            5        41,081
   ALZA CORP DEL   Equity  022615108     938,260      21,820           X            5        21,820
   COM
   AMAZON COM      Equity  023135106     853,200      10,665           X            5        10,665
   INC COM
   AMBAC INC       Equity  023139108  22,245,664     473,312           X            1       434,512
          COM
                                                                       X            1                                 38,800
                                       2,853,417      60,711           X            5        60,711
   AMERADA HESS    Equity  023551104  30,195,000     495,000           X            1       455,000
   CORP
                                                                       X            1                                 40,000
                                         689,544      11,304           X            5        11,304
   AMEREN CORP     Equity  023608102   1,289,226      33,927           X            5        33,927
   COM
                                          68,063       1,800           X            6         1,800
   AMERICA ONLINE  Equity  02364J104  18,094,752     173,988           X            5       173,988
   INC DEL COM
   AMERICAN ELEC   Equity  025537101   1,047,472      30,808           X            5        30,808
   PWR INC COM
                                         119,437       3,500           X            6         3,500
   AMERICAN        Equity  02553E106  10,780,800     224,600           X            1       193,300
   EAGLE
   OUTFITTERS INC.
                                                                       X            1                                 31,300
                                         364,608       7,596           X            5         7,596
   AMERICAN        Equity  025816109  34,249,905     253,703           X            1       249,903
   EXPRESS CO
                                                                       X            1                                  3,800
                                      10,160,910      75,266           X            5        75,266
                                      10,570,500      78,300           X            6        55,900
                                                                       X            6                                 22,400
   AMERICAN        Equity  02629V108   6,676,200     370,900           X            1       319,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 4                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   FREIGHTWAYS
   CORP   COM
                                                                       X            1                                51,600
                                          47,754       2,653           X            5         2,653
   AMERICAN        Equity  026351106   7,889,301     125,227           X            5       125,227
   GENERAL CORP
   COM
   AMERICAN        Equity  026375105     243,750       9,375           X            5         9,375
   GREETINGS CP
   CL A
                                         234,325       9,100           X            6         9,100

   AMERICAN        Equity  026494104   7,126,000     356,300           X            3       193,200
   HEALTH PPTYS
                                                                       X            3                     163,100
                                          62,200       3,110           X            5         3,110
   AMERICAN HOME   Equity  026609107  14,922,600     355,300           X            3       293,700
   PRODS C
                                                                       X            3                      61,600
                                       6,279,042     149,501           X            5       149,501
                                   1,218,997,220  29,373,427           X            6    24,341,037
                                                                       X            6                              5,032,390
   AMERICAN        Equity  02686G101     100,000      12,500           X            6                                 12,500
   INSURED MTG
   INVS LP 88
   AMERICAN INTL   Equity  026874107  51,401,862     590,826           X            5       590,826
   GROUP COM
                                      27,892,927     320,837           X            6       287,232
                                                                       X            6                                 33,605
   AMERICAN MGMT   Equity  027352103     262,002      10,077           X            5        10,077
   SYS INC COM
   AMERICAN MED    Equity  02744P101      21,810       3,635           X            5         3,635
   SEC GROUP COM
                                       7,206,615   1,108,710           X            6     1,087,910
                                                                       X            6                                 20,800
   AMERICAN        Equity  027714104   4,998,211     315,450           X            6       315,450
   NATIONAL CAN
   GROUP
   AMERN PWR       Equity  029066107     643,378      33,862           X            5        33,862
   CONVERSION
   COM
   AMERICAN STD    Equity  029712106     634,296      16,264           X            5        16,264
   COS INC COM
   AMERICAN WTR    Equity  030411102     358,179      12,351           X            5        12,351
   WKS INC COM
   AMERICREDIT     Equity  03060R101     557,415      37,161           X            5        37,161
   CORP COM
   AMERISOURCE     Equity  03071P102     350,568      14,607           X            5        14,607
   HEALTH CP CL A
                                      18,109,358     764,495           X            6       764,495
   AMERITRADE      Equity  03072H109     231,048      12,836           X            5        12,836
   HLDG CORP
   AMERUS LIFE     Equity  030732101   5,851,209     278,629           X            3       146,829
   HLDGS INC
                                                                       X            3                     131,800
   AMES DEPT       Equity  030789507   7,148,800     223,400           X            1       193,200
   STORES INC
   COM
                                                                       X            1                                 30,200
                                          82,912       2,591           X            5         2,591
   AMERITECH       Equity  030954101  35,416,200     528,600           X            1       520,600

                                         190,905       2,860           X            6         2,860
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 5                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   CORP NEW
   COM
                                                                       X            1                                  8,000
                                      40,474,097     604,091           X            5       604,091
   AMETEK INC      Equity  031100100     225,080      11,254           X            5        11,254
   NEW COM
   AMGEN INC COM   Equity  031162100  11,647,936     142,048           X            5       142,048
                                         293,400       3,600           X            6         3,600
   AMSOUTH         Equity  032165102     375,314      16,318           X            5        16,318
   BANCORPORATIO
   COM
   ANACOMP INC     Equity  032371106     257,712      16,107           X            5        16,107
   DEL COM
   ANADARKO PETE   Equity  032511107  31,046,500   1,001,500           X            1       951,900
   CORP          COM
                                                                       X            1                                 49,600
                                       2,019,929      65,159           X            5        65,159
                                      43,008,315   1,407,202           X            6     1,040,802
                                                                       X            6                                366,400
   ANALOG          Equity  032654105   4,026,399      78,949           X            5        78,949
   DEVICES INC COM
   ANALYSTS INTL   Equity  032681108      29,240       2,924           X            5         2,924
   CORP
                                       2,526,728     243,540           X            6       243,540
   ANDOVER         Equity  034258103   1,401,000      46,700           X            3                      46,700
   BANCORP INC D
                                          12,000         400           X            5           400
   ANDREW CORP     Equity  034425108     196,775      11,575           X            5        11,575
   COM
   ANDRX CORP      Equity  034551101     238,773       4,047           X            5         4,047
   COM
   ANHEUSER        Equity  035229103  47,075,000     672,500           X            1       662,200
   BUSCH COS INC
                                                                       X            1                                 10,300
                                      17,500,000     250,000           X            3       156,700
                                                                       X            3                      93,300
                                      11,163,670     159,481           X            5       159,481
                                       3,752,784      53,563           X            6        47,263
                                                                       X            6                                  6,300
   ANNTAYLOR       Equity  036115103   8,003,200     195,200           X            1       168,200
   STORES CORP
    COM
                                                                       X            1                                 27,000
                                         200,408       4,888           X            5         4,888
   ANSYS INC       Equity  03662Q105   3,564,000     356,400           X            1       356,400
          COM
   ANTHRACITE      Equity  037023108     143,521      20,503           X            5        20,503
   CAPITAL INC
   AON CORP COM    Equity  037389103   2,476,590      82,553           X            5        82,553
   APACHE CORP     Equity  037411105  34,898,800     811,600           X            1       744,700
   COM
                                                                       X            1                                 66,900
                                         367,306       8,542           X            5         8,542
   Apache Corp.    Equity  037411600   3,080,000      77,000           X            4        77,000
   Conv. Pfd.
   APARTMENT       Equity  03748R101  25,319,400     666,300           X            1       612,100
   INVT & MGMT CO
   CL A
                                                                       X            1                                 54,200
                                          38,250       1,000           X            6         1,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 6                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                         113,430       2,985       X                5         2,985
   APOGEE          Equity  037598109      76,300      10,900       X                5        10,900
   ENTERPRISES
   INC COM
   APOLLO GROUP    Equity  037604105     276,087      13,147       X                5        13,147
   INC CL A
   APPLE           Equity  037833100  11,281,851     179,077       X                5       179,077
   COMPUTER INC
   COM
   APPLIED         Equity  03820C105      24,534       1,363       X                5         1,363
   INDLTECH INC
   COM
                                      18,970,632   1,053,924       X                6     1,030,124
                                                                   X                6                                   23,800
   APPLIED MATLS   Equity  038222105  44,460,000     570,000       X                1       561,500
   INC
                                                                   X                1                                    8,500
                                       5,241,990      67,205       X                5        67,205
   APPLIED PWR     Equity  038225108     296,250       9,875       X                5         9,875
   INC CL A
                                      16,448,822     541,525       X                6       486,125
                                                                   X                6                                   55,400
   APPLIED MICRO   Equity   03822W10     376,485       6,605       X                5         6,605
   CIRCUITS COM
   APPLIED         Equity  038236105   2,028,600      96,600       X                1        83,200
   SCIENCE &
   TECHN INC COM
                                                                   X                1                                   13,400
   ARCHER          Equity  039483102     715,596      59,633       X                5        59,633
   DANIELS
   MIDLAND COM
                                          68,749       5,670       X                6         5,670
   ARCHSTONE       Equity  039581103      80,940       4,047       X                5         4,047
   CMNTYS TR SH
   BEN INT
                                       7,389,048     374,129       X                6       374,129
   ARDENT          Equity  039794102   7,576,200     280,600       X                1       261,700
   SOFTWARE INC
        COM
                                                                   X                1                                   18,900
                                           7,398         274       X                5           274
   ARGOSY GAMING   Equity  040228108   6,531,200     502,400       X                1       432,700
   CORP COM
                                                                   X                1                                   69,700
                                          22,308       1,716       X                5         1,716
   ARKANSAS BEST   Equity  040790107   2,602,800     216,900       X                1       216,900
   CORP DEL
   COM
                                           3,516         293       X                5           293
   ARMCO INC COM   Equity  042170100     154,756      22,108       X                5        22,108
   ARMSTRONG       Equity  042476101  11,260,890     250,242       X                3        98,392
   WORLD
                                                                   X                3                     151,850
                                         523,260      11,628       X                5        11,628
                                       3,429,000      76,200       X                6        60,000
                                                                   X                6                                   16,200
   ARNOLD INDS     Equity  042595108     146,575      11,275       X                5        11,275
   INC COM
   ARROW           Equity  042735100     255,420      14,190       X                5        14,190
   ELECTRS INC
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 7                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                     119,465,511   6,778,185        X                6     5,465,830
                                                                   X                6                                1,006,500
   ARROW INTL INC  Equity  042764100   7,261,800     279,300       X                3       137,850
   COM
                                                                   X                3                     141,450
                                          56,628       2,178       X                5         2,178
   ARTHROCARE      Equity  043136100   3,883,000      70,600       X                1        70,600
   CORP             COM
   ARVIN INDS INC  Equity  043339100   3,394,500     109,500       X                1        94,300
                                                                   X                1                                   15,200
                                         182,962       5,902       X                5         5,902
   ASARCO INC COM  Equity  043413103     247,995       9,185       X                5         9,185
   ASHLAND INC     Equity  044204105     451,520      13,280       X                5        13,280
   COM
   ASSOCIATED      Equity  045487105     266,364       7,399       X                5         7,399
   BANC CORP COM
   AT HOME         Equity  045919107     329,763       8,043       X                5         8,043
   CORPORATION
   ASSOCIATES      Equity  046008108   4,873,212     135,367       X                5       135,367
   FIRST CAP CL A
   ASTEC INDS INC  Equity  046224101   8,920,800     371,700       X                1       340,000
   COM
                                                                   X                1                                   31,700
                                          78,216       3,259       X                5         3,259
   ASYST           Equity  04648X107   7,098,300     215,100       X                1       185,200
   TECHNOLOGIES
   INC
                                                                   X                1                                   29,900
                                           2,475          75       X                5            75
   ATLANTIC        Equity  048825103  58,081,400     652,600       X                1       642,900
   RICHFIELD CO
                                                                   X                1                                    9,700
                                      15,428,684     173,356       X                5       173,356
   ATMEL CORP      Equity  049513104     639,506      18,809       X                5        18,809
   COM
   AUDIOVOX CORP   Equity  050757103   1,825,800     107,400       X                1       107,400
                CL A
   AUTHENTIC       Equity  052661105   7,014,600     389,700       X                3       212,600
   FITNESS COR
                                                                   X                3                     177,100
                                           9,684         538       X                5           538
   AUTOMATIC       Equity  053015103   4,281,435      95,143       X                5        95,143
   DATA PROCESS
   COM
   AUTOZONE INC    Equity  053332102     418,404      14,943       X                5        14,943
   COM
   AVALON BAY      Equity  053484101     739,772      21,758       X                5        21,758
   CMNTYS INC COM
   AVERY           Equity  053611109   1,384,360      26,120       X                5        26,120
   DENNISON CORP
   COM
                                      68,321,800   1,295,200       X                6     1,295,200
   AVISTA CORP     Equity  05379B107   7,322,400     406,800       X                3       223,100
   COM
                                                                   X                3                     183,700
                                          13,896         772       X                5           772
   AVNET INC COM   Equity  053807103     138,768       3,304       X                5         3,304
                                      80,443,986   1,915,333       X                6     1,736,628
                                                                   X                6                                  178,705
   AVON PRODS INC  Equity  054303102   2,202,125      88,085       X                5        88,085
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 8                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                     274,435,601  11,060,154       X                6     9,380,528
                                                                   X                6                                1,679,626
   BB&T CORP COM   Equity  054937107   1,212,512      37,891       X                5        37,891
   BISYS GROUP     Equity  055472104     254,928       5,424       X                5         5,424
   INC COM
                                         290,348       6,190       X                6         6,190
   BJ SERVICES CO  Equity  055482103     454,272      14,196       X                5        14,196
   COM
   BJS WHSL CLUB   Equity  05548J106  29,931,000     997,700       X                1       920,600
   INC COM
                                                                   X                1                                   77,100
                                         625,260      20,842       X                5        20,842
   BMC INDS INC    Equity  055607105      28,152       2,346       X                5         2,346
   MINN COM
                                      18,211,653   1,479,059       X                6     1,479,059
   BMC SOFTWARE    Equity  055921100  33,660,000     467,500       X                1       460,500
   INC
                                                                   X                1                                    7,000
                                       3,341,232      46,406       X                5        46,406
   BAKER HUGHES    Equity  057224107   1,301,491      44,879       X                5        44,879
   INC COM
                                       8,218,600     283,400       X                6       131,400
                                                                   X                6                                  152,000
   BALDOR ELEC CO  Equity  057741100     138,244       7,276       X                5         7,276
   COM
                                       9,631,622     508,587       X                6       508,587
   BALL CORP COM   Equity  058498106   2,496,648      56,742       X                5        56,742
   BANK OF         Equity  060505104  46,387,936     828,356       X                5       828,356
   AMERICA CORP
   COM
                                       2,758,338      49,532       X                6        49,532
                                                                   X                6                                   15,092
   BANK NEW YORK   Equity  064057102   7,469,583     226,351       X                5       226,351
   INC COM
                                         193,940       5,800       X                6         5,800
   BANK ONE CORP   Equity  06423A103  19,506,865     557,339       X                5       557,339
   COM
   BANK UTD CORP   Equity  065412108  23,358,144     729,942       X                1       667,842
   CL A
                                                                   X                1                                   62,100
                                          44,608       1,394       X                5         1,394
   BANKATLANTIC    Equity  065908501   6,451,836   1,075,306       X                3       639,108
   BANCORP                                                         X                3                     436,198
   BANKBOSTON      Equity  06605R106   9,848,075     229,025       X                5       229,025
   CORP COM
                                     982,854,294  22,659,465       X                6    17,881,505
                                                                   X                6                                4,777,960
   BANTA CORP.     Equity  066821109   6,648,400     302,200       X                3       170,800
                                                                   X                3                     131,400
                                          67,188       3,054       X                5         3,054
   BARD C R INC    Equity  067383109  26,528,492     564,436       X                1       517,436
                                                                   X                1                                   47,000
                                       1,995,808      42,464       X                5        42,464
   BARNES & NOBLE  Equity  067774109     255,060       9,810       X                5         9,810
   INC COM
   BARNES GROUP    Equity  067806109   6,200,000     310,000       X                3       168,500
                                                                   X                3                     141,500
                                           7,300         365       X                5           365
   BARRICK GOLD    Equity  067901108   1,086,184      49,372       X                5        49,372
   CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 9                Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   BARRETT RES     Equity  068480201   8,206,600     221,800       X                1       191,100
   CORP            COM
                                                                   X                1                                   30,700
                                         265,919       7,187       X                5         7,187
   BASIN EXPL INC  Equity  070107107   8,457,600     352,400       X                1       303,500
             COM
                                                                   X                1                                   48,900
                                           2,352          98       X                5            98
                                         259,608      10,817       X                6        10,817
   BATTLE MTN      Equity  071593107     100,620      33,540       X                5        33,540
   GOLD CO COM
   BAUSCH & LOMB   Equity  071707103  27,132,600     411,100       X                1       378,300
   INC
                                                                   X                1                                   32,800
                                       3,041,016      46,076       X                5        46,076
   BAXTER INTL INC Equity  071813109   5,891,220      98,187       X                5        98,187
   COM
   BEA SYS INC     Equity  073325102  46,301,500   1,322,900       X                1     1,219,400
   COM
                                                                   X                1                                  103,500
                                         239,120       6,832       X                5         6,832
   BEAR            Equity  073902108  12,718,600     334,700       X                1       307,800
   STEARNS COS
   INC
                                                                   X                1                                   26,900
                                       4,004,402     105,379       X                5       105,379
   BEAZER HOMES    Equity  07556Q105   2,639,100     138,900       X                1       138,900
   USA INC COM
   BECKMAN         Equity  075811109     316,530       7,034       X                5         7,034
   COULTER INC
   BECTON          Equity  075887109   1,121,596      40,057       X                5        40,057
   DICKINSON & CO
   COM
                                     619,722,610  22,083,263       X                6    18,504,498
                                                                   X                6                                3,578,765
   BED BATH &      Equity  075896100  31,940,090     912,574       X                1       840,874
   BEYOND INC
   COM
                                                                   X                1                                   71,700
                                         945,840      27,024       X                5        27,024
   BELL ATLANTIC   Equity  077853109  49,145,304     733,512       X                3       517,896
   CORP
                                                                   X                3                     215,616
                                      43,245,887     645,461       X                5       645,461
                                     662,602,785   9,843,608       X                6     7,655,363
                                                                   X                6                                2,188,245
   BELLSOUTH       Equity  079860102  41,015,565     911,457       X                5       911,457
   CORP COM
                                         230,670       5,126       X                6         5,126
   BELO A H CORP   Equity  080555105     313,177      16,483       X                5        16,483
   DEL COM SER A
   BEMIS INC COM   Equity  081437105     298,758       8,787       X                5         8,787
   BERGEN          Equity  083739102     956,120      95,612       X                5        95,612
   BRUNSWIG
   CORP CL A
   BERKSHIRE       Equity  084670108     275,000           5       X                5             5
   HATHAWAY INC
   CL A
   BERKSHIRE       Equity  084670207     419,456         226       X                5           226
   HATHAWAY INC
                                      14,116,736       7,606       X                6         7,606
   CL B
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 10               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   BEST BUY INC    Equity  086516101  27,764,964     447,822       X                1       411,222
            COM
                                                                   X                1                                   36,600
                                       2,859,440      46,120       X                5        46,120
   BESTFOODS COM   Equity  08658U101   1,447,950      29,550       X                5        29,550
   BETHLEHEM STL   Equity  087509105     190,211      27,173       X                5        27,173
   CORP COM
                                          15,465       2,097       X                6         2,097
   BEVERLY         Equity  087851309      54,272      13,568       X                5        13,568
   ENTERPRISE INC
   COM
   BIO             Equity  090578105     191,650      19,165       X                5        19,165
   TECHNOLOGY
   GEN CP COM
   BIOGEN N V      Equity  090597105  44,413,800     562,200       X                1       543,300
                                                                   X                1                                   18,900
                                       5,293,158      67,002       X                5        67,002
   BIOMET INC COM  Equity  090613100     776,984      29,884       X                5        29,884
   BIRMINGHAM      Equity  091270108     280,830      12,144       X                6        12,144
   UTILITIES INC
   BLACK & DECKER  Equity  091797100     801,504      17,424       X                5        17,424
   CORP COM
   Blackrock TargetEquity  092476100   1,000,000     100,000       X                4       100,000
   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   8,164,000     125,600       X                1       107,900
   HLDGS INC
   COM
                                                                   X                1                                   17,700
                                         340,145       5,233       X                5         5,233
                                       7,910,017     121,459       X                6       121,459
   BLOCK H & R INC Equity  093671105     648,569      15,083       X                5        15,083
   COM
                                      25,919,455     596,700       X                6       596,100
                                                                   X                6                                      600
   BLYTH INDS INC  Equity  09643P108     307,916      10,997       X                5        10,997
   COM
   BOEING CO COM   Equity  097023105  10,212,930     237,510       X                5       237,510
                                   1,102,911,602  25,874,759       X                6    22,742,873
                                                                   X                6                                3,131,886
   BOISE CASCADE   Equity  097383103  24,786,000     688,500       X                1       632,200
   CORP
                                                                   X                1                                   56,300
                                       2,594,952      72,082       X                5        72,082
   BOMBAY CO INC   Equity  097924104   1,647,000     329,400       X                1       329,400
               COM
                                           6,310       1,262       X                5         1,262
   BORG WARNER     Equity  099724106   6,002,800     139,600       X                3        83,800
   AUTOMOTIV
                                                                   X                3                      55,800
                                       1,484,102      34,514       X                5        34,514
   BOSTON          Equity  101137107   1,269,275      50,771       X                5        50,771
   SCIENTIFIC CORP
   COM
                                          49,500       2,000       X                6         2,000
   BOWATER INC     Equity  102183100     553,228      10,639       X                5        10,639
   COM
   BRAUNS          Equity  105658108   2,412,000     134,000       X                1       134,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 11               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   FASHIONS CORP
         COM
   BRIGGS &        Equity  109043109   4,564,600      78,700       X                1        67,700
   STRATTON
   CORPORATION
                                                                   X                1                                   11,000
                                         462,318       7,971       X                5         7,971
   BRINKER INTL    Equity  109641100     345,087      12,781       X                5        12,781
   INC COM
   BRISTOL MYERS   Equity  110122108  37,352,400     549,300       X                1       540,900
   SQUIBB CO
                                                                   X                1                                    8,400
                                      27,596,712     405,834       X                5       405,834
                                          67,500       1,000       X                6         1,000
   BROADVISION     Equity  111412102  10,837,200     246,300       X                1       211,500
   INC             COM
                                                                   X                1                                   34,800
                                          67,056       1,524       X                5         1,524
   BROOKS          Equity  11434A100   1,936,800     107,600       X                1       107,600
   AUTOMATION
   INC       COM
                                           4,608         256       X                5           256
   BROOKSTONE      Equity  114537103   3,390,000     226,000       X                1       226,000
   INC              COM
   BROWN-FORMAN    Equity  115637209  12,679,000     204,500       X                3       135,400
   CORP CLA
                                                                   X                3                      69,100
                                         609,150       9,825       X                5         9,825
   BROWN SHOE      Equity  115736100   6,352,200     352,900       X                3       190,800
   INC NEW CO
                                                                   X                3                     162,100
                                          38,016       2,112       X                5         2,112
   BRUNSWICK       Equity  117043109  15,125,000     605,000       X                3       503,600
   CORP
                                                                   X                3                     101,400
                                       1,744,075      69,763       X                5        69,763
   BUILDING MATLS  Equity  120113105   3,241,000     324,100       X                1       324,100
   HLDG CORP
   COM
                                           6,490         649       X                5           649
   BURLINGTON      Equity  121579106   7,772,000     388,600       X                1       334,800
   COAT FACTORY
   WHSECOM
                                                                   X                1                                   53,800
                                       6,980,000     349,000       X                3       188,600
                                                                   X                3                     160,400
                                          23,100       1,155       X                5         1,155
   BURLINGTON      Equity  12189T104   1,665,720      59,490       X                5        59,490
   NRTHN SANTA
   COM
                                     176,422,098   6,415,349       X                6     4,890,049
                                                                   X                6                                1,525,300
   BURLINGTON      Equity  122014103     689,828      18,644       X                5        18,644
   RES INC COM
                                         546,105      14,860       X                6        14,163
                                                                   X                6                                      697
   BUTLER MFG CO   Equity  123655102   6,253,000     240,500       X                3       138,800
   DEL
                                                                   X                3                     101,700
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 12               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                          51,220       1,970       X                5         1,970
   C&D             Equity  124661109   6,753,600     187,600       X                3       100,200
   TECHNOLOGIES
   INC
                                                                   X                3                      87,400
                                         326,664       9,074       X                5         9,074
                                       3,490,987      96,136       X                6        96,136
   CCB FINL CORP   Equity  124875105  13,811,952     328,856       X                1       302,156
             COM
                                                                   X                1                                   26,700
                                       1,330,812      31,686       X                5        31,686
   CBS             Equity  12490K107  38,727,400     841,900       X                1       828,700
   CORPORATION
                                                                   X                1                                   13,200
                                      17,107,860     371,910       X                5       371,910
   C-CUBE          Equity  125015107     286,352       6,508       X                5         6,508
   MICROSYSTEMS
   COM
   CEC ENTMT INC   Equity  125137109  10,015,200     278,200       X                1       239,200
   COM
                                                                   X                1                                   39,000
                                         281,520       7,820       X                5         7,820
   C.H. ROBINSON   Equity   12541W10     228,004       6,706       X                5         6,706
   WORLDWIDE INC
   CIGNA CORP      Equity  125509109  28,782,000     369,000       X                1       363,500
   COM
                                                                   X                1                                    5,500
                                       8,463,156     108,502       X                5       108,502
                                          81,638       1,050       X                6         1,050
   CK WITCO CORP   Equity  12562C108     382,665      25,511       X                5        25,511
   COM
   CMG             Equity  125750109   1,112,514      10,907       X                5        10,907
   INFORMATION
   SVCS COM
   CMP GROUP INC   Equity  125887109   7,896,200     303,700       X                3       141,000
   COM
                                                                   X                3                     162,700
                                         205,010       7,885       X                5         7,885
   CMS ENERGY      Equity  125896100     519,486      15,279       X                5        15,279
   CORP COM
   CNET INC COM    Equity  125945105     220,976       3,946       X                5         3,946
   CNA FINL CORP   Equity  126117100     458,675      13,105       X                5        13,105
   COM
   CNB             Equity  126126101     222,812       4,204       X                5         4,204
   BANCSHARES
   INC COM
   CNF TRANSN INC  Equity   12612W10   5,082,172     137,356       X                5       137,356
   COM
   CSG SYS INTL    Equity  126349109  29,594,700   1,096,100       X                1     1,006,600
   INC COM
                                                                   X                1                                   89,500
                                          37,395       1,385       X                5         1,385
   CSX CORP COM    Equity  126408103     991,410      23,605       X                5        23,605
   CTS CORP        Equity  126501105  23,652,400     407,800       X                1       372,200
   COM
                                                                   X                1                                   35,600
                                         222,024       3,828       X                5         3,828
                                         610,160      10,520       X                6        10,520
   CVS CORP        Equity  126650100  38,511,300     939,300       X                1       925,000
   COM
                                         318,341       7,800       X                6         7,800
                                                                   X                1                                   14,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 13               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                       1,950,903      47,583       X                5        47,583
   CABLEVISION     Equity  12686C109     390,404       5,348       X                5         5,348
   SYS CORP CL A
   CABLETRON SYS   Equity  126920107     327,760      20,485       X                5        20,485
   INC COM
   CABOT CORP      Equity  127055101     889,968      37,082       X                5        37,082
   COM
   CABOT INDL TR   Equity  127072106   6,682,300     351,700       X                3       192,800
   COM SH
                                                                   X                3                     158,900
   CABOT OIL & GAS Equity  127097103      11,118         654       X                5           654
   CORP CL A
                                      10,305,909     597,444       X                6       597,444
   CADENCE         Equity  127387108     392,678      30,206       X                5        30,206
   DESIGN SYS INC
   COM
                                       3,014,725     225,400       X                6       195,806
                                                                   X                6                                   29,600
   CADIZ INC       Equity  127537108     161,430      16,143       X                5        16,143
   CALPINE CORP    Equity  131347106   3,777,230      44,438       X                5        44,438
   COM
   CAMBREX CORP    Equity  132011107      54,444       2,094       X                5         2,094
   COM
                                      17,605,329     665,910       X                6       665,910
   CAMPBELL SOUP   Equity  134429109   1,881,243      48,237       X                5        48,237
   CO COM
   CANADIAN        Equity  135923100      32,890       1,430       X                5         1,430
   PACIFIC LTD
   NEW COM
                                     603,425,727  26,450,959       X                6    22,966,619
                                                                   X                6                                3,484,340
   CANADIAN NATL   Equity  136375102  26,172,000     872,400       X                1       858,200
   RY CO COM
                                                                   X                1                                   14,200
                                          26,580         886       X                5           886
   CANADAIGUA      Equity  137219200   8,694,000     144,900       X                1       124,500
   BRANDS INC
   CLASS A
                                                                   X                1                                   20,400
                                         232,560       3,876       X                5         3,876
   CAPITAL ONE     Equity  14040H105  34,047,000     873,000       X                1       859,800
   FINANCIAL
                                                                   X                1                                   13,200
                                       1,351,896      34,664       X                5        34,664
   CAPSTEAD MTG    Equity  14067E100     222,684      55,671       X                5        55,671
   CORP COM
   CARAUSTER       Equity  140909102   7,495,800     288,300       X                3       163,300
   INDS INC
                                                                   X                3                     125,000
                                         130,520       5,020       X                5         5,020
   CARDINAL        Equity  14149Y108   5,012,442      92,823       X                5        92,823
   HEALTH INC COM
                                      14,733,306     272,839       X                6       262,839
                                                                   X                6                                   10,000
   CAREMARK RX     Equity  141705103     164,580      27,430       X                5        27,430
   CARLISLE COS    Equity  142339100     157,640       3,941       X                5         3,941
   INC COM
                                      12,496,220     316,360       X                6       291,360
                                                                   X                6                                   25,000
   CARNIVAL CORP   Equity  143658102   2,515,128      57,162       X                5        57,162
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 14               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                     112,266,000   2,551,500       X                6     1,531,500
                                                                   X                6                                1,020,000
   CAROLINA PWR &  Equity  144141108     861,140      24,604       X                5        24,604
   LT CO COM
   CARRIER         Equity  144460102   3,024,000      72,000       X                1        62,000
   ACCESS CORP
      COM
                                                                   X                1                                   10,000
                                         121,800       2,900       X                5         2,900
   CASE CORP COM   Equity  14743R103     778,800      15,576       X                5        15,576
                                         715,000      14,300       X                6         5,300
                                                                   X                6                                    9,000
   CASEYS GEN      Equity  147528103     178,217      13,709       X                5        13,709
   STORES COM
   CASTLE A M & CO Equity  148411101     182,312      14,024       X                5        14,024
   COM
   CATALINA        Equity  148867104     371,195       4,367       X                5         4,367
   MARKETING CP
   COM
   CATALYST INTL   Equity  14887T105   2,061,600     171,800       X                1       171,800
   INC           COM
   CATERPILLAR     Equity  149123101   3,063,005      55,691       X                5        55,691
   INC DEL COM
                                   1,146,489,537  20,916,380       X                6    18,675,040
                                                                   X                6                                2,241,340
   CENDANT CORP    Equity  151313103   4,379,256     243,292       X                5       243,292
   COM
   CENTENNIAL      Equity  15133V208     216,045       4,801       X                5         4,801
   CELLULAR CP CL
   A NEW
   CENTER TR INC   Equity  151845104     160,160      14,560       X                5        14,560
   CENTER TR INC
   CENTEX CORP     Equity  152312104   5,633,400     187,780       X                5       187,780
   COM
   CENTEX CONSTR   Equity  15231R109   6,700,700     181,100       X                3        99,400
   PRODS I
                                                                   X                3                      81,700
                                           8,658         234       X                5           234
   CENTOCOR INC    Equity  152342101     936,330      15,870       X                5        15,870
   COM
   CENTRAL &       Equity  152357109  11,817,750     562,750       X                3       230,750
   SOUTH WEST
                                                                   X                3                     332,000
                                         961,737      45,797       X                5        45,797
   CENTRAL         Equity  154647101   8,883,600     201,900       X                1       173,900
   NEWSPAPERS
   INC CL A
                                                                   X                1                                   28,000
                                      17,344,800     394,200       X                3       328,400
                                                                   X                3                      65,800
                                         315,084       7,161       X                5         7,161
   CENTURYTEL INC  Equity  156700106  31,984,346     780,106       X                1       715,806
                                                                   X                1                                   64,300
                                       2,916,207      71,127       X                5        71,127
   CERIDIAN CORP   Equity  15677T106   1,677,275      67,091       X                5        67,091
   COM
   CHAMPION INTL   Equity  158525105  35,501,100     696,100       X                1       685,600
   CORP
                                                                   X                1                                   10,500
                                         543,864      10,664       X                5        10,664
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 15               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                     150,120,833   2,922,060       X                6     2,613,760
                                                                   X                6                                  308,300
   CHARTER ONE     Equity  160903100     469,062      20,394       X                5        20,394
   FINL INC COM
   CHARTER         Equity  160908109     137,618      10,586       X                5        10,586
   MUNICIPAL
   MORTGAGE
   ACCEP
   CHARMING        Equity  161133103     101,515      20,303       X                5        20,303
   SHOPPES INC
   COM
   CHARTWELL RE    Equity   16139W10   6,533,604     466,686       X                6       466,686
   CORP
   CHASE           Equity  16161A108  36,900,900     492,012       X                5       492,012
   MANHATTAN
   NEW COM
                                     320,477,164   4,251,770       X                6     3,266,815
                                                                   X                6                                  984,955
   CHEMED CORP     Equity  163596109   7,053,000     235,100       X                3       120,200
                                                                   X                3                     114,900
                                         325,500      10,850       X                5        10,850
   CHEVRON         Equity  166751107  30,096,685     338,165       X                5       338,165
   CORPORATION
   COM
                                       1,367,460      15,408       X                6        15,408
   CHICOS FAS INC  Equity  168615102   4,328,100     160,300       X                1       160,300
              COM
                                           3,780         140       X                5           140
   CHILDRENS PL    Equity  168905107   4,654,800     172,400       X                1       148,500
   RETAIL STORES
   ICOM
                                                                   X                1                                   23,900
                                             108           4       X                5             4
   CHIQUITA        Equity  170032106   2,832,600     472,100       X                3       270,500
   BRANDS INTL
                                                                   X                3                     201,600
                                          29,370       4,895       X                5         4,895
   CHIRON CORP     Equity  170040109   2,652,636      94,737       X                5        94,737
   COM
   CHITTENDEN      Equity  170228100  11,416,804     407,743       X                1       351,043
   CORP
                                                                   X                1                                   56,700
                                          54,124       1,933       X                5         1,933
   CHOICEPOINT     Equity  170388102     304,783       4,549       X                5         4,549
   INC COM
   CHUBB CORP      Equity  171232101   1,148,150      22,963       X                5        22,963
   COM
   CHURCH &        Equity  171340102     246,300       9,852       X                5         9,852
   DWIGHT INC COM
   CIENA CORP COM  Equity  171779101     436,752      12,132       X                5        12,132
   CINCINNATI BELL Equity  171870108     621,699      32,721       X                5        32,721
   INC COM
   CINCINNATI FINL Equity  172062101   1,324,756      34,862       X                5        34,862
   CORP COM
                                          74,424       1,983       X                6         1,983
   CINERGY CORP    Equity  172474108     599,620      21,415       X                5        21,415
   COM
   CIRCUIT CITY    Equity  172737108  31,617,600     752,800       X                1       741,500
   STORES INC
                                                                   X                1                                   11,300
                                       1,081,038      25,739       X                5        25,739
   CISCO SYS INC   Equity  17275R102  45,660,750     661,750       X                1       652,300
                                         314,567       4,588       X                6         4,588
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 16               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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                                  9,450
                                      44,855,313     650,077           X            5       650,077
   CINTAS CORP     Equity  172908105   1,135,350      19,575           X            5        19,575
   COM
   CITIGROUP INC.  Equity  172967101  32,430,200     737,050           X            1       726,250
                                                                       X            1                                 10,800
                                      28,461,444     646,851           X            5       646,851
                                   2,051,043,764  46,614,631           X            6    40,544,671
                                                                       X            6                              6,069,960
   CITIZENS UTILS  Equity  177342201     946,418      86,038           X            5        86,038
   CO DEL CL B
   CITRIX SYS INC  Equity  177376100  37,187,352     599,796           X            1       570,196
            COM
                                                                       X            1                                 29,600
                                         955,296      15,408           X            5        15,408
   CITY NATL CORP  Equity  178566105   7,602,400     223,600           X            1       192,200
                                                                       X            1                                 31,400
                                       1,094,732      32,198           X            5        32,198
   CLAIRES STORES  Equity  179584107   7,000,600     411,800           X            3       228,800
   INC CO
                                                                       X            3                     183,000
                                         184,739      10,867           X            5        10,867
   CLARIFY INC     Equity  180492100   7,380,000     147,600           X            1       127,100
          COM
                                                                       X            1                                 20,500
                                         330,100       6,602           X            5         6,602
   CLEAR CHANNEL   Equity  184502102   4,390,880      54,886           X            5        54,886
   COMMUN COM
   CLEVELAND       Equity  185896107   6,510,000     210,000           X            3       112,500
   CLIFFS INC
                                                                       X            3                      97,500
                                          67,115       2,165           X            5         2,165
   CLOROX CO DEL   Equity  189054109   2,091,824      55,048           X            5        55,048
   COM
   COASTAL CORP    Equity  190441105   7,859,495     191,695           X            5       191,695
   COM
   COCA COLA CO    Equity  191216100  19,160,208     399,171           X            5       399,171
   COM
   COCA COLA       Equity  191219104   1,142,456      49,672           X            5        49,672
   ENTERPRISES
   COM
                                          77,683       1,610           X            6         1,610
   COGNEX CORP     Equity  192422103     267,030       8,901           X            5         8,901
   COM
   COHU INC        Equity  192576106   5,283,600     251,600           X            1       216,600
   COM
                                                                       X            1                                 35,000
   COLGATE         Equity  194162103   4,831,380     105,030           X            5       105,030
   PALMOLIVE CO
   COM
   COLONIAL        Equity  195493309   5,768,400     524,400           X            1       450,800
   BANCGROUP INC
                                                                       X            1                                 73,600
                                          88,627       8,057           X            5         8,057
   COLUMBIA        Equity  197648108     729,850      13,270           X            5        13,270
   ENERGY GROUP
   COLUMBIA/HCA    Equity  197677107   3,805,473     181,213           X            5       181,213
   HLTHCARE COM
                                          25,426       1,200           X            6         1,200
   COMAIR          Equity  199789108     561,629      33,037           X            5        33,037
   HOLDINGS INC
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 17               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   COMFORT SYS     Equity  199908104     159,264      13,272       X                5        13,272
   USA INC COM
   COMCAST CORP    Equity  200300200   7,235,000     180,875       X                5       180,875
   CL A SPL
   COMDISCO INC    Equity  200336105     431,281      22,699       X                5        22,699
   COM
   COMERICA INC    Equity  200340107   4,338,468      85,068       X                5        85,068
   COM
                                         172,125       3,400       X                6         3,400
   COMMERCE        Equity  200525103   1,184,750      33,850       X                5        33,850
   BANCSHARES
   COM
   COMMERCIAL      Equity  201647104   6,836,000     341,800       X                3       189,600
   FEDERAL CO
                                                                   X                3                     152,200
                                         247,660      12,383       X                5        12,383
   COMMERCIAL      Equity  201723103   6,658,400     229,600       X                3       125,100
   METALS (NE
                                                                   X                3                     104,500
                                          69,716       2,404       X                5         2,404
   COMMONWEALT     Equity  203349105     311,036       7,069       X                5         7,069
   TEL ENTPR COM
   COMMSCOPE INC   Equity  203372107     369,600      11,550       X                5        11,550
   COM
   COMMUNITY       Equity  203902101   3,381,300     198,900       X                1       198,900
   FIRST
   BANKSHARES
   COM
                                         168,538       9,914       X                5         9,914
   COMPAQ          Equity  204493100   4,283,313     186,231       X                5       186,231
   COMPUTER
   CORP COM
                                     870,919,395  38,072,979       X                6    32,799,394
                                                                   X                6                                5,273,585
   COMPASS         Equity  20449H109   2,214,650      88,586       X                5        88,586
   BANCSHARES
   INC COM
   COMPUTER        Equity  204912109  39,698,800     650,800       X                1       641,100
   ASSOC INTL INC
   COM
                                                                   X                1                                    9,700
                                       6,022,103      98,723       X                5        98,723
                                   2,330,502,362  38,126,828       X                6    31,365,763
                                                                   X                6                                6,761,065
   COMPUTER        Equity  205363104   3,445,890      49,227       X                5        49,227
   SCIENCES CORP
   COM
   COMPUWARE       Equity  205638109  32,182,800   1,237,800       X                1     1,219,200
   CORP
   COM
                                                                   X                1                                   18,600
                                       1,653,860      63,610       X                5        63,610
   COMSAT CORP     Equity  20564D107   1,277,400      42,580       X                5        42,580
   COM SER 1
   COMSTOCK RES    Equity  205768203      46,644      11,661       X                5        11,661
   INC COM NEW
   COMVERSE        Equity  205862402  46,268,774     492,221       X                1       454,571
   TECHNOLOGY
   INC COM
                                                                   X                1                                   37,650
                                       1,329,630      14,145       X                5        14,145
   CONAGRA INC     Equity  205887102   3,950,572     171,764       X                5       171,764
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 18               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   CONCORD EFS     Equity  206197105     815,346      38,826       X                5        38,826
   INC COM
   CONECTIV INC    Equity  206829103     344,080      17,204       X                5        17,204
   COM
   CONEXANT        Equity  207142100     558,450       7,650       X                5         7,650
   SYSTEMS INC
   COM
   CONOCO INC CL A Equity  208251306     328,104      11,718       X                5        11,718
                                         132,796       4,851       X                6         4,851
   CONOCO INC CL B Equity  208251405  34,260,300   1,268,900       X                3       733,400
                                                                   X                3                     535,500
                                       3,880,413     143,719       X                5       143,719
                                         132,796       4,851       X                6         4,851
   CONSECO INC     Equity  208464107  13,615,400     716,600       X                3       562,800
   COM
                                                                   X                3                     153,800
                                       4,117,699     216,721       X                5       216,721
                                     426,055,620  22,423,980       X                6    22,423,980
   CONSOLIDATED    Equity  209115104   8,796,984     209,452       X                5       209,452
   EDISON NY COM
   CONSOLIDATED    Equity  209615103     452,290       7,295       X                5         7,295
   NAT GAS COM
   CONSOLIDATED    Equity  209759109     412,911      15,293       X                5        15,293
   PAPERS COM
   CONSOLIDATED    Equity  209798107     117,750      11,775       X                5        11,775
   PRODS INC COM
   CONSOLIDATED    Equity  210149100     280,918      12,769       X                5        12,769
   STORES CP COM
   CONSTELLATION   Equity  210371100  13,055,000     466,250       X                3       180,400
   ENERGY
                                                                   X                3                     285,850
                                       3,119,788     111,421       X                5       111,421
   CONVERGYS       Equity  212485106     621,040      31,052       X                5        31,052
   CORP COM
   COOPER INDS     Equity  216669101     392,920       8,360       X                5         8,360
   INC COM
   COOPER TIRE &   Equity  216831107   1,132,308      62,906       X                5        62,906
   RUBR CO COM
   COORS ADOLPH    Equity  217016104   2,204,334      40,821       X                5        40,821
   CO CL B
   CORDANT         Equity  218412104   6,078,000     202,600       X                3       105,700
   TECHNOLOGIES
                                                                   X                3                      96,900
                                       1,043,430      34,781       X                5        34,781
   CORNERSTONE     Equity  21922H103     247,710      16,514       X                5        16,514
   PPTYS INC COM
   CORNING INC     Equity  219350105  32,671,500     473,500       X                1       466,300
   COM
                                                                   X                1                                    7,200
                                       3,246,864      47,056       X                5        47,056
   COSTCO WHSL     Equity  22160K105   9,953,496     138,243       X                5       138,243
   CORP NEW COM
   COUNTRYWIDE     Equity  222372104   3,392,192     106,006       X                5       106,006
   CR IND DEL COM
                                     425,221,120  13,185,151       X                6    13,185,151
   COVENTRY CORP   Equity  222862104     127,460      12,746       X                5        12,746
   COM
   COX             Equity  224044107   1,277,346      30,413       X                5        30,413
   COMMUNICATION
   NEW CL A
   CoX             Equity  224044305   4,060,000      70,000       X                4        70,000
   Communication
   Inc. Conv. Pfd
   CRANE CO COM    Equity  224399105   2,990,328     135,924       X                5       135,924
                                       6,133,988     273,375       X                6       273,375
   CRESCENT REAL   Equity  225756105     753,426      41,857       X                5        41,857
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 19               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   CRIIMI MAE INC  Equity  226603108     125,708      62,854       X                5        62,854
   COM
   CROSS TIMBERS   Equity  227573102   8,332,800     595,200       X                1       511,800
   OIL CO        COM
                                                                   X                1                                   83,400
                                         277,858      19,847       X                5        19,847
   CROSSMANN       Equity  22764E109   2,080,000     130,000       X                1       130,000
   COMNTYS INC
   COM
                                           6,816         426       X                5           426
   CROWN CORK &    Equity  228255105     285,648      11,902       X                5        11,902
   SEAL INC COM
   CULLEN FROST    Equity  229899109     266,650      10,666       X                5        10,666
   BANKERS COM
   CUMMINS         Equity  231021106     302,150       6,043       X                5         6,043
   ENGINE INC COM
   CYBEX           Equity  232522102   4,935,150     149,550       X                1       149,550
   COMPUTER
   PRODS CORP
   COM
                                           3,894         118       X                5           118
   CYPRESS         Equity  232806109  20,226,800     919,400       X                1       837,300
   SEMICONDUCTOR
   CORP  COM
                                                                   X                1                                   82,100
                                         456,126      20,733       X                5        20,733
   CYPRUS AMAX     Equity  232809103     303,320      15,166       X                5        15,166
   MINERALS COM
   CYTEC INDS INC  Equity  232820100     347,664      14,486       X                5        14,486
   COM
   DPL INC COM     Equity  233293109     324,774      18,043       X                5        18,043
   DST SYS INC DEL Equity  233326107     371,583       6,519       X                5         6,519
   COM
   DTE ENERGY CO   Equity  233331107  41,409,000   1,150,250       X                3       799,100
   COM
                                                                   X                3                     351,150
                                       6,052,716     168,131       X                5       168,131
   DAIN RAUSCHER   Equity  233856103   6,414,100     130,900       X                3        73,100
   CORP
                                                                   X                3                      57,800
                                         111,720       2,280       X                5         2,280
   DAL-TILE INTL   Equity  23426R108   2,317,600     289,700       X                1       289,700
   INC COM
                                          15,728       1,966       X                5         1,966
   DALLAS          Equity  235204104   6,890,000     130,000       X                3        70,100
   SEMICONDUCTOR
                                                                   X                3                      59,900
                                         324,519       6,123       X                5         6,123
   DANA CORP       Equity  235811106  41,238,572   1,114,556       X                3       761,206
                                                                   X                3                     353,350
                                       2,129,498      57,554       X                5        57,554
   DANAHER CORP    Equity  235851102   1,374,608      25,936       X                5        25,936
   DEL COM
   DARDEN          Equity  237194105   2,538,540     126,927       X                5       126,927
   RESTAURANTS
   INC COM
   DATA GEN CORP   Equity  237688106     251,139      11,959       X                5        11,959
   COM
   DAYTON          Equity  239753106  30,156,000     502,600       X                1       495,200
   HUDSON CORP
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 20               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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
                                       9,447,960     157,466       X                5       157,466
                                     339,075,542  13,041,367       X                6    13,041,367
   DAYTON          Equity  240028100   2,871,300     168,900       X                1       168,900
   SUPERIOR CORP
   CL A
   DEAN FOODS CO   Equity  242361103  28,798,000     654,500       X                1       600,900
                                                                   X                1                                   53,600
                                         134,244       3,051       X                5         3,051
   DEERE & CO COM  Equity  244199105   1,484,691      38,069       X                5        38,069
   DELL COMPUTER   Equity  247025109  32,487,000     773,500       X                1       761,800
   CORP COM
                                                                   X                1                                   11,700
                                      17,198,748     409,494       X                5       409,494
   DELPHI AUTO     Equity  247126105   2,897,216     181,076       X                5       181,076
   SYS CORP COM
   DELTA & PINE LD Equity  247357106     295,542      11,367       X                5        11,367
   CO COM
   DELTA AIR LINES Equity  247361108   4,434,960      92,395       X                5        92,395
   DEL COM
   DELUXE CORP     Equity  248019101  24,051,600     707,400       X                1       645,700
                                                                   X                1                                   61,700
                                      54,604,000   1,606,000       X                3     1,028,550
                                                                   X                3                     577,450
                                       4,043,246     118,919       X                5       118,919
   DENDRITE INTL   Equity  248239105  37,195,200   1,162,350       X                1     1,060,650
   INC COM
                                                                   X                1                                  101,700
                                       2,105,280      65,790       X                5        65,790
   DENTSPLY INTL   Equity  249030107     394,795      17,165       X                5        17,165
   INC NEW COM
                                      16,403,046     721,013       X                6       721,013
   DEPARTMENT 56   Equity  249509100     231,360       9,640       X                5         9,640
   INC COM
   DEVON ENERGY    Equity  25179M103     242,843       5,923       X                5         5,923
   CORP COM
   DEXTER CORP     Equity  252165105     293,225       7,925       X                5         7,925
   COM
   DIAL CORP       Equity  25247D101  22,831,536     878,136       X                1       806,436
                                                                   X                1                                   71,700
                                         588,224      22,624       X                5        22,624
   DIEBOLD INC COM Equity  253651103     299,736      13,032       X                5        13,032
   DIGITAL         Equity  253859102     319,952      19,997       X                5        19,997
   MICROWAVE
   CORP COM
   DILLARDS INC CL Equity  254067101     214,520      10,726       X                5        10,726
   A
   DIME BANCORP    Equity  25429Q102   1,100,646      61,147       X                5        61,147
   INC NEW COM
   DIMON INC COM   Equity  254394109      71,796      17,949       X                5        17,949
   DIONEX CORP     Equity  254546104     268,320       6,240       X                5         6,240
   COM
   DISNEY WALT CO  Equity  254687106  11,709,178     450,353       X                5       450,353
   COM
                                     339,075,542  13,041,367       X                6    13,041,367
   DOLLAR GEN      Equity  256669102   1,020,458      32,918       X                5        32,918
   CORP COM
   DOLLAR TREE     Equity  256747106  26,076,000     651,900       X                1       597,000
   STORES INC
   COM
                                                                   X                1                                   54,900
                                         809,680      20,242       X                5        20,242
   DOMINION RES    Equity  257470104   5,456,970     121,266       X                5       121,266
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 21               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   DONALDSON INC   Equity  257651109     263,373      11,451       X                5        11,451
   COM
   DONALDSON       Equity  257661108   2,653,800      66,345       X                5        66,345
   LUFKN&JEN NW
   COM
   DONNELLEY R R   Equity  257867101     383,409      13,221       X                5        13,221
   & SONS COM
                                     337,748,421  11,696,915       X                6    11,696,915
   DOUBLECLICK     Equity  258609304     399,364       3,356       X                5         3,356
   INC COM
   DOVER CORP      Equity  260003108   1,287,810      31,410       X                5        31,410
   COM
                                     433,391,371  10,602,847       X                6    10,602,847
   DOVER DOWNS     Equity  260086103   3,241,000     231,500       X                1       231,500
   ENTMT INC
   COM
   DOW CHEM CO     Equity  260543103  12,454,728     109,252       X                5       109,252
   COM
   DOW JONES & CO  Equity  260561105     414,831       7,827       X                5         7,827
   INC COM
   DU PONT E I DE  Equity  263534109  19,213,080     320,218       X                5       320,218
   NEMOURS COM
   DUKE ENERGY     Equity  264399106   2,292,730      41,686       X                5        41,686
   CORP COM
   DUKE-WEEKS      Equity  264411505     642,000      32,100       X                1        32,100
   RLTY INVTS INC
                                          27,700       1,385       X                5         1,385
   DUN &           Equity  26483B106     747,450      24,915       X                5        24,915
   BRADSTREET
   CORP COM
   DURA            Equity  265903104   6,900,000     287,500       X                1       247,500
   AUTOMOTIVE
   SYS INC     COM
                                                                   X                1                                   40,000
                                         136,176       5,674       X                5         5,674
   DYNEGY INC      Equity  26816L102  29,452,500   1,402,500       X                1     1,295,100
   COM
                                                                   X                1                                  107,400
                                          79,611       3,791       X                5         3,791
   EG & G INC COM  Equity  268457108     648,000      16,200       X                5        16,200
   E M C CORP      Equity  268648102  32,518,000     458,000       X                1       451,200
   MASS COM
                                                                   X                1                                    6,800
                                      14,106,635     198,685       X                5       198,685
   ENSCO INTL INC  Equity  26874Q100     589,410      32,745       X                5        32,745
   COM
   EOG             Equity  26875P101  24,708,600   1,176,600       X                1     1,076,400
   RESOURCES INC.
                                                                   X                1                                  100,200
                                          31,941       1,521       X                5         1,521
   E TRADE GROUP   Equity  269246104   1,001,568      41,732       X                5        41,732
   INC COM
   EAGLE USA       Equity  270018104   5,260,500     175,350       X                1       151,050
   AIRFREIGHT INC
    COM
                                                                   X                1                                   24,300
                                          54,480       1,816       X                5         1,816
   EARTHGRAINS     Equity  270319106   6,023,600     273,800       X                1       235,500
   CO COM
                                                                   X                1                                   38,300
                                         136,400       6,200       X                5         6,200
   EASTERN         Equity  27637F100     396,382       8,617       X                5         8,617
   ENTERPRISES
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 22               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   EASTMAN CHEM    Equity  277432100     323,880       8,097       X                5         8,097
   CO COM
   EASTMAN KODAK   Equity  277461109  13,389,680     176,180       X                3        66,030
   CO
                                                                   X                3                     110,150
                                      16,267,420     214,045       X                5       214,045
   EATON CORP      Equity  278058102   1,796,282      20,887       X                5        20,887
   COM
   EATON VANCE     Equity  278265103     287,008       8,969       X                5         8,969
   CORP COM NON
   VTG
   EBAY            Equity  278642103     275,514       1,954       X                5         1,954
   ECOLAB INC COM  Equity  278865100     534,412      15,718       X                5        15,718
   EDISON INTL COM Equity  281020107   5,814,960     242,290       X                5       242,290
   EDWARDS A G     Equity  281760108  11,299,600     434,600       X                3       175,750
   INC COM
                                                                   X                3                     258,850
                                       3,395,028     130,578       X                5       130,578
   EL PASO         Equity  283905107   4,804,920     120,123       X                5       120,123
   ENERGY CORP
   ELECTRONIC      Equity  285512109     887,400      12,325       X                5        12,325
   ARTS INC COM
   ELECTRONIC      Equity  285661104   7,419,894     139,998       X                5       139,998
   DATA SYS NW
   COM
   ELECTRONICS     Equity  286082102     662,286      12,986       X                5        12,986
   FOR IMAGNG COM
   EMERSON ELEC    Equity  291011104   3,511,809      55,743       X                5        55,743
   CO COM
   EMULEX CORP     Equity  292475209   5,882,400      68,400       X                1        58,900
                                                                   X                1                                    9,500
                                           9,460         110       X                5           110
   ENERGEN CORP    Equity  29265N108   7,116,000     355,800       X                3       191,900
   COM
                                                                   X                3                     163,900
                                          25,480       1,274       X                5         1,274
   ENERGY EAST     Equity  29266M109  26,942,400   1,122,600       X                1     1,105,700
   CORP COM
                                                                   X                1                                   16,900
                                       5,621,568     234,232       X                5       234,232
   ENGELHARD       Equity  292845104   1,276,326      70,907       X                5        70,907
   CORP COM
   ENESCO GROUP    Equity  292973104   5,845,500     389,700       X                3       232,300
   INC COM
                                                                   X                3                     157,400
                                          78,465       5,231       X                5         5,231
   ENNIS BUSINESS  Equity  293389102   5,640,300     626,700       X                3       427,100
   FORMS
                                                                   X                3                     199,600
   ENRON CORP      Equity  293561106   9,687,808     236,288       X                5       236,288
   COM
   ENTERGY CORP    Equity  29364G103   3,465,297     119,493       X                5       119,493
   NEW COM
   EQUIFAX INC COM Equity  294429105     637,420      22,765       X                5        22,765
   EQUITY OFFICE   Equity  294741103   1,782,132      77,484       X                5        77,484
   PPTYS TR COM
   EQUITY          Equity  29476L107   1,491,084      35,502       X                5        35,502
   RESIDENT
   PPTYS SH BEN
   INT
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 23               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   ETHAN ALLEN     Equity  297602104   7,984,000     249,500       X                1       214,950
   INTERIORS INC
   COM
                                                                   X                1                                   34,550
                                         398,784      12,462       X                5        12,462
   ETHYL CORP      Equity  297659104   4,756,400   1,189,100       X                3       698,400
                                                                   X                3                     490,700
                                          27,948       6,987       X                5         6,987
   EVEREST REINS   Equity  299808105   3,016,344     125,681       X                5       125,681
   HLDGS COM
   EXODUS          Equity  302088109     787,608      10,939       X                5        10,939
   COMMUNICATION
   COM
   EXPEDITORS      Equity  302130109     319,104       9,972       X                5         9,972
   INTL WASH COM
   EXPRESS         Equity  302182100     510,354       6,543       X                5         6,543
   SCRIPTS INC CL A
   EXXON CORP      Equity  302290101  72,817,500     958,125       X                5       958,125
   COM
   F M C CORP COM  Equity  302491303   1,484,208      30,921       X                5        30,921
   NEW
   FPL GROUP INC   Equity  302571104   8,295,750     165,915       X                5       165,915
   COM
   FACTORY 2-U INC Equity  303072102   2,985,000      99,500       X                1        85,700
      COM
                                                                   X                1                                   13,800
                                           6,330         211       X                5           211
   FAMILY DLR      Equity  307000109  32,018,616   1,524,696       X                1     1,395,196
   STORES INC
                                                                   X                1                                  129,500
                                         673,827      32,087       X                5        32,087
   FASTENAL CO     Equity  311900104     640,281      13,623       X                5        13,623
   COM
   FDX CORP        Equity  31304N107   6,258,759     160,481       X                5       160,481
   FEDERAL HOME    Equity  313400301   8,463,936     162,768       X                5       162,768
   LN MTG CP COM
   FEDERAL MOGUL   Equity  313549107     388,108      13,861       X                5        13,861
   CORP COM
   FEDERAL NATL    Equity  313586109  25,551,099     405,573       X                5       405,573
   MTG ASSN COM
   FEDERATED       Equity  31410H101  10,071,996     228,909       X                5       228,909
   DEPT STORES
   COM
   FEDERATED       Equity  314211103   7,367,800     433,400       X                1       372,900
   INVS INC PA
   CL B
                                                                   X                1                                   60,500
                                          89,522       5,266       X                5         5,266
   FELCOR          Equity  31430F101     191,412      10,634       X                5        10,634
   LODGING TRUST
   INC.
   FERRO CORP      Equity  315405100     291,963      13,903       X                5        13,903
   COM
   FIFTH THIRD     Equity  316773100   1,811,700      29,700       X                5        29,700
   BANCORP COM
   FINOVA GROUP    Equity  317928109     617,976      17,166       X                5        17,166
   INC COM
   FIRST AMER      Equity  318900107     534,380      12,145       X                5        12,145
   CORP TENN COM
   FIRST DATA      Equity  319963104   3,816,076      86,729       X                5        86,729
   CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 24               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   FIRST SEC CORP  Equity  336294103     720,432      30,018       X                5        30,018
   DEL COM
   FIRST TENN      Equity  337162101     598,584      21,378       X                5        21,378
   NATL CORP COM
   FIRST UNION     Equity  337358105  12,197,880     338,830       X                5       338,830
   CORP COM
   FIRST VA BANKS  Equity  337477103     240,988       5,477       X                5         5,477
   INC COM
   FIRSTAR CORP    Equity  33763V109   3,485,560     134,060       X                5       134,060
   COM
   FISERV INC COM  Equity  337738108   2,214,080      69,190       X                5        69,190
   FIRSTMERIT      Equity  337915102     241,200       9,648       X                5         9,648
   CORP COM
   FLAGSTAR        Equity  337930101   4,381,500     292,100       X                3       155,800
   BANCORP INC
                                                                   X                3                     136,300
                                           4,035         269       X                5           269
   FIRSTENERGY     Equity  337932107   2,567,750     102,710       X                5       102,710
   CORP COM
   FLEET FINL      Equity  338915101  28,911,800     781,400       X                1       769,900
   GROUP INC NEW
     COM
                                                                   X                1                                   11,500
   FLEET FINL      Equity  33901A108  13,272,677     358,721       X                5       358,721
   GROUP INC COM
   FLEMING COS     Equity  339130106     132,180      13,218       X                5        13,218
   INC COM
   FLORIDA         Equity  341109106  14,981,878     325,693       X                1       298,893
   PROGRESS
   CORP COM
                                                                   X                1                                   26,800
                                         636,778      13,843       X                5        13,843
   FLORIDA ROCK    Equity  341140101   6,643,000     189,800       X                1       163,300
   INDS INC COM
                                                                   X                1                                   26,500
                                          55,090       1,574       X                5         1,574
   FLUOR CORP      Equity  343861100     338,760       8,469       X                5         8,469
   COM
   FOODMAKER INC   Equity  344839204   6,930,000     277,200       X                1       238,300
   NEW COM
                                                                   X                1                                   38,900
                                         256,450      10,258       X                5        10,258
   FORD MOTOR CO   Equity  345370100  13,311,600     266,232       X                3        99,082
                                                                   X                3                     167,150
                                      28,007,050     560,141       X                5       560,141
   FOREST LABS     Equity  345838106     524,580      12,490       X                5        12,490
   INC CL A
   FORT JAMES      Equity  347471104     741,987      27,481       X                5        27,481
   CORP COM
   FORTUNE         Equity  349631101   2,419,264      75,602       X                5        75,602
   BRANDS INC COM
   FORWARD AIR     Equity  349853101   7,406,400     308,600       X                1       265,800
   CORP COM
                                                                   X                1                                   42,800
                                           4,296         179       X                5           179
   FOSSIL INC      Equity  349882100   4,646,700     172,100       X                1       101,350
         COM
                                                                   X                1                                   70,750
                                         120,744       4,472       X                5         4,472
   FOUNDATION      Equity  350404109      98,955      10,995       X                5        10,995
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 25               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   FRANCHISE FIN   Equity  351807102   7,173,700     311,900       X                3       170,800
   CORP AM
                                                                   X                3                     141,100
                                         391,713      17,031       X                5        17,031
   FRANKLIN RES    Equity  354613101   1,600,375      51,625       X                5        51,625
   INC COM
   FREEPORT-       Equity  35671D857     420,960      26,310       X                5        26,310
   MCMORAN
   COP&G CL B
   FRONTIER INS    Equity  359081106      91,314      10,146       X                5        10,146
   GRP NEW COM
   FULLER H B CO   Equity  359694106     249,368       4,088       X                5         4,088
   COM
   FURNITURE       Equity  360921100  28,297,200   1,414,860       X                1     1,343,160
   BRANDS INTL
   INC   COM
                                                                   X                1                                   71,700
                                         187,440       9,372       X                5         9,372
   FURON CO COM    Equity  361106107     342,500      13,700       X                5        13,700
   GATX CORP       Equity  361448103  11,437,450     368,950       X                3       142,300
                                                                   X                3                     226,650
                                         178,312       5,752       X                5         5,752
   GPU INC COM     Equity  36225X100   3,499,320     106,040       X                5       106,040
   GTE CORP        Equity  362320103  38,769,500     503,500       X                1       496,000
                                                                   X                1                                    7,500
                                      49,622,650     644,450       X                3       453,950
                                                                   X                3                     190,500
                                      25,792,459     334,967       X                5       334,967
   ARTHUR J        Equity  363576109   6,969,500     131,500       X                3        70,000
   GALLAGHER &
                                                                   X                3                      61,500
                                         306,870       5,790       X                5         5,790
   GANNETT INC     Equity  364730101  40,385,700     585,300       X                1       576,700
   DEL
                                                                   X                1                                    8,600
                                       6,381,603      92,487       X                5        92,487
   GAP INC DEL COM Equity  364760108   5,366,784     167,712       X                5       167,712
   GARDNER         Equity  365558105     193,815      12,921       X                5        12,921
   DENVER MACHY
   COM
   GATEWAY INC     Equity  367626108   1,496,484      34,011       X                5        34,011
   COM
   GENCORP INC     Equity  368682100   6,021,000     334,500       X                3       182,700
                                                                   X                3                     151,800
                                         118,764       6,598       X                5         6,598
   GENERAL         Equity  369550108  37,120,144     598,712       X                1       568,312
   DYNAMICS CORP
                                                                   X                1                                   30,400
                                      11,765,616     189,768       X                5       189,768
   GENERAL ELEC    Equity  369604103  56,072,800     471,200       X                1       464,100
   CO
                                                                   X                1                                    7,100
                                      71,921,696     604,384       X                5       604,384
   GENERAL INSTR   Equity  370120107   1,323,552      27,574       X                5        27,574
   CORP DEL COM
   GENERAL MILLS   Equity  370334104  10,421,460     128,660       X                5       128,660
   INC COM
   GENERAL MTRS    Equity  370442105  24,891,300     395,100       X                1       389,300
   CORP
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 26               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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                                    5,800
                                      13,678,623     217,121       X                5       217,121
   GENTEX CORP     Equity  371901109     297,192      14,152       X                5        14,152
   COM
   GENUINE PARTS   Equity  372460105     661,392      24,496       X                5        24,496
   CO COM
   GEON CO COM     Equity   37246W10     213,460       8,210       X                5         8,210
   GENZYME CORP    Equity  372917104   2,470,635      54,903       X                5        54,903
   COM GENL DIV
   GEORGIA PAC     Equity  373298108   9,988,000     249,700       X                1       247,000
   CORP
                                                                   X                1                                    2,700
                                       6,582,040     164,551       X                5       164,551
   GEORGIA PAC     Equity  373298702  12,160,100     528,700       X                3       199,200
   CORP COM-
                                                                   X                3                     329,500
                                         446,844      19,428       X                5        19,428
   GILEAD          Equity  375558103     760,896      11,889       X                5        11,889
   SCIENCES INC
   COM
   GILLETTE CO     Equity  375766102   5,792,478     170,367       X                5       170,367
   COM
   GLATFELTER P H  Equity  377316104     271,664      16,979       X                5        16,979
   CO COM
   GLEASON CORP    Equity  377339106   6,849,300     402,900       X                3       232,200
   COM
                                                                   X                3                     170,700
   GLIMCHER RLTY   Equity  379302102   6,283,500     418,900       X                3       235,500
   TR
                                                                   X                3                     183,400
                                          45,300       3,020       X                5         3,020
   GLOBAL MARINE   Equity  379352404     457,056      28,566       X                5        28,566
   INC COM
   GLOBAL          Equity  37936U104     229,700      11,485       X                5        11,485
   TELESYSTEMS
   GROUP
   GOLDEN WEST     Equity  381317106   4,407,256      44,972       X                5        44,972
   FINL DEL COM
   GOLDMAN         Equity  38141G104     427,305       7,005       X                5         7,005
   SACHS GROUP
   COM
   GOODRICH B F CO Equity  382388106  12,097,350     417,150       X                3       168,450
                                                                   X                3                     248,700
                                       3,146,413     108,497       X                5       108,497
   GOODYEAR TIRE   Equity  382550101     664,320      13,840       X                5        13,840
   & RUBR COM
   GRACE W R & CO  Equity  38388F108     688,656      43,041       X                5        43,041
   DEL COM
   GRAINGER W W    Equity  384802104     491,952      10,249       X                5        10,249
   INC COM
   GREAT ATL &     Equity  390064103     310,980      10,366       X                5        10,366
   PAC TEA COM
   GREAT LAKES     Equity  390568103     288,078       7,581       X                5         7,581
   CHEM CORP COM
   GREENPOINT      Equity  395384100   4,097,304     151,752       X                5       151,752
   FINL CORP COM
   GROUP 1         Equity  398905109   1,742,400      96,800       X                1        96,800
   AUTOMOTIVE INC
        COM
                                           1,980         110       X                5           110
   GUIDANT CORP    Equity  401698105   3,745,980      69,370       X                5        69,370
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 27               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   HRPT PPTYS TR   Equity   40426W10  10,407,650     946,150       X                3       354,150
   COM SH
                                                                   X                3                     592,000
                                       2,104,388     191,308       X                5       191,308
   HS RES INC      Equity  404297103   3,334,400     208,400       X                1       208,400
   COM
                                          10,304         644       X                5           644
   HAIN FOOD       Equity  405219106   3,152,500     126,100       X                1       126,100
   GROUP INC
   COM
                                          22,150         886       X                5           886
   HALLIBURTON     Equity  406216101   3,541,211      86,371       X                5        86,371
   CO COM
   HAMBRECHT &     Equity  406545103   6,938,400     141,600       X                1       121,900
   QUIST GROUP
   INC COM
                                                                   X                1                                   19,700
                                         221,039       4,511       X                5         4,511
   HANNAFORD       Equity  410550107     809,060      11,558       X                5        11,558
   BROS CO COM
   HANSEN NAT      Equity  411310105   1,250,000     250,000       X                1       250,000
   CORP COM
   HARCOURT GEN    Equity  41163G101     271,194       6,457       X                5         6,457
   INC COM
   HARDINGE BROS   Equity  412324303     529,600      33,100       X                3                      33,100
   INC COM
                                          36,800       2,300       X                5         2,300
   HARLEY          Equity  412822108  23,035,000     460,700       X                1       453,600
   DAVIDSON INC
                                                                   X                1                                    7,100
                                       5,125,900     102,518       X                5       102,518
   HARMAN INTL     Equity  413086109   6,405,000     152,500       X                3        82,200
   INDS INC
                                                                   X                3                      70,300
                                         146,328       3,484       X                5         3,484
   HARRAHS         Equity  413619107   3,943,352     140,834       X                5       140,834
   ENTMT INC COM
   HARRIS CORP     Equity  413875105  39,207,000   1,400,250       X                3       780,300
                                                                   X                3                     619,950
                                         292,628      10,451       X                5        10,451
   HARTE-HANKS     Equity  416196103     249,425       9,977       X                5         9,977
   INC
   HARTFORD FINL   Equity  416515104   1,281,291      31,251       X                5        31,251
   SVCS COM
   HARTFORD LIFE   Equity  416592103   1,293,796      26,404       X                5        26,404
   INC CL A
   HASBRO INC COM  Equity  418056107   5,214,242     237,011       X                5       237,011
   HAVERTY         Equity  419596101   2,856,000     204,000       X                1       204,000
   FURNITURE CO
                                       5,913,600     422,400       X                3       224,000
                                                                   X                3                     198,400
   HAWAIIAN ELEC   Equity  419870100   6,884,500     196,700       X                3       105,800
   INDS IN
                                                                   X                3                      90,900
                                         253,540       7,244       X                5         7,244
   HEALTHSOUTH     Equity  421924101     568,866      94,811       X                5        94,811
   CORP COM
   HEALTH MGMT     Equity  421933102     221,544      27,693       X                5        27,693
   ASSOC INC CL A
   HEICO CORP      Equity  422806109   2,213,500     116,500       X                1       116,500
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 28               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                          96,900       5,100       X                5         5,100
   HEICO CORP      Equity  422806208   1,658,700      87,300       X                1        87,300
   NEW              CL A
   HEINZ H J CO    Equity  423074103   4,326,832     100,624       X                5       100,624
   COM
   HELIX           Equity  423319102   8,335,800     252,600       X                1       217,500
   TECHNOLOGY
   CORP
                                                                   X                1                                   35,100
                                         164,703       4,991       X                5         4,991
   HELLER          Equity  423328103   1,154,362      52,471       X                5        52,471
   FINANCIAL INC
   HELMERICH &     Equity  423452101     436,275      17,451       X                5        17,451
   PAYNE INC COM
   HERCULES INC    Equity  427056106   1,685,045      58,105       X                5        58,105
   COM
   HERSHEY FOODS   Equity  427866108     890,183      18,167       X                5        18,167
   CORP COM
   HERTZ CORP CL   Equity  428040109   1,224,916      27,839       X                5        27,839
   A
   HEWLETT         Equity  428236103  18,583,292     204,212       X                5       204,212
   PACKARD CO
   COM
   HIBERNIA CORP   Equity  428656102     143,748      11,979       X                5        11,979
   CL A
   HILLENBRAND     Equity  431573104     233,636       8,986       X                5         8,986
   INDS INC COM
   HILTON HOTELS   Equity  432848109     254,270      25,427       X                5        25,427
   CORP COM
   HISPANIC        Equity  43357B104     792,528      10,428       X                5        10,428
   BROADCASTING
   HOME DEPOT INC  Equity  437076102  46,747,500     677,500       X                1       667,600
                                                                   X                1                                    9,900
                                      21,393,933     310,057       X                5       310,057
   HOMESTAKE       Equity  437614100     266,931      29,659       X                5        29,659
   MNG CO COM
   HON INDS INC    Equity  438092108     216,068      11,372       X                5        11,372
   COM
   HONEYWELL INC   Equity  438506107  28,848,900     259,900       X                1       255,900
                                                                   X                1                                    4,000
                                       3,564,543      32,113       X                5        32,113
   HOOPER          Equity  439104100  16,655,600     640,600       X                1       553,700
   HOLMES INC
     COM
                                                                   X                1                                   86,900
                                         101,998       3,923       X                5         3,923
   HORMEL FOODS    Equity  440452100   2,525,723      61,603       X                5        61,603
   CORP COM
   HOST MARRIOTT   Equity  44107P104   3,141,420     314,142       X                5       314,142
   CORP COM
   HOUSEHOLD       Equity  441815107   2,567,280      64,182       X                5        64,182
   INTL INC COM
   HOUSTON EXPL    Equity  442120101   5,539,600     251,800       X                1       216,800
   CO COM
                                                                   X                1                                   35,000
                                             352          16       X                5            16
   Houston IndustriEquity  442161204   2,856,000      28,000       X                4        28,000
   Conv. Pfd.
   HOWMET INTL     Equity  443208103   1,647,800     117,700       X                1       117,700
   INC COM
                                          79,814       5,701       X                5         5,701
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 29               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   HUBBELL INC CL  Equity  443510201  10,730,496     335,328       X                3       137,378
   B
                                                                   X                3                     197,950
                                         300,736       9,398       X                5         9,398
   HUDSON UTD      Equity  444165104   7,684,900     247,900       X                1       185,010
   BANCORP
   COM
                                                                   X                1                                   62,890
                                       7,086,600     228,600       X                3       130,600
                                                                   X                3                      98,000
                                         160,084       5,164       X                5         5,164
   HUGHES SUPPLY   Equity  444482103   6,358,000     289,000       X                3       164,000
   INC COM
                                                                   X                3                     125,000
                                          34,628       1,574       X                5         1,574
   HUMANA INC COM  Equity  444859102     126,966      18,138       X                5        18,138
   HUMAN GENOME    Equity  444903108     264,402       3,573       X                5         3,573
   SCIENCES COM
   HUNTINGTON      Equity  446150104  23,724,630     878,690       X                1       835,020
   BANCSHARES
   INC   COM
                                                                   X                1                                   43,670
                                         750,060      27,780       X                5        27,780
   HUSSMANN INTL   Equity  448110106   6,924,100     407,300       X                3       219,800
   INC COM
                                                                   X                3                     187,500
                                         128,673       7,569       X                5         7,569
   ICN             Equity  448924100     203,184      11,952       X                5        11,952
   PHARMACEUTICA
   NEW COM
   IBP INC         Equity  449223106  27,960,000   1,118,400       X                1     1,026,600
                                                                   X                1                                   91,800
                                       1,576,125      63,045       X                5        63,045
   IDEC            Equity  449370105   2,932,800      31,200       X                1        26,800
   PHARMACEUTICA
   CORP   COM
                                                                   X                1                                    4,400
                                         553,378       5,887       X                5         5,887
   IMC GLOBAL INC  Equity  449669100  14,271,000     951,400       X                3       777,700
   COM
                                                                   X                3                     173,700
                                       2,837,790     189,186       X                5       189,186
   IMS HEALTH INC  Equity  449934108   1,504,292      65,404       X                5        65,404
   COM
   ITT INDS INC INDEquity  450911102   1,678,272      52,446       X                5        52,446
   COM
   IDACORP INC     Equity  451107106     200,760       6,692       X                5         6,692
   IDEX CORP COM   Equity  45167R104     216,496       7,732       X                5         7,732
   IKON OFFICE     Equity  451713101     416,515      37,865       X                5        37,865
   SOLUTIONS COM
   ILLINOIS TOOL   Equity  452308109   2,972,325      39,631       X                5        39,631
   WKS INC COM
   IMATION CORP    Equity  45245A107     420,236      13,556       X                5        13,556
   COM
   IMCLONE         Equity   45245W10     233,673       7,081       X                5         7,081
   SYSTEMS INC
   IMMUNEX CORP    Equity  452528102  20,407,800     474,600       X                1       467,400
   NEW            COM
                                                                   X                1                                    7,200
                                         133,730       3,110       X                5         3,110
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 30               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   IMPAC           Equity  45254P102     281,460      56,292       X                5        56,292
   MORTGAGE
   HOLDINGS INC
   IMPERIAL CR     Equity  452729106      42,220      10,555       X                5        10,555
   INDS INC COM
   IMPERIAL SUGAR  Equity  453096109      73,710      12,285       X                5        12,285
   CO NEW COM
   INCO LTD COM    Equity  453258402     442,344      21,064       X                5        21,064
   INDUSTRI-       Equity  455792101      47,052      23,526       X                5        23,526
   MATEMATK INTL
   COM
   INDYMAC MTG     Equity  456607100     346,350      23,090       X                5        23,090
   HLDGS INC COM
   INFORMIX CORP   Equity  456779107  12,338,400   1,542,300       X                1     1,408,600
    COM
                                                                   X                1                                  133,700
                                         260,080      32,510       X                5        32,510
   INFOSEEK CORP   Equity  45678M107     269,204       8,684       X                5         8,684
   COM
   INGERSOLL       Equity  456866102   9,265,300     168,460       X                5       168,460
   RAND CO COM
   Ingersoll-Rand  Equity  456867209     647,400      24,900       X                4        24,900
   Conv. Pfd.
   INKTOMI CORP    Equity  457277101     253,920       2,116       X                5         2,116
   COM
   INSIGHT         Equity  45765U103     276,128       8,629       X                5         8,629
   ENTERPRISES
   COM
   INSITUFORM      Equity  457667103     695,525      27,821       X                5        27,821
   TECH INC CL A
   INNKEEPERS      Equity  4576J0104   5,748,000     718,500       X                3       405,600
   USA TR COM
                                                                   X                3                     312,900
                                          19,232       2,404       X                5         2,404
   INTEGRATED      Equity  458118106  19,602,000   1,089,000       X                1       994,600
   DEVICE TECH INC
                                                                   X                1                                   94,400
                                         195,984      10,888       X                5        10,888
   INTEGRATED      Equity  45811E103   2,065,600     129,100       X                1       111,200
   ELECTRICAL
   SVCS ICOM
                                                                   X                1                                   17,900
   INTEL CORP      Equity  458140100  14,370,800     194,200       X                3       167,400
                                                                   X                3                      26,800
                                      50,906,154     687,921       X                5       687,921
   INTERFACE INC   Equity  458665106      62,710      12,542       X                5        12,542
   CL A
   INTERMET CORP   Equity  45881K104   4,705,600     588,200       X                3       366,300
   COM
                                                                   X                3                     221,900
                                           3,944         493       X                5           493
   INTL BUSINESS   Equity  459200101  56,954,700     470,700       X                1       439,555
   MACHINES
                                                                   X                1                                   31,145
                                      57,823,117     477,877       X                5       477,877
   INTERNATIONAL   Equity  459506101     512,822      15,083       X                5        15,083
   FLAV&FRA COM
   INTERNATIONAL   Equity  459902102     413,640      22,980       X                5        22,980
   GAME TEC COM
   INTERNATIONAL   Equity  460053101     256,392       4,748       X                5         4,748
   NETWORKS COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 31               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   INTL PAPER CO   Equity  460146103   4,840,704     100,848       X                5       100,848
   COM
   INTERPUBLIC     Equity  460690100   1,996,536      48,696       X                5        48,696
   GROUP COS COM
   INTIMATE        Equity  461156101  29,098,368     746,112       X                1       702,892
   BRANDS INC
   CL A
                                                                   X                1                                   43,220
                                         167,622       4,298       X                5         4,298
   INTUIT COM      Equity  461202103     549,560       6,245       X                5         6,245
   INVACARE CORP   Equity  461203101   7,130,000     356,500       X                3       197,000
   COM
                                                                   X                3                     159,500
                                          79,100       3,955       X                5         3,955
   IPALCO          Equity  462613100     340,841      17,939       X                5        17,939
   ENTERPRISES
   INC COM
   I2              Equity  465754109     294,996       7,564       X                5         7,564
   TECHNOLOGIES
   INC COM
   IVAX CORP COM   Equity  465823102   2,428,752     151,797       X                5       151,797
   JDS UNIPHASE    Equity  46612J101  61,081,200     535,800       X                1       522,600
   COM
                                                                   X                1                                   13,200
                                         478,230       4,195       X                5         4,195
   JABIL CIRCUIT   Equity  466313103     459,500       9,190       X                5         9,190
   INC COM
   JEFFERSON       Equity  475070108     837,018      13,286       X                5        13,286
   PILOT CORP COM
   JOHN NUVEEN     Equity  478035108   1,050,800      28,400       X                1        28,400
   CO CL A
                                           8,362         226       X                5           226
   JOHNS MANVILLE  Equity  478129109     542,334      41,718       X                5        41,718
   CP NEW COM
   JOHNSON &       Equity  478160104  22,581,768     245,454       X                5       245,454
   JOHNSON COM
   JOHNSON         Equity  478366107  47,421,000     718,500       X                1       707,800
   CONTROLS
                                                                   X                1                                   10,700
                                       6,208,620      94,070       X                5        94,070
   JONES APPAREL   Equity  480074103   1,167,134      40,246       X                5        40,246
   GROUP COM
   JOSTENS INC     Equity  481088102   6,543,600     344,400       X                3       187,500
   COM
                                                                   X                3                     156,900
                                         302,784      15,936       X                5        15,936
   KLA-TENCOR      Equity  482480100  34,573,500     531,900       X                1       488,300
   CORP CO
                                                                   X                1                                   43,600
                                         791,375      12,175       X                5        12,175
   K MART CORP     Equity  482584109   2,215,536     184,628       X                5       184,628
   COM
   KN ENERGY INC   Equity  482620101     308,132      14,006       X                5        14,006
   COM
   K-SWISS INC     Equity  482686102   4,563,200     142,600       X                1       142,600
   CL A
                                          20,736         648       X                5           648
   KAMAN CORP      Equity  483548103   6,308,900     485,300       X                3       265,900
   CLASS A
                                                                   X                3                     219,400

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 32               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                          13,962       1,074       X                5         1,074
   KANSAS CITY     Equity  485170104   7,204,152     156,612       X                5       156,612
   SOUTHN IND COM
   KAUFMAN&BROA    Equity  486168107     222,579      10,599       X                5        10,599
   HOME CP COM
   KEANE INC COM   Equity  486665102     294,722      12,814       X                5        12,814
   KEEBLER FOODS   Equity  487256109   6,654,000     221,800       X                1       190,900
   CO COM
                                                                   X                1                                   30,900
                                         334,440      11,148       X                5        11,148
   KELLOGG CO COM  Equity  487836108   1,493,098      40,354       X                5        40,354
   KELLY SVCS INC  Equity  488152208   7,356,000     245,200       X                3       138,500
   CL A
                                                                   X                3                     106,700
                                          78,870       2,629       X                5         2,629
   KERR-MCGEE      Equity  492386107  31,157,500     566,500       X                1       520,300
   CORP
                                                                   X                1                                   46,200
                                      45,478,400     826,880       X                3       563,880
                                                                   X                3                     263,000
                                         520,630       9,466       X                5         9,466
   Kerr-McGee Corp.Equity  492386305   3,900,000     100,000       X                4       100,000
   Conv. Pfd.
   KEY PRODTN INC  Equity  493138101   3,266,000     326,600       X                1       326,600
   COM
   KEYCORP NEW     Equity  493267108  11,148,800     428,800       X                3       163,400
   COM
                                                                   X                3                     265,400
                                       1,333,254      51,279       X                5        51,279
   KEYSPAN CORP    Equity   49337W10     441,322      15,218       X                5        15,218
   COM
   KIMBALL INTL INCEquity  494274103   6,961,600     366,400       X                3       200,100
                                                                   X                3                     166,300
                                          12,597         663       X                5           663
   KIMBERLY CLARK  Equity  494368103  41,612,950     785,150       X                3       533,700
   CORP
                                                                   X                3                     251,450
                                       4,330,683      81,711       X                5        81,711
   KING WORLD      Equity  495667107   1,266,046      33,317       X                5        33,317
   PRODTNS INC
   COM
   KNIGHT RIDDER   Equity  499040103   4,904,460      89,172       X                5        89,172
   INC COM
   KOALA CORP      Equity  499866101   3,399,000     226,600       X                1       226,600
            COM
   KOHLS CORP      Equity  500255104   5,161,398      78,203       X                5        78,203
   COM
   KROGER     CO   Equity  501044101  29,719,800   1,350,900       X                1     1,331,500
                                                                   X                1                                   19,400
                                       5,420,206     246,373       X                5       246,373
   KRONOS INC      Equity  501052104   4,791,500     129,500       X                1       111,500
            COM
                                                                   X                1                                   18,000
                                         138,602       3,746       X                5         3,746
   LG&E ENERGY     Equity  501917108   2,491,230     118,630       X                5       118,630
   CORP COM
   LTV CORP NEW    Equity  501921100     250,860      50,172       X                5        50,172
   COM
   LNR PPTY CORP   Equity  501940100   3,738,000     186,900       X                1       160,900
               COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 33               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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                                   26,000
                                          88,780       4,439       X                5         4,439
   LSI LOGIC CORP  Equity  502161102     976,248      18,774       X                5        18,774
   COM
   LA Z BOY INC    Equity  505336107     246,639      12,981       X                5        12,981
   COM
   LABORATORY      Equity  50540R102      71,409      23,803       X                5        23,803
   AMER HLDGS
   COM
   LAFARGE CORP    Equity  505862102     673,312      21,041       X                5        21,041
   COM
   LAIDLAW INC     Equity  50730K503     202,195      28,885       X                5        28,885
   COM
   LAM RESEARCH    Equity  512807108  37,508,900     614,900       X                1       564,500
   CORP COM
                                                                   X                1                                   50,400
                                         317,139       5,199       X                5         5,199
   LAMAR           Equity  512815101     239,250       4,785       X                5         4,785
   ADVERTISING CO
   CL A
   LANCASTER       Equity  513847103   6,550,400     204,700       X                3       112,100
   COLONY CORP
                                                                   X                3                      92,600
                                         181,728       5,679       X                5         5,679
   LANDS END INC   Equity  515086106  12,619,200     191,200       X                1       175,000
                                                                   X                1                                   16,200
                                         358,116       5,426       X                5         5,426
   LAUDER ESTEE    Equity  518439104     618,501      15,859       X                5        15,859
   COS INC CL A
   LEAR CORP       Equity  521865105  26,401,060     754,316       X                1       691,416
    COM
                                                                   X                1                                   62,900
                                         346,430       9,898       X                5         9,898
   LEE             Equity  523768109     246,159       9,117       X                5         9,117
   ENTERPRISES
   INC COM
   LEGATO SYS INC  Equity  524651106  34,753,048     789,842       X                1       724,642
    COM
                                                                   X                1                                   65,200
                                       2,738,164      62,231       X                5        62,231
   LEGGETT &       Equity  524660107     457,880      22,894       X                5        22,894
   PLATT INC COM
   LEGG MASON INC  Equity  524901105     532,038      14,001       X                5        14,001
   COM
   LEHMAN          Equity  524908100  22,370,600     385,700       X                1       379,700
   BROTHERS
   HLDGS INC COM
                                                                   X                1                                    6,000
                                       3,731,836      64,342       X                5        64,342
   LENNAR CORP     Equity  526057104   5,710,256     356,891       X                1       342,891
                                                                   X                1                                   14,000
                                       5,600,000     350,000       X                3       213,600
                                                                   X                3                     136,400
                                          66,736       4,171       X                5         4,171
   LEVEL 3         Equity  52729N100   1,087,112      20,906       X                5        20,906
   COMMUNICATION
   INC
   LEXMARK INTL    Equity  529771107  45,423,040     567,788       X                1       520,988
   GROUP INC CL A
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 34               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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                                   46,800
                                       2,946,640      36,833       X                5        36,833
   LIBERTY FINL    Equity  530512102     754,006      34,273       X                5        34,273
   COS INC COM
   LIBERTY PPTY    Equity  531172104  30,289,160   1,316,920       X                1     1,213,420
   TR SH B
                                                                   X                1                                  103,500
                                         818,662      35,594       X                5        35,594
   LIGHTBRIDGE     Equity  532226107   3,190,000     159,500       X                1       104,200
   INC             COM
                                                                   X                1                                   55,300
   LILLY ELI & CO  Equity  532457108  10,391,808     162,372       X                5       162,372
   COM
   LIMITED INC COM Equity  532716107   1,181,952      31,104       X                5        31,104
   LINCARE HLDGS   Equity  532791100     295,974      10,962       X                5        10,962
   INC COM
   LINCOLN ELEC    Equity  533900106   7,158,900     340,900       X                3       184,500
   HLDGS IN
                                                                   X                3                     156,400
                                         150,255       7,155       X                5         7,155
   LINCOLN NATL    Equity  534187109   7,984,788     210,126       X                5       210,126
   CORP IND COM
   Lincoln NationalEquity  534187604   2,835,000     135,000       X                4       135,000
   Corp. Conv. Pfd
   LINEAR          Equity  535678106   1,699,023      28,797       X                5        28,797
   TECHNOLOGY
   CORP COM
   LINENS N        Equity  535679104     595,476      17,514       X                5        17,514
   THINGS INC COM
   LITTON INDS INC Equity  538021106   2,838,330      51,606       X                5        51,606
   COM
   LIZ CLAIBORNE   Equity  539320101  14,582,400     470,400       X                3       378,200
   INC
                                                                   X                3                      92,200
                                         519,343      16,753       X                5        16,753
   LOCKHEED        Equity  539830109   1,358,049      41,153       X                5        41,153
   MARTIN CORP
   COM
   LOEWS CORP      Equity  540424108     976,010      13,943       X                5        13,943
   COM
   LONE STAR INDS  Equity  542290408   7,875,000     157,500       X                3        85,500
   INC
                                                                   X                3                      72,000
                                         122,250       2,445       X                5         2,445
   LONG BEACH      Equity  542446109     249,584      15,599       X                5        15,599
   FINL CORP
   LONGS DRUG      Equity  543162101     300,810      10,027       X                5        10,027
   STORES CORP
   COM
   LOUISIANA PAC   Equity  546347105   2,819,408     176,213       X                5       176,213
   CORP COM
   LOWES CO        Equity  548661107  33,339,600     680,400       X                1       670,500
                                                                   X                1                                    9,900
                                       2,414,524      49,276       X                5        49,276
   LUBRIZOL CORP   Equity  549271104     682,968      26,268       X                5        26,268
   COM
   LUBYS INC       Equity  549282101   6,211,200     517,600       X                3       280,700
                                                                   X                3                     236,900
                                          35,892       2,991       X                5         2,991
   LUCENT          Equity  549463107  55,956,225     860,865       X                1       847,995
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 35               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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
   INC     COM
                                                                   X                1                                   12,870
                                      35,858,810     551,674       X                5       551,674
   LYCOS INC COM   Equity  550818108     344,150       6,883       X                5         6,883
   MBIA INC COM    Equity  55262C100     484,382      10,306       X                5        10,306
   MBNA CORP COM   Equity  55262L100   3,279,018     142,566       X                5       142,566
   M D C HLDGS INC Equity  552676108   6,078,400     379,900       X                3       222,700
   COM
                                                                   X                3                     157,200
                                          29,008       1,813       X                5         1,813
   MCI WORLDCOM    Equity  55268B106  37,583,496     521,993       X                5       521,993
   INC COM
   MGIC INVT CORP  Equity  552848103   3,056,736      63,682       X                5        63,682
   WIS COM
   MGI PPTYS INC   Equity  552885105     167,706      18,634       X                5        18,634
   COM
   M G M GRAND INC Equity  552953101   7,282,800     142,800       X                1       123,000
                                                                   X                1                                   19,800
                                          36,108         708       X                5           708
   M S CARRIERS    Equity  553533100   1,934,400      80,600       X                1        80,600
   INC COM
                                          10,056         419       X                5           419
   MTS SYS CORP    Equity  553777103   5,704,000     570,400       X                3       311,800
                                                                   X                3                     258,600
                                           4,540         454       X                5           454
   MYR GROUP INC   Equity  554053108   2,629,000     119,500       X                1       119,500
      COM
   MACK CALI       Equity  554489104     250,425       9,275       X                5         9,275
   REALTY CORP
   COM
   MACROMEDIA INC  Equity  556100105     542,922      13,242       X                5        13,242
   MAIL-WELL INC   Equity  560321200   7,295,400     521,100       X                1       448,800
       COM
                                                                   X                1                                   72,300
                                         158,214      11,301       X                5        11,301
   MALLINCKRODT    Equity  561232109  27,678,900     922,630       X                3       581,900
   INC NEW
                                                                   X                3                     340,730
                                         439,260      14,642       X                5        14,642
   MANDALAY        Equity  562567107  33,706,000   1,685,300       X                1     1,604,700
   RESORT GROUP
                                                                   X                1                                   80,600
                                         271,060      13,553       X                5        13,553
   MANITOWOC CO    Equity  563571108   9,413,104     276,856       X                1       238,532
      COM
                                                                   X                1                                   38,324
                                         276,998       8,147       X                5         8,147
   MANOR CARE INC  Equity  564055101     218,841      12,873       X                5        12,873
   MANPOWER INC    Equity  56418H100     343,882      11,858       X                5        11,858
   COM
   MARSH           Equity  571748102  29,199,200     429,400       X                1       423,100
   MCLENNAN
                                                                   X                1                                    6,300
                                       7,339,036     107,927       X                5       107,927
   MARSHALL &      Equity  571834100     928,929      16,297       X                5        16,297
   ILSLEY CORP
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 36               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   MARRIOTT INTL   Equity  571903202   2,176,185      65,945       X                5        65,945
   INC NEW CL A
   MARTIN          Equity  573284106  17,244,000     431,100       X                1       390,900
   MARIETTA MTLS
   INC COM
                                                                   X                1                                   40,200
                                       2,755,600      68,890       X                5        68,890
   MASCO CORP      Equity  574599106   9,932,400     320,400       X                5       320,400
   COM
   MASTEC INC COM  Equity  576323109     220,052       7,588       X                5         7,588
   MATTEL INC COM  Equity  577081102     674,329      35,491       X                5        35,491
   MAXIM           Equity  57772K101   1,436,652      22,804       X                5        22,804
   INTEGRATED
   PRODS COM
   MAY DEPT        Equity  577778103   1,919,520      53,320       X                5        53,320
   STORES CO COM
   MAYTAG CORP     Equity  578592107     551,430      16,710       X                5        16,710
   COM
   MCCORMICK & CO  Equity  579780206  32,174,010     974,970       X                1       893,570
   INC
                                                                   X                1                                   81,400
                                         451,902      13,694       X                5        13,694
   MCDERMOTT       Equity  580037109     471,940      23,597       X                5        23,597
   INTL INC COM
   MCDONALDS       Equity  580135101  10,319,785     239,995       X                5       239,995
   CORP COM
   MCGRATH RENT    Equity  580589109   6,519,600     362,200       X                3       202,100
   CORP COM
                                                                   X                3                     160,100
                                          77,310       4,295       X                5         4,295
   MCGRAW-HILL     Equity  580645109  29,932,800     623,600       X                1       614,200
   COMPANIES INC
   COM
                                                                   X                1                                    9,400
                                       5,055,696     105,327       X                5       105,327
   MCKESSON        Equity  58155Q103   2,433,651      83,919       X                5        83,919
   HBOC INC
   MCLEODUSA INC   Equity  582266102     397,793       9,251       X                5         9,251
   COM
   MEAD CORP COM   Equity  582834107     296,956       8,734       X                5         8,734
   MEDALLION FINL  Equity  583928106     207,960      10,398       X                5        10,398
   CORP COM
   MEDIA GEN INC   Equity  584404107     244,749       4,799       X                5         4,799
   CL A
   MEDIAONE        Equity  58440J104   9,562,024     140,618       X                5       140,618
   GROUP INC COM
   Mediaone Group  Equity  58440J401     997,500       9,500       X                4         9,500
   Conv. Pfd.
   MEDIMMUNE INC   Equity  584699102  44,670,000     446,700       X                1       410,100
      COM
                                                                   X                1                                   36,600
                                       1,757,800      17,578       X                5        17,578
   MEDQUIST INC    Equity  584949101   3,870,900     117,300       X                1       101,100
      COM
                                                                   X                1                                   16,200
                                         264,297       8,009       X                5         8,009
   MEDITRUST       Equity  58501T306     302,272      37,784       X                5        37,784
   CORP PAIRED
   CTF NEW
   MEDTRONIC INC   Equity  585055106   9,260,820     257,245       X                5       257,245
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 37               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   MELLON FINL     Equity  58551A108   8,315,074     244,561       X                5       244,561
   CORP COM
   MENTOR          Equity  587200106     113,139      12,571       X                5        12,571
   GRAPHICS CORP
   COM
   MERCANTILE      Equity  587405101     306,311       9,881       X                5         9,881
   BANKSHARES
   COM
   MERCK & CO INC  Equity  589331107  24,059,880     370,152       X                5       370,152
   COM
   MERCURY GENL    Equity  589400100   1,457,120      52,040       X                5        52,040
   CORP NEW COM
   MERCURY         Equity  589405109     540,605       8,317       X                5         8,317
   INTERACTIVE CP
   COM
   MEREDITH CORP   Equity  589433101     279,504       7,764       X                5         7,764
   COM
   MERIDIAN        Equity  58977Q109     600,000     120,000       X                1       120,000
   RESOURCE
   CORP      COM
                                           6,775       1,355       X                5         1,355
   MERITOR         Equity  59000G100   7,484,400     356,400       X                3       174,600
   AUTOMOTIVE IN
                                                                   X                3                     181,800
                                         162,729       7,749       X                5         7,749
   MERITAGE        Equity  59001A102   2,844,000     237,000       X                1       237,000
   CORPORATION
   MERRILL CORP    Equity  590175105   7,902,000     395,100       X                3       186,800
   COM
                                                                   X                3                     208,300
                                          16,680         834       X                5           834
   MERRILL LYNCH   Equity  590188108  11,323,871     169,013       X                5       169,013
   & CO INC COM
   METRIS COS INC  Equity  591598107   6,174,000     205,800       X                1       176,800
      COM
                                                                   X                1                                   29,000
                                         272,940       9,098       X                5         9,098
   MICHAEL FOODS   Equity  594079105   7,919,600     304,600       X                1       262,400
   INC NEW COM
                                                                   X                1                                   42,200
                                       7,077,200     272,200       X                3       149,700
                                                                   X                3                     122,500
                                          51,324       1,974       X                5         1,974
   MICREL INC COM  Equity  594793101     553,152      12,864       X                5        12,864
   MICROS SYS INC  Equity  594901100     200,280       5,007       X                5         5,007
   COM
   MICROSOFT       Equity  594918104  65,374,400     718,400       X                1       707,900
   CORP
                                                                   X                1                                   10,500
                                      80,901,730     889,030       X                5       889,030
   MICROSTRATEGY   Equity  594972101     218,288       3,898       X                5         3,898
   INC
   MICROCHIP       Equity  595017104     526,422      10,322       X                5        10,322
   TECHNOLOGY
   COM
   MICRON          Equity  595112103   2,328,282      35,277       X                5        35,277
   TECHNOLOGY
   INC COM
   MIDAMERN        Equity  59562V107   1,431,780      47,726       X                5        47,726
   ENRG HLDG
   NEW COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 38               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   MILLENNIUM      Equity  599902103     378,560       5,824       X                5         5,824
   PHARMACEUTC
   COM
   MILLER HERMAN   Equity  600544100  26,385,600   1,099,400       X                1     1,009,600
   INC
                                                                   X                1                                   89,800
                                         432,360      18,015       X                5        18,015
   MILLIPORE CORP  Equity  601073109  32,566,000     857,000       X                1       786,800
                                                                   X                1                                   70,200
                                         253,612       6,674       X                5         6,674
   MINERALS        Equity  603158106     350,056       7,144       X                5         7,144
   TECHNOLOGIES
   COM
   MINIMED INC COM Equity  60365K108     466,676       4,762       X                5         4,762
   MINNESOTA MNG   Equity  604059105   7,890,912      82,197       X                5        82,197
   & MFG CO COM
   MINNESOTA       Equity  604110106     186,984      10,388       X                5        10,388
   PWR & LT CO
   COM
   MIRAGE          Equity  60462E104     210,546      15,039       X                5        15,039
   RESORTS INC
   COM
   MITCHELL        Equity  606592202   2,995,200     124,800       X                1       107,400
   ENERGY & DEV
   CORP  CL A
                                                                   X                1                                   17,400
                                           6,360         265       X                5           265
   MITCHELL        Equity  606592301   3,883,200     161,800       X                1       139,300
   ENERGY & DEV
   CORP  CL B
                                                                   X                1                                   22,500
                                       9,156,000     381,500       X                3       178,800
                                                                   X                3                     202,700
   MOBIL CORP      Equity  607059102  16,877,100     167,100       X                3       138,100
                                                                   X                3                      29,000
                                      40,833,088     404,288       X                5       404,288
   MODIS           Equity  607830106     274,573      21,121       X                5        21,121
   PROFESSIONAL
   SERVICES
   MOHAWK INDS     Equity  608190104   1,187,000      59,350       X                5        59,350
   INC COM
   MOLEX INC COM   Equity  608554101     825,372      22,927       X                5        22,927
   MONACO COACH    Equity  60886R103   4,989,600     207,900       X                1       178,950
   CORP COM
                                                                   X                1                                   28,950
                                         112,200       4,675       X                5         4,675
   MONSANTO CO     Equity  611662107   4,266,432     118,512       X                5       118,512
   COM
   MONTANA         Equity  612085100     591,330      19,711       X                5        19,711
   POWER CO COM
   MORGAN J.P. &   Equity  616880100  26,356,800     231,200       X                1       227,700
   CO INC
                                                                   X                1                                    3,500
                                      39,825,900     349,350       X                3       195,800
                                                                   X                3                     153,550
                                       7,501,656      65,804       X                5        65,804
   MORGAN          Equity  617446448  22,881,900     257,100       X                1       253,100
   STANLY DN
   WTTR
   DISCVRCOM
                                                                   X                1                                    4,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 39               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                      26,247,880     294,920       X                5       294,920
   MORTONS         Equity  619429103   3,583,800     199,100       X                1       199,100
   RESTAURANT
   GROUP INCCOM
   MOTIVEPOWER     Equity  61980K101   4,976,950     452,450       X                1       389,750
   INDS INC COM
                                                                   X                1                                   62,700
                                           5,104         464       X                5           464
   MOTOROLA INC    Equity  620076109  36,238,400     411,800       X                1       405,800
                                                                   X                1                                    6,000
                                      12,296,504     139,733       X                5       139,733
   MOVADO GROUP    Equity  624580106  12,289,176     534,312       X                1       484,212
   INC COM
                                                                   X                1                                   50,100
                                           8,050         350       X                5           350
   MUELLER INDS    Equity  624756102     245,370       8,179       X                5         8,179
   INC COM
   MURPHY OIL      Equity  626717102     390,582       7,233       X                5         7,233
   CORP COM
   MUTUAL RISK     Equity  628351108  13,111,044   1,092,587       X                1     1,038,221
   MGMT LTD COM
                                                                   X                1                                   54,366
                                         339,816      28,318       X                5        28,318
   MYLAN LABS INC  Equity  628530107     387,774      21,543       X                5        21,543
   COM
   NBTY INC COM    Equity  628782104      81,288      10,161       X                5        10,161
   NCR CORP NEW    Equity  62886E108     376,200      11,400       X                1        11,400
    COM
                                       1,626,141      49,277       X                5        49,277
   NTL INC COM     Equity  629407107     805,152       8,387       X                5         8,387
   NABISCO GROUP   Equity  62952P102   1,289,910      85,994       X                5        85,994
   HLDG CP COM
   NABORS INDS     Equity  629568106     451,000      18,040       X                5        18,040
   INC COM
   NACCO INDS INC  Equity  629579103   1,029,000      14,700       X                1        12,600
    CL A
                                                                   X                1                                    2,100
                                          82,880       1,184       X                5         1,184
   NASH FINCH CO   Equity  631158102   2,188,900     312,700       X                3       195,300
   COM
                                                                   X                3                     117,400
                                           1,183         169       X                5           169
   National AustralEquity  632525309     837,000      31,000       X                4        31,000
   Bank Conv. Pf
   NATIONAL CITY   Equity  635405103  10,710,144     396,672       X                5       396,672
   CORP COM
   NATIONAL        Equity  635519101     376,124       9,898       X                5         9,898
   COMPUTER SYS
   COM
   NATIONAL DATA   Equity  635621105     271,700      10,450       X                5        10,450
   CORP COM
   NATIONAL FUEL   Equity  636180101   6,843,200     145,600       X                3        79,200
   GAS CO
                                                                   X                3                      66,400
                                         350,855       7,465       X                5         7,465
   NATIONAL GOLF   Equity  63623G109   6,527,400     296,700       X                3       166,600
   PPTYS I
                                                                   X                3                     130,100
                                           6,380         290       X                5           290
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 40               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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        Equity  636518102     240,905       6,883       X                5         6,883
   INSTRS CORP
   COM
   NATIONAL        Equity  637229105      95,400      10,600       X                5        10,600
   PROCESSING
   COM
   NATIONAL        Equity  637640103     634,508      20,468       X                5        20,468
   SEMICONDUCTOR
   COM
   NATIONAL SVC    Equity  637657107     225,280       7,040       X                5         7,040
   INDS INC COM
   NATIONWIDE      Equity  638612101     703,430      20,098       X                5        20,098
   FINL SVCS CL A
   NAVISTAR INTL   Equity  63934E108   8,118,678     176,493       X                5       176,493
   CORP NEW COM
   NAVIGANT        Equity  63935N107     304,980       6,630       X                5         6,630
   CONSULTING
   COM
   NEOMAGIC CORP   Equity  640497103     103,616      12,952       X                5        12,952
   COM
   NETWORKS        Equity  640938106     482,049      25,371       X                5        25,371
   ASSOCS INC COM
   NETOBJECTS INC  Equity  64114L102      60,000      10,000       X                5        10,000
   COM
   NETWORK         Equity  64120L104  23,680,800     328,900       X                1       300,400
   APPLIANCE INC
     COM
                                                                   X                1                                   28,500
                                       1,151,784      15,997       X                5        15,997
   NEW CENTURY     Equity  64352U103   1,248,687      37,839       X                5        37,839
   ENERGIES COM
   NEW ENGLAND     Equity  644001109     789,776      15,188       X                5        15,188
   ELEC SYS COM
   NEW PLAN        Equity  648053106   6,476,760     359,820       X                3       200,800
   EXCEL REALTY
                                                                   X                3                     159,020
                                         126,954       7,053       X                5         7,053
   NEW YORK        Equity  650111107  42,590,400   1,120,800       X                1     1,104,300
   TIMES CO
   CLAS
                                                                   X                1                                   16,500
                                       6,020,036     158,422       X                5       158,422
   Newell FinancialEquity  651195307   2,368,000      59,200       X                4        59,200
   Trust Conv. Pfd
   NEWELL          Equity  651229106     670,393      23,117       X                5        23,117
   RUBBERMAID
   INC COM
   NEWFIELD EXPL   Equity  651290108     286,671       8,687       X                5         8,687
   CO COM
   NEWMONT         Equity  651639106     473,486      18,211       X                5        18,211
   MINING CORP
   COM
   NEWPORT NEWS    Equity  652228107   8,470,400     264,700       X                1       251,100
   SHIPBUILDING
                                                                   X                1                                   13,600
                                       7,612,800     237,900       X                3       122,300
                                                                   X                3                     115,600
                                         386,560      12,080       X                5        12,080
   NEXTEL          Equity  65332V103   2,746,248      40,386       X                5        40,386
   COMMUNICATION
   CL A
   NEXTLINK        Equity  65333H707     535,496      10,298       X                5        10,298
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 41               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   COMMUNICATION
   CL A
   NIAGARA         Equity  653520106     778,656      48,666       X                5        48,666
   MOHAWK
   HOLDINGS INC
   NIELSEN MEDIA   Equity  653929307     435,601      11,773       X                5        11,773
   RESH INC COM
   NICOR INC       Equity  654086107  29,146,750     787,750       X                3       499,150
                                                                   X                3                     288,600
                                         251,785       6,805       X                5         6,805
   NIKE INC CL B   Equity  654106103   1,584,600      27,800       X                5        27,800
   NISOURCE INC    Equity  65473P105     683,276      31,058       X                5        31,058
   COM
   NOBLE           Equity  654894104     268,366       9,254       X                5         9,254
   AFFILIATES INC
   COM
   NOBLE DRILLING  Equity  655042109     408,298      18,559       X                5        18,559
   CORP COM
   NORDSTROM INC   Equity  655664100   1,150,335      42,605       X                5        42,605
   COM
   NORFOLK         Equity  655844108   1,408,560      58,690       X                5        58,690
   SOUTHERN
   CORP COM
   NORTEL          Equity  656569100   6,411,516     125,716       X                5       125,716
   NETWORKS
   NORTH FORK      Equity  659424105   1,294,760      64,738       X                5        64,738
   BANCORP NY
   COM
   NORTHEAST       Equity  664397106     723,852      40,214       X                5        40,214
   UTILS COM
   NORTHN STS      Equity  665772109     560,208      25,464       X                5        25,464
   PWR MINN COM
   NORTHERN TR     Equity  665859104   4,737,096      56,394       X                5        56,394
   CORP COM
   NORTHROP        Equity  666807102  28,019,200     437,800       X                3       278,200
   GRUMMAN CORP
                                                                   X                3                     159,600
                                       1,044,672      16,323       X                5        16,323
   NOVA CORP GA    Equity  669784100     323,425      12,937       X                5        12,937
   COM
   NOVELL INC COM  Equity  670006105   1,311,471      62,451       X                5        62,451
   NOVELLUS SYS    Equity  670008101     530,238       7,914       X                5         7,914
   INC COM
   NSTAR COM       Equity  67019E107   2,736,786      70,174       X                3        62,588
                                                                   X                3                       7,586
                                         125,541       3,219       X                5         3,219
   NUCOR CORP      Equity  670346105   2,824,800      58,850       X                5        58,850
   COM
   NVIDIA CORP     Equity  67066G104   3,098,900     163,100       X                1       140,400
            COM
                                                                   X                1                                   22,700
                                           9,500         500       X                5           500
   OCCIDENTAL      Equity  674599105  40,558,200   1,763,400       X                1     1,618,500
   PETE CORP
                                                                   X                1                                  144,900
                                       1,194,735      51,945       X                5        51,945
   OCEAN ENERGY    Equity  67481E106     263,190      26,319       X                5        26,319
   INC COM NEW
   OCWEN ASSET     Equity  67574M106      62,124      15,531       X                5        15,531
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 42               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   OFFICE DEPOT    Equity  676220106   2,367,830     236,783       X                5       236,783
   INC COM
   OGDEN CORP      Equity  676346109     483,790      48,379       X                5        48,379
   COM
   OHIO CASUALTY   Equity  677240103  11,412,950     671,350       X                3       292,100
   CORP
                                                                   X                3                     379,250
                                          27,659       1,627       X                5         1,627
   OLD KENT FINL   Equity  679833103   2,591,739      70,047       X                5        70,047
   CORP COM
   OLIN CORP COM   Equity  680665205     298,788      21,342       X                5        21,342
   PAR $1
   OLSTEN CORP     Equity  681385100     168,290      16,829       X                5        16,829
   COM
   OMNICARE INC    Equity  681904108     109,690      10,969       X                5        10,969
   COM
   OMNICOM GROUP   Equity  681919106  44,200,500     559,500       X                1       551,600
                                                                   X                1                                    7,900
                                       2,757,021      34,899       X                5        34,899
   ONEOK INC COM   Equity  682680103     255,720       8,524       X                5         8,524
   OPTICAL         Equity  683829105  10,064,800     109,400       X                1        94,200
   COATING LAB INC
   COM
                                                                   X                1                                   15,200
   ORACLE SYS      Equity  68389X105  33,658,200     731,700       X                1       720,900
   CORP
                                                                   X                1                                   10,800
                                      13,229,646     287,601       X                5       287,601
   O REILLY        Equity  686091109     232,704       4,848       X                5         4,848
   AUTOMOTIVE
   COM
   ORION CAPITAL   Equity  686268103   8,996,352     187,424       X                3        87,224
   CORP
                                                                   X                3                     100,200
                                          91,152       1,899       X                5         1,899
   OSHKOSH         Equity  688239201   5,227,200     193,600       X                1       166,000
   TRUCK CORP
     COM
                                                                   X                1                                   27,600
   OUTBACK         Equity  689899102  28,725,000   1,149,000       X                1     1,054,900
   STEAKHOUSE
   INC      COM
                                                                   X                1                                   94,100
                                         307,250      12,290       X                5        12,290
   OUTDOOR SYS     Equity  690057104     639,648      17,768       X                5        17,768
   INC COM
   OWENS & MINOR   Equity  690732102   6,671,000     667,100       X                3       360,400
   INC NEW
                                                                   X                3                     306,700
                                         111,730      11,173       X                5        11,173
   OWENS           Equity  69073F103   1,165,494      52,977       X                5        52,977
   CORNING COM
   OWENS ILL INC   Equity  690768403     309,420      15,471       X                5        15,471
   COM NEW
   OXFORD HEALTH   Equity  691471106     166,620      13,885       X                5        13,885
   PLANS COM
   PECO ENERGY     Equity  693304107  29,457,600     775,200       X                1       763,800
   CO COM
                                                                   X                1                                   11,400
                                       1,609,756      42,362       X                5        42,362
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 43               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   PG&E CORP COM   Equity  69331C108   1,487,356      57,206       X                5        57,206
   PE CORP COM PE  Equity  69332S102   1,381,248      19,184       X                5        19,184
   BIO GRP
   PMC-SIERRA INC  Equity  69344F106  29,173,200     317,100       X                1       291,100
    COM
                                                                   X                1                                   26,000
                                         894,056       9,718       X                5         9,718
   PMI GROUP INC   Equity  69344M101     329,599       8,039       X                5         8,039
   COM
   PNC BANK CORP   Equity  693475105  29,081,100     548,700       X                3       345,700
                                                                   X                3                     203,000
                                       2,236,229      42,193       X                5        42,193
   P P & L RES INC Equity  693499105     442,773      16,399       X                5        16,399
   COM
   PPG INDS INC    Equity  693506107   1,344,180      22,403       X                5        22,403
   COM
   PSS WORLD MED   Equity  69366A100     171,972      19,108       X                5        19,108
   PACCAR INC COM  Equity  693718108  11,453,835     224,585       X                5       224,585
   PACIFICARE HLT  Equity  695112102   1,853,386      43,102       X                5        43,102
   SYS DEL COM
   PACIFICORP COM  Equity  695114108     975,560      48,778       X                5        48,778
   PAINE WEBBER    Equity  695629105   3,829,140     106,365       X                5       106,365
   GROUP INC COM
   PAIRGAIN        Equity  695934109     142,194      10,938       X                5        10,938
   TECHNOLOGIES
   COM
   PALL CORP       Equity  696429307  12,157,800     528,600       X                1       481,400
                                                                   X                1                                   47,200
                                         228,804       9,948       X                5         9,948
   PAPA JOHNS      Equity  698813102     237,964       5,804       X                5         5,804
   INTL INC COM
   PARAMETRIC      Equity  699173100   1,611,736     115,124       X                5       115,124
   TECH CORP COM
   PARKER          Equity  701094104  15,538,500     345,300       X                3       284,300
   HANNIFIN CORP
                                                                   X                3                      61,000
                                         949,275      21,095       X                5        21,095
   PARKWAY PPTYS   Equity  70159Q104   6,732,800     210,400       X                1       180,900
   INC SHS
                                                                   X                1                                   29,500
                                          12,800         400       X                5           400
   PATTERSON       Equity  703412106     342,250       6,845       X                5         6,845
   DENTAL CO COM
   PAYCHEX INC     Equity  704326107   3,714,126     109,239       X                5       109,239
   COM
   PAYLESS         Equity  704379106   1,309,400      26,188       X                5        26,188
   SHOESOURCE
   INC COM
   PENN VIRGINIA   Equity  707882106   1,665,300      79,300       X                3                      79,300
   CORP
                                           6,846         326       X                5           326
   PENNEY J C INC  Equity  708160106  11,107,800     326,700       X                3       132,800
                                                                   X                3                     193,900
                                       1,365,440      40,160       X                5        40,160
   PENNZOIL-       Equity  709323109     184,184      14,168       X                5        14,168
   QUAKER ST CO
   NEW
   PENTAIR INC COM Equity  709631105   1,043,560      26,089       X                5        26,089
   PEOPLES         Equity  711030106  15,570,275     444,865       X                3       190,590
   ENERGY
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 44               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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                   254,275

                                         242,200       6,920       X                5         6,920
   PEOPLES         Equity  711147108  22,023,704   1,295,512       X                1     1,166,812
   HERITAGE
   FINANCIAL
   GROUP
                                                                   X                1                                128,700
                                         35,870       2,110        X                5         2,110
   PEOPLESOFT INC  Equity  712713106     843,353      49,609       X                5        49,609
   COM
   PEP BOYS        Equity  713278109     190,245      12,683       X                5        12,683
   MANNY MOE&JCK
   COM
   PEPSICO INC COM Equity  713448108   6,874,200     229,140       X                5       229,140
   PERRIGO CO COM  Equity  714290103     166,656      20,832       X                5        20,832
   PHARMACIA &     Equity  716941109   5,561,500     111,230       X                5       111,230
   UPJOHN INC COM
   PFIZER INC COM  Equity  717081103  26,944,452     748,457       X                5       748,457
   PHELPS DODGE    Equity  717265102     306,845       5,579       X                5         5,579
   CORP COM
   PHILADELPHIA    Equity  718009608     226,968       9,457       X                5         9,457
   SUBN CORP COM
   PAR $
   PHILIP MORRIS   Equity  718154107  20,804,702     611,903       X                5       611,903
   COS INC COM
   PHILLIPS PETE   Equity  718507106  26,156,200     533,800       X                1       525,300
   CO
                                                                   X                1                                  8,500
                                       2,003,169      40,881       X                5        40,881
   PHOTON          Equity  719364101   3,971,100     189,100       X                1       189,100
   DYNAMICS INC
    COM
   PILGRIMS PRIDE  Equity  721467108   2,968,200     329,800       X                3       193,900
   CORP
                                                                   X                3                   135,900
                                           2,835         315       X                5           315
   PILGRIMS PRIDE  Equity  721467207   2,115,750     423,150       X                3       233,000
   CORP C
                                                                   X                3                   190,150
                                             790         158       X                5           158
   PINNACLE        Equity  723481107     408,450       9,725       X                5         9,725
   SYSTEMS INC
   PINNACLE WEST   Equity  723484101     461,772      12,827       X                5        12,827
   CAP CORP COM
   PIONEER HI      Equity  723686101   2,144,960      53,624       X                5        53,624
   BRED INTL COM
   PIONEER NAT     Equity  723787107     184,613      16,783       X                5        16,783
   RES CO COM
   PITNEY BOWES    Equity  724479100   2,661,918      43,638       X                5        43,638
   INC COM
   PITTWAY CORP    Equity  725790208     238,720       7,460       X                5         7,460
   DEL CL A
   PLACER DOME     Equity  725906101     846,885      56,459       X                5        56,459
   INC COM
   POLICY MGMT     Equity  731108106     340,352      10,636       X                5        10,636
   SYS CORP COM
   POLYCOM INC     Equity  73172K104   7,540,800     157,100       X                1       135,300
   COM
                                                                   X                1                                 21,800
                                           6,048         126       X                5           126
   POPULAR INC     Equity  733174106   4,244,940     151,605       X                5       151,605
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 45               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   POTLATCH CORP   Equity  737628107     390,156       9,516       X                5         9,516
   COM
   POTOMAC ELEC    Equity  737679100     597,275      23,891       X                5        23,891
   PWR CO COM
   POWER           Equity  739276103   7,603,800     110,200       X                1        94,700
   INTEGRATIONS
   INC      COM
                                                                   X                1                                   15,500
   POWER-ONE INC   Equity  739308104   3,517,800     135,300       X                1       116,400
      COM
                                                                   X                1                                   18,900
                                             338          13       X                5            13
   POWERWAVE       Equity  739363109   5,380,800     112,100       X                1        96,500
   TECHNOLOGIES
   INC  COM
                                                                   X                1                                   15,600
                                          31,632         659       X                5           659
   PRAXAIR INC COM Equity  74005P104     681,536      14,816       X                5        14,816
   PRECISION       Equity  740189105   6,369,000     212,300       X                3       125,500
   CASTPARTS C
                                                                   X                3                      86,800
                                          82,050       2,735       X                5         2,735
   PREMARK INTL    Equity  740459102  13,869,450     277,389       X                1       254,589
   INC COM
                                                                   X                1                                   22,800
                                         668,400      13,368       X                5        13,368
   PREMIER NATL    Equity  74053F107   3,395,869     199,757       X                1       199,757
   BANCORP INC
   COM
   PREMIER PKS     Equity  740540208   1,246,420      42,980       X                5        42,980
   INC COM NEW
   PRENTISS PPTYS  Equity  740706106   7,191,800     326,900       X                1       266,800
   TR SH B
                                                                   X                1                                   60,100
                                           1,936          88       X                5            88
   PRESIDENTIAL    Equity  740884101   6,750,700     397,100       X                3       206,500
   LIFE COR
                                                                   X                3                     190,600
                                           7,854         462       X                5           462
   PRICE           Equity  741444202     156,832      19,604       X                5        19,604
   ENTERPRISES
   INC COM NEW
   PRICE T ROWE &  Equity  741477103   1,608,741      59,583       X                5        59,583
   ASSOC COM
   PRIME RETAIL    Equity  741570105     184,226      26,318       X                5        26,318
   INC COM
   PRIMEX          Equity  741597108   2,070,000     103,500       X                1       103,500
   TECHNOLOGIES
   INC COM
                                          30,400       1,520       X                5         1,520
   PRISON REALTY   Equity  74264N105     211,189      19,199       X                5        19,199
   TR COM
   PROCTER &       Equity  742718109  23,605,374     251,121       X                5       251,121
   GAMBLE CO COM
   PROFIT          Equity  743168106  18,022,500     400,500       X                1       379,300
   RECOVERY GRP
   INTL INCCOM
                                                                   X                1                                   21,200
                                         153,585       3,413       X                5         3,413
   PROGRESSIVE     Equity  743315103   1,059,850      12,925       X                5        12,925
   CORP OHIO COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 46               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   PROLOGIS TR SH  Equity  743410102     426,436      22,444       X                5        22,444
   BEN INT
   PROMUS HOTEL    Equity  74342P106     297,132       9,004       X                5         9,004
   CORP COM
   Protective Life Equity  743674202     637,000      13,000       X                4        13,000
   Trust Conv. Pfd.
   PROVIDENCE &    Equity  743737108   2,586,100     235,100       X                1       235,100
   WORCESTER RR
   COCOM
   PROVIDENT       Equity  743859100   2,932,986     139,666       X                1       139,666
   BANKSHARES
   CORP   COM
                                          29,400       1,400       X                5         1,400
   PROVIDENT FINL  Equity  743866105   1,084,248      29,304       X                5        29,304
   GROUP COM
   PROVIDIAN FINL  Equity  74406A102  28,304,041     358,279       X                1       331,029
   CORP         COM
                                                                   X                1                                   27,250
                                       2,470,093      31,267       X                5        31,267
   PSINET INC COM  Equity  74437C101     200,376       5,566       X                5         5,566
   PUBLIC SVC CO N Equity  744499104   6,393,600     355,200       X                3       195,300
   MEX C
                                                                   X                3                     159,900
                                         197,676      10,982       X                5        10,982
   PUBLIC SVC      Equity  744573106  43,719,234   1,121,006       X                3       789,056
   ENTERPRISE
                                                                   X                3                     331,950
                                       2,921,724      74,916       X                5        74,916
   PUGET SOUND     Equity  745332106     444,884      20,222       X                5        20,222
   ENERGY INC COM
   PULTE CORP      Equity  745867101  18,898,000     859,000       X                1       791,200
     COM
                                                                   X                1                                   67,800
                                         180,708       8,214       X                5         8,214
   QLOGIC CORP     Equity  747277101  23,142,000     330,600       X                1       303,800
     COM
                                                                   X                1                                   26,800
                                         704,970      10,071       X                5        10,071
   QUAKER OATS     Equity  747402105   7,696,990     124,145       X                5       124,145
   CO COM
   QUALCOMM INC    Equity  747525103   7,020,027      37,143       X                5        37,143
   COM
   QUANTUM CORP    Equity  747906204     362,964      25,926       X                5        25,926
   COM DSSG
   QUANTUM CORP    Equity  747906303     198,212      28,316       X                5        28,316
   COM HDDG
   QUINTILES       Equity  748767100     368,239      19,381       X                5        19,381
   TRANSNATIONL
   COM
   QUIXOTE CORP    Equity  749056107   4,990,500     332,700       X                1       332,700
   QWEST           Equity  749121109     698,220      23,274       X                5        23,274
   COMMUNICATION
   COM
   RCN CORP COM    Equity  749361101     454,977      11,097       X                5        11,097
   RGS ENERGY      Equity  74956K104   6,381,600     265,900       X                3       147,600
   GROUP
                                                                   X                3                     118,300
                                          52,056       2,169       X                5         2,169
   RPM INC OHIO    Equity  749685103     130,452      10,871       X                5        10,871
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 47               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   RSA SEC INC COM Equity  749719100     354,186      13,118       X                5        13,118
   RF MICRO        Equity  749941100  32,052,800     696,800       X                1       639,800
   DEVICES INC
   COM
                                                                   X                1                                   57,000
                                          92,506       2,011       X                5         2,011
   RADIAN GROUP    Equity  750236101     947,892      22,044       X                5        22,044
   INC COM
   RAILAMERICA     Equity  750753105   2,950,000     295,000       X                1       295,000
   INC             COM
   RAMBUS INC DEL  Equity  750917106     336,138       5,093       X                5         5,093
   COM
   RALSTON         Equity  751277302   1,206,240      43,080       X                5        43,080
   PURINA CO COM
   RAL-PUR GP
   RARE            Equity  753820109   2,598,200     118,100       X                1       118,100
   HOSPITALITY
   INTL INC   COM
                                              44           2       X                5             2
   RATIONAL        Equity  75409P202     518,172      17,868       X                5        17,868
   SOFTWARE
   CORP COM NEW
   RAYMOND         Equity  754730109   6,338,000     316,900       X                3       170,500
   JAMES FINL IN
                                                                   X                3                     146,400
                                          90,380       4,519       X                5         4,519
   RAYONIER INC    Equity  754907103     324,450       7,725       X                5         7,725
   COM
   RAYTHEON CO     Equity  755111309     204,864       4,268       X                5         4,268
   CL A
   RAYTHEON CO     Equity  755111408   2,297,350      45,947       X                5        45,947
   CL B
   READERS         Equity  755267101  29,324,800   1,011,200       X                1       928,200
   DIGEST ASSN
   INC CL A
                                                                   X                1                                   83,000
                                         330,745      11,405       X                5        11,405
   REGIONS FINL    Equity  758940100     868,620      28,954       X                5        28,954
   CORP COM
   RELIANCE        Equity  759464100      93,792      23,448       X                5        23,448
   GROUP HLDGS
   COM
   RELIANT ENERGY  Equity  75952J108   1,234,332      45,716       X                5        45,716
   RELIASTAR FINL  Equity  75952U103     475,332      14,404       X                5        14,404
   CORP COM
   RENT A CENTER   Equity  76009N100   6,805,800     358,200       X                1       308,500
                                                                   X                1                                   49,700
                                         174,078       9,162       X                5         9,162
   REPSOL SA ADR   Equity  76026T205  45,956,000   2,297,800       X                3     1,597,200
                                                                   X                3                     700,600
   REPUBLIC        Equity  760282103     126,348      10,529       X                5        10,529
   BANCORP INC
   COM
   REPUBLIC N Y    Equity  760719104   1,546,838      25,358       X                5        25,358
   CORP COM
   RESOURCE        Equity  761197102      88,565      17,713       X                5        17,713
   BANCSHARS
   MTG COM
   REXALL          Equity  761648104     145,488      12,124       X                5        12,124
   SUNDOWN INC
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 48               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   REYNOLDS &      Equity  761695105  27,923,220   1,396,161       X                1     1,277,761
   REYNOLDS CO
   CLAS
                                                                   X                1                                  118,400
                                         352,140      17,607       X                5        17,607
   REYNOLDS        Equity  761763101     460,740       7,679       X                5         7,679
   METALS CO COM
   REYNOLDS R J    Equity  76182K105  11,601,306     429,678       X                3       177,548
   TOB HLDG
                                                                   X                3                     252,130
                                         801,225      29,675       X                5        29,675
   RITE AID CORP   Equity  767754104     258,706      18,479       X                5        18,479
   COM
   RIVIANA FOODS   Equity  769536103     746,700      39,300       X                3                      39,300
   INC DEL
                                           1,273          67       X                5            67
   ROADHOUSE       Equity  769725102   1,150,000     230,000       X                1       230,000
   GRILL INC
   COM
   ROBERT HALF     Equity  770323103     475,800      19,825       X                5        19,825
   INTL INC COM
   ROBERTS         Equity  770491108   7,314,000     243,800       X                1       209,800
   PHARMACEUTICA
   CORP COM
                                                                   X                1                                   34,000
                                         232,230       7,741       X                5         7,741
   ROCKWELL INTL   Equity  773903109  25,578,800     491,900       X                1       467,400
   CORP NEW
   COM
                                                                   X                1                                   24,500
                                         967,668      18,609       X                5        18,609
   ROHM & HAAS CO  Equity  775371107   1,444,068      40,113       X                5        40,113
   COM
   ROLLINS TRUCK   Equity  775741101   6,635,000     663,500       X                3       355,900
   LEASING
                                                                   X                3                     307,600
                                         103,980      10,398       X                5        10,398
   ROPER INDS INC  Equity  776696106     305,216       8,032       X                5         8,032
   NEW COM
   ROSS STORES     Equity  778296103     557,860      27,893       X                5        27,893
   INC COM
   ROWAN COS INC   Equity  779382100     513,808      32,113       X                5        32,113
   COM
   ROWE            Equity  779528108   1,680,300     186,700       X                1       186,700
   FURNITURE
   CORP COM
   ROYAL DUTCH     Equity  780257804  54,274,100     919,900       X                1       905,100
   PETRO-NY
   SHARES
                                                                   X                1                                   14,800
                                      10,449,962     177,118       X                5       177,118
   RUBY TUESDAY    Equity  781182100   8,132,000     406,600       X                1       349,500
   INC            COM
                                                                   X                1                                   57,100
                                          58,420       2,921       X                5         2,921
   RUSH            Equity  781846100   2,075,200     129,700       X                1       129,700
   ENTERPISES INC
          COM
   RUSS BERRIE &   Equity  782233100   6,354,600     302,600       X                3       164,700
   CO INC
                                                                   X                3                     137,900
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 49               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                          78,288       3,728       X                5         3,728
   SBC             Equity  78387G103  22,797,000     447,000       X                1       440,300
   COMMUNICATION
   INC      COM
                                                                   X                1                                    6,700
                                      31,620,459     620,009       X                5       620,009
   SCI SYS INC COM Equity  783890106     534,688      12,152       X                5        12,152
   SDL INC COM     Equity  784076101     306,052       4,027       X                5         4,027
   SEI INVTS CO    Equity  784117103   6,826,300      76,700       X                1        65,900
           COM
                                                                   X                1                                   10,800
                                         376,915       4,235       X                5         4,235
   SLM HLDG CORP   Equity  78442A109   1,441,059      33,513       X                5        33,513
   COM
   SPX CORP COM    Equity  784635104   7,935,473      87,203       X                5        87,203
   SAFECO CORP     Equity  786429100   4,269,972     152,499       X                5       152,499
   COM
   SAFEWAY INC     Equity  786514208  35,545,200     935,400       X                1       921,000
                                                                   X                1                                   14,400
                                       3,536,128      93,056       X                5        93,056
   SAGA SYSTEMS    Equity  786610105     140,028      10,002       X                5        10,002
   INC
   ST JUDE MED     Equity  790849103     517,664      16,177       X                5        16,177
   INC COM
   ST MARY LD &    Equity  792228108   3,304,600     127,100       X                1       127,100
   EXPL CO        COM
                                           3,484         134       X                5           134
   ST PAUL COS INC Equity  792860108   2,518,796      89,957       X                5        89,957
   COM
   SAKS HLDGS INC  Equity   79377W10     204,345      13,623       X                5        13,623
   COM
   SALTON INC      Equity  795757103   3,630,100     117,100       X                1       100,800
           COM
                                                                   X                1                                   16,300
                                           1,023          33       X                5            33
   SANMINA CORP    Equity  800907107     877,800      11,400       X                5        11,400
   COM
   SANTA CRUZ      Equity  801833104   3,356,400     279,700       X                1       240,800
   OPERATION INC
    COM
                                                                   X                1                                   38,900
                                             180          15       X                5            15
   SANTA FE        Equity  80218K105   6,525,945     725,105       X                3       399,475
   SNYDER CORP
                                                                   X                3                     325,630
                                         362,097      40,233       X                5        40,233
   SARA LEE CORP   Equity  803111103   2,569,537     111,719       X                5       111,719
   COM
   SCANA CORP      Equity  805898103     242,472      10,103       X                5        10,103
   COM
   SCHAWK INC CL A Equity  806373106     108,740      10,874       X                5        10,874
   SCHEIN          Equity  806416103     108,783      12,087       X                5        12,087
   PHARMACEUTICA
   COM
   SCHERING        Equity  806605101  27,689,200     629,300       X                1       619,900
   PLOUGH CORP
                                                                   X                1                                    9,400
                                      10,934,836     248,519       X                5       248,519
   SCHLUMBERGER    Equity  806857108   5,844,368      94,264       X                5        94,264
   LTD COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 50               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   SCHWAB          Equity  808513105   3,663,429     111,013       X                5       111,013
   CHARLES CP
   NEW COM
   SCIENTIFIC      Equity  808655104  27,315,000     546,300       X                1       538,100
   ATLANTA INC
                                                                   X                1                                    8,200
                                         839,000      16,780       X                5        16,780
   SCOTTS CO CL A  Equity  810186106     238,245       6,807       X                5         6,807
   SCRIPPS         Equity  811054204     466,431       9,519       X                5         9,519
   HOWARD INC CL
   A
   SEA             Equity  811371707   6,073,200     216,900       X                3       128,700
   CONTAINERS
   LTD CL
                                                                   X                3                      88,200
   SEAGATE         Equity  811804103     777,976      25,096       X                5        25,096
   TECHNOLOGY
   COM
   SEAGRAM LTD     Equity  811850106   1,754,808      38,148       X                5        38,148
   COM
   SEALED AIR      Equity  81211K100     751,332      14,732       X                5        14,732
   CORP COM
   Sealed Air Corp.Equity  81211K209   2,932,500      57,500       X                4        57,500
   Conv. Pfd.
   SEARS ROEBUCK   Equity  812387108   1,117,705      36,055       X                5        36,055
   & CO COM
   SELECTIVE INS   Equity  816300107   6,993,900     368,100       X                3       196,800
   GROUP I
                                                                   X                3                     171,300
                                          50,616       2,664       X                5         2,664
   SEMTECH CORP    Equity  816850101  10,989,000     297,000       X                1       255,800
                COM
                                                                   X                1                                   41,200
                                         560,217      15,141       X                5        15,141
   SEMPRA          Equity  816851109   1,149,204      54,724       X                5        54,724
   ENERGY COM
   SENSORMATIC     Equity  817265101     163,566      12,582       X                5        12,582
   ELECTRS CP COM
   SEPRACOR INC    Equity  817315104     431,528       5,678       X                5         5,678
   COM
   SERENA          Equity  817492101   2,988,600     175,800       X                1       151,300
   SOFTWARE INC
        COM
                                                                   X                1                                   24,500
   SERVICE CORP    Equity  817565104     318,384      28,944       X                5        28,944
   INTL COM
   SERVICEMASTER   Equity  81760N109     166,128      10,383       X                5        10,383
   COMPANY
   7-ELEVEN INC    Equity  817826100      63,172      31,586       X                5        31,586
   COM
   SHARED MED      Equity  819486101     201,677       4,291       X                5         4,291
   SYS CORP COM
   SHAW INDS INC   Equity  820286102   8,745,760     546,610       X                1       503,510
                                                                   X                1                                   43,100
                                         379,568      23,723       X                5        23,723
   SHERWIN         Equity  824348106     411,390      19,590       X                5        19,590
   WILLIAMS CO
   COM
   SHOREWOOD       Equity  825229107     156,296      11,164       X                5        11,164
   PACKAGING CP
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 51               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   SHURGARD        Equity  82567D104   6,567,500     262,700       X                3       148,600
   STORAGE CENT
                                                                   X                3                     114,100
                                          54,125       2,165       X                5         2,165
   SIEBEL SYS INC  Equity  826170102  33,774,700     504,100       X                1       496,500
             COM
                                                                   X                1                                    7,600
                                         820,147      12,241       X                5        12,241
   SIERRA PAC RES  Equity  826428104     200,552       9,116       X                5         9,116
   COM
   SIGMA ALDRICH   Equity  826552101     366,272      11,446       X                5        11,446
   CORP COM
   SILGAN          Equity  827048109     260,860      13,043       X                5        13,043
   HOLDINGS INC
   COM
   SILICON         Equity  827056102     257,884      23,444       X                5        23,444
   GRAPHICS INC
   COM
   SIMON           Equity  828806109     673,068      30,594       X                5        30,594
   PROPERTY
   GROUP INC
   SMART           Equity  831690102     286,144       8,416       X                5         8,416
   MODULAR TECH
   INC COM
   SMITH A O CORP  Equity  831865209   8,040,000     268,000       X                1       230,850
                                                                   X                1                                   37,150
                                         213,270       7,109       X                5         7,109
   SMITH INTL INC  Equity  832110100     545,760      13,644       X                5        13,644
   COM
   SMITHFIELD      Equity  832248108     618,786      22,918       X                5        22,918
   FOODS INC COM
   SNYDER          Equity  832914105     274,935      18,329       X                5        18,329
   COMMUNICATION
   COM
   SOLECTRON       Equity  834182107  27,986,400     388,700       X                1       382,600
   CORP
   COM
                                                                   X                1                                    6,100
                                       4,579,920      63,610       X                5        63,610
   SOLUTIA INC COM Equity  834376105   2,129,580     118,310       X                5       118,310
   SONAT INC COM   Equity  835415100     453,680      11,342       X                5        11,342
   SONOCO PRODS    Equity  835495102     209,967       9,129       X                5         9,129
   CO COM
   SOUTHDOWN       Equity  841297104     430,488       7,972       X                5         7,972
   INC COM
   SOUTHERN CO     Equity  842587107   6,953,388     267,438       X                5       267,438
   COM
   SOUTHTRUST      Equity  844730101   4,066,956     112,971       X                5       112,971
   CORP COM
   SOUTHWEST       Equity  844741108   5,380,890     358,726       X                5       358,726
   AIRLS CO COM
   SPRINGS INDS    Equity  851783100  11,959,500     351,750       X                3       134,400
   INC
                                                                   X                3                     217,350
                                         148,002       4,353       X                5         4,353
   SPRINT CORP     Equity  852061100   8,144,874     150,831       X                5       150,831
   COM
   SPRINT          Equity  852061506   5,119,425      68,259       X                5        68,259
   CORP.(PCS
   GROUP)
   STANDARD        Equity  853836104   8,284,500     236,700       X                3       102,900
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 52               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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                     133,800
                                          11,375         325       X                5           325
   STANLEY         Equity  854305208   3,026,100     144,100       X                1       144,100
   FURNITURE INC
       COM
   STANLEY WKS     Equity  854616109     402,675      16,107       X                5        16,107
   COM
   STAPLES INC     Equity  855030102   1,726,758      78,489       X                5        78,489
   COM
   STARBUCKS       Equity  855244109     762,175      30,487       X                5        30,487
   CORP COM
   STARWOOD        Equity  85590A203   3,591,236     163,238       X                5       163,238
   HOTELS &
   RESORTS
   WORLDW
   STATE STREET    Equity  857477103   2,333,955      35,907       X                5        35,907
   CORP COM
   STATION         Equity  857689103   6,932,200     301,400       X                1       218,600
   CASINOS INC
   COM
                                                                   X                1                                   82,800
                                           2,829         123       X                5           123
   STERLING        Equity  859158107   1,929,500     113,500       X                1        87,150
   BANCORP
   COM
                                                                   X                1                                   26,350
   STERLING        Equity  859547101   1,076,100      53,805       X                5        53,805
   SOFTWARE INC
   COM
   STEWART         Equity  860370105      85,524      14,254       X                5        14,254
   ENTERPRISES CL
   A
   STILLWATER      Equity  86074Q102     240,246       8,898       X                5         8,898
   MNG CO COM
   STONE ENERGY    Equity  861642106   8,649,600     169,600       X                1       146,000
   CORP COM
                                                                   X                1                                   23,600
                                         590,529      11,579       X                5        11,579
   STORAGE         Equity  862111200     226,537      11,923       X                5        11,923
   TECHNOLOGY CP
   COM PAR $0
   STRATTEC        Equity  863111100   4,907,000     140,200       X                1       114,800
   SECURITY CORP.
                                                                   X                1                                   25,400
   STRYKER CORP    Equity  863667101   2,108,595      41,345       X                5        41,345
   COM
   STURM RUGER &   Equity  864159108   6,803,100     755,900       X                3       412,900
   CO INC
                                                                   X                3                     343,000
                                          33,714       3,746       X                5         3,746
   SUIZA FOODS     Equity  865077101     328,358       8,641       X                5         8,641
   CORP COM
   SUMMIT          Equity  866005101     556,128      17,379       X                5        17,379
   BANCORP COM
   SUN             Equity  866810104  13,599,018     146,226       X                5       146,226
   MICROSYSTEMS
   INC COM
   SUNGARD DATA    Equity  867363103     342,004      13,154       X                5        13,154
   SYS INC COM
   SUNOCO INC COM  Equity  86764P109     452,115      16,745       X                5        16,745
   SUNTERRA        Equity  86787D109   6,078,000     506,500       X                1       436,300
   CORP
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 53               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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                                   70,200
                                           1,692         141       X                5           141
   SUNTRUST BKS    Equity  867914103   9,092,292     137,762       X                5       137,762
   INC COM
   SUPERIOR SVCS   Equity  868316100     210,735       7,805       X                5         7,805
   INC COM
   SUPERVALU INC   Equity  868536103  27,595,084   1,254,322       X                1     1,194,622
   COMMON
                                                                   X                1                                   59,700
                                      29,444,800   1,338,400       X                3       844,900
                                                                   X                3                     493,500
                                       2,675,640     121,620       X                5       121,620
   SUSQUEHANNA     Equity  869099101   6,910,500     406,500       X                3       222,600
   BANCSHARE
                                                                   X                3                     183,900
                                          43,265       2,545       X                5         2,545
   SWIFT ENERGY    Equity  870738101   3,174,600     244,200       X                1       244,200
   CO COM
                                          88,270       6,790       X                5         6,790
   SWIFT TRANSN    Equity  870756103     203,080      10,154       X                5        10,154
   CO COM
   SYBRON INTL     Equity  87114F106     708,507      26,241       X                5        26,241
   CORP COM
   SYKES           Equity  871237103   7,997,500     319,900       X                1       275,300
   ENTERPRISES
   INC COM
                                                                   X                1                                   44,600
                                          80,600       3,224       X                5         3,224
   SYMANTEC CORP   Equity  871503108  10,695,600     297,100       X                1       255,800
       COM
                                                                   X                1                                   41,300
                                       2,203,056      61,196       X                5        61,196
   SYMBOL          Equity  871508107  27,553,090     810,385       X                1       759,785
   TECHNOLOGIES
   INC COM
                                                                   X                1                                   50,600
                                         622,676      18,314       X                5        18,314
   SYNCOR INTL     Equity  87157J106     260,490       6,855       X                5         6,855
   CORP DEL COM
   SYNOPSYS INC    Equity  871607107   2,247,224      40,129       X                5        40,129
   COM
   SYNOVUS FINL    Equity  87161C105     355,699      18,721       X                5        18,721
   CORP COM
   SYSCO CORP      Equity  871829107   1,915,305      54,723       X                5        54,723
   COM
   SYSTEMS &       Equity  871873105     192,426      14,802       X                5        14,802
   COMPTR TECH
   COM
   TCF FINL CORP   Equity  872275102   2,260,724      77,956       X                5        77,956
   COM
   TECO ENERGY     Equity  872375100     304,773      14,513       X                5        14,513
   INC COM
   TJX COS INC NEW Equity  872540109   4,874,800     174,100       X                1       172,000
                                                                   X                1                                    2,100
                                       2,547,496      90,982       X                5        90,982
   TRW INC         Equity  872649108  26,800,000     536,000       X                1       527,800
                                                                   X                1                                    8,200
                                       1,997,700      39,954       X                5        39,954
   TACO CABANA     Equity  873425102   3,682,000     368,200       X                1       368,200
   INC  CL A
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 54               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                          32,190       3,219       X                5         3,219
   TALBOTS INC     Equity  874161102   9,031,500     200,700       X                1       172,600
    COM
                                                                   X                1                                   28,100
                                          69,885       1,553       X                5         1,553
   TALK COM INC    Equity  874264104   3,848,000     296,000       X                1       254,900
    COM
                                                                   X                1                                   41,100
                                          85,592       6,584       X                5         6,584
   TANDY CORP      Equity  875382103  41,303,600     794,300       X                1       782,500
    COM
                                                                   X                1                                   11,800
                                       4,806,672      92,436       X                5        92,436
   TECUMSEH        Equity  878895200   5,635,000     112,700       X                3        64,500
   PRODS CO CL
                                                                   X                3                      48,200
                                       1,447,000      28,940       X                5        28,940
   TEKTRONIX INC   Equity  879131100  24,486,800     720,200       X                1       683,200
    COM
                                                                   X                1                                   37,000
                                         529,346      15,569       X                5        15,569
   TELCOM          Equity  87921P107   2,797,600     215,200       X                1       215,200
   SEMICONDUCTOR
   INC COM
   TELEFLEX INC    Equity  879369106     280,683       7,197       X                5         7,197
   COM
   TELEPHONE &     Equity  879433100     816,308       9,172       X                5         9,172
   DATA SYS COM
   TELLABS INC     Equity  879664100  42,128,700     739,100       X                1       727,900
     COM
                                                                   X                1                                   11,200
                                       5,547,468      97,324       X                5        97,324
   TEMPLE INLAND   Equity  879868107  20,788,800     340,800       X                1       324,800
   INC COM
                                                                   X                1                                   16,000
                                         311,710       5,110       X                5         5,110
   TENET           Equity  88033G100   1,079,586      59,977       X                5        59,977
   HEALTHCARE
   CORP COM
   TENNECO INC     Equity  88037E101   9,579,500     563,500       X                3       229,400
   NEW COM
                                                                   X                3                     334,100
                                       1,532,159      90,127       X                5        90,127
   TERADYNE INC    Equity  880770102  25,322,500     723,500       X                1       712,000
                                                                   X                1                                   11,500
                                         995,645      28,447       X                5        28,447
   TEREX CORP      Equity  880779103   9,952,000     311,000       X                1       267,100
   NEW COM
                                                                   X                1                                   43,900
                                          38,400       1,200       X                5         1,200
   TEXACO INC COM  Equity  881694103   9,087,624     144,248       X                5       144,248
   TEXAS INDS INC  Equity  882491103     308,062       8,326       X                5         8,326
   COM
   TEXAS           Equity  882508104  56,096,200     684,100       X                1       674,100
   INSTRUMENTS
   INC
                                                                   X                1                                   10,000
                                      13,089,906     159,633       X                5       159,633
   TEXAS UTILS CO  Equity  882848104   6,010,206     162,438       X                5       162,438
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 55               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   TEXTRON INC     Equity  883203101  35,574,000     462,000       X                1       455,100
                                                                   X                1                                    6,900
                                       6,377,833      82,829       X                5        82,829
   THERMO          Equity  883556102     235,638      18,126       X                5        18,126
   ELECTRON CORP
   COM
   THOMAS &        Equity  884315102  50,612,400     992,400       X                3       651,800
   BETTS CORP
                                                                   X                3                     340,600
                                         344,199       6,749       X                5         6,749
   THOR INDS INC   Equity  885160101   1,001,000      38,500       X                3                      38,500
   COM
                                          32,422       1,247       X                5         1,247
   3COM CORP COM   Equity  885535104   1,022,627      35,263       X                5        35,263
   TIDEWATER INC   Equity  886423102   1,255,618      48,293       X                5        48,293
   COM
   TIFFANY & CO    Equity  886547108  26,412,000     440,200       X                1       404,100
   NEW COM
                                                                   X                1                                   36,100
                                         928,680      15,478       X                5        15,478
   TIMBERLAND CO   Equity  887100105   5,885,100     150,900       X                1       130,200
   CL A
                                                                   X                1                                   20,700
                                         153,231       3,929       X                5         3,929
   TIME WARNER     Equity  887315109  16,384,478     268,598       X                5       268,598
   INC COM
   TIMES MIRROR    Equity  887364107   1,003,794      15,209       X                5        15,209
   CO NEW COM
   SER A
   Times Mirror    Equity  887364503     348,000       4,000       X                4         4,000
   Company Conv.
   Pfd.
   TORCHMARK       Equity  891027104     314,834      12,109       X                5        12,109
   CORP COM
   TORO CO         Equity  891092108   6,848,700     185,100       X                1       159,400
                                                                   X                1                                   25,700
                                          20,572         556       X                5           556
   TOSCO CORP      Equity  891490302   3,251,075     130,043       X                5       130,043
   COM NEW
   TOWER           Equity  891707101  26,450,500   1,322,525       X                1     1,206,625
   AUTOMOTIVE INC
   COM
                                                                   X                1                                  115,900
                                         175,720       8,786       X                5         8,786
   TOYS R US INC   Equity  892335100   2,076,465     138,431       X                5       138,431
   COM
   TRAVELERS       Equity  893939108  19,569,000     652,300       X                1       599,500
   PPTY CAS CORP
   CL A
                                                                   X                1                                   52,800
                                          91,620       3,054       X                5         3,054
   TRANSWITCH      Equity  894065101  10,596,300     185,900       X                1       160,150
   CORP COM
                                                                   X                1                                   25,750
                                         247,950       4,350       X                5         4,350
   TRICON GLOBAL   Equity  895953107   3,322,271      81,031       X                5        81,031
   REST COM
   TRIBUNE CO      Equity  896047107   1,446,100      28,922       X                5        28,922
   NEW COM
   TRIGON          Equity  89618L100  27,626,995     952,655       X                1       871,355
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 56               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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
   INC COM
                                                                   X                1                                   81,300
                                         265,930       9,170       X                5         9,170
   TRINET CORP     Equity  896287109   6,734,400     280,600       X                3       155,500
   RLTY TR I
                                                                   X                3                     125,100
                                          66,048       2,752       X                5         2,752
   TRINITY INDS    Equity  896522109   6,714,600     216,600       X                3       119,000
   INC COM
                                                                   X                3                      97,600
                                         188,263       6,073       X                5         6,073
   TRUSTCO BANK    Equity  898349105     255,210       8,507       X                5         8,507
   CORP NY
   TRUSTMARK       Equity  898402102   1,051,666      47,803       X                5        47,803
   CORP COM
   TUPPERWARE      Equity  899896104  17,274,000     863,700       X                3       732,200
   CORP COM
                                                                   X                3                     131,500
                                         335,080      16,754       X                5        16,754
   TYCO INTL LTD   Equity  902124106  62,214,256   1,196,428       X                1     1,177,428
   NEW COM
                                                                   X                1                                   19,000
                                       5,768,880     110,940       X                5       110,940
   TYSON FOODS     Equity  902494103     308,208      19,263       X                5        19,263
   INC CL A
   UAL CORP COM    Equity  902549500  16,510,000     254,000       X                3       212,400
   PAR $0.0
                                                                   X                3                      41,600
                                          48,295         743       X                5           743
   UCAR INTL INC   Equity  90262K109     263,189      11,443       X                5        11,443
   COM
   UST CORP COM    Equity  902900109   8,100,300     261,300       X                3       130,400
                                                                   X                3                     130,900
                                         153,822       4,962       X                5         4,962
   USX MARATHON    Equity  902905827  28,263,400     974,600       X                1       960,000
   GROUP          COM
                                                                   X                1                                   14,600
                                      13,358,850     460,650       X                3       161,500
                                                                   X                3                     299,150
                                       5,032,196     173,524       X                5       173,524
   UST INC         Equity  902911106  29,025,000     967,500       X                3       631,900
                                                                   X                3                     335,600
                                       3,102,360     103,412       X                5       103,412
   U S             Equity  902971100     275,120      14,480       X                5        14,480
   RESTAURANT
   PPTYS COM
   US BANCORP      Equity  902973106   7,133,970     237,799       X                5       237,799
   DEL COM
   USA NETWORKS    Equity  902984103     263,523       6,757       X                5         6,757
   INC COM
   U S CAN CORP    Equity   90328W10   3,206,000     160,300       X                1       137,900
    COM
                                                                   X                1                                   22,400
                                           7,460         373       X                5           373
   USG CORP COM    Equity  903293405  16,104,000     335,500       X                3       277,200
   NEW
                                                                   X                3                      58,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 57               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                       2,946,192      61,379       X                5        61,379
   U S             Equity  90331R101     457,542      25,419       X                5        25,419
   FOODSERVICE
   COM
   USEC INC COM    Equity  90333E108     138,900      13,890       X                5        13,890
   USX US STEEL    Equity  90337T101  57,626,010   2,216,385       X                3     1,374,335
   GROUP CO
                                                                   X                3                     842,050
                                         266,942      10,267       X                5        10,267
   ULTRAMAR        Equity  904000106  32,610,734   1,254,259       X                3       765,321
   DIAMD SHAMRO
                                                                   X                3                     488,938
                                       2,383,082      91,657       X                5        91,657
   UNIFI INC COM   Equity  904677101     151,844      13,804       X                5        13,804
   UNILEVER N V N  Equity  904784709   3,574,828      52,571       X                5        52,571
   Y SHS NEW
   UNICOM CORP     Equity  904911104  31,102,200     840,600       X                1       828,100
    COM
                                                                   X                1                                   12,500
                                       1,231,434      33,282       X                5        33,282
   UNION CARBIDE   Equity  905581104     891,936      15,648       X                5        15,648
   CORP COM
   UNION PACIFIC   Equity  907818108   1,379,808      28,746       X                5        28,746
   CORP COM
   Union Pacific   Equity  907824403   3,240,000      72,000       X                4        72,000
   Conv. Pfd.
   UNION PAC RES   Equity  907834105     514,960      32,185       X                5        32,185
   GROUP COM
   UNION           Equity  908068109  42,094,700   1,026,700       X                3       566,100
   PLANTERS CORP
                                                                   X                3                     460,600
                                         883,919      21,559       X                5        21,559
   UNIONBANCAL     Equity  908906100   3,119,796      86,661       X                5        86,661
   CORP COM
   UNISYS CORP     Equity  909214108  30,949,335     687,763       X                1       631,163
                                                                   X                1                                   56,600
                                       5,749,245     127,761       X                5       127,761
   UNITED          Equity  909907107     232,200       9,675       X                5         9,675
   BANKSHS INC
   WVA COM
   UNITED          Equity  910197102   6,785,801     616,891       X                3       341,091
   DOMINION RLTY
                                                                   X                3                     275,800
                                          92,510       8,410       X                5         8,410
   UNITED          Equity  910581107  25,259,500     515,500       X                1       507,800
   HEALTHCARE
   CORP COM
                                                                   X                1                                    7,700
                                       1,433,005      29,245       X                5        29,245
   UNITED ILLUM CO Equity  910637107   6,888,000     143,500       X                3        78,000
                                                                   X                3                      65,500
                                          98,304       2,048       X                5         2,048
   US AIRWAYS      Equity  911905107     276,432      10,632       X                5        10,632
   GROUP INC COM
   U S HOME CORP   Equity  911920106   2,060,800      73,600       X                1        63,600
   NEW COM
                                                                   X                1                                   10,000
                                          56,672       2,024       X                5         2,024
   U S INDS INC    Equity  912080108   2,574,720     160,920       X                5       160,920
   NEW COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 58               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   U S WEST INC    Equity  91273H101  13,517,550     237,150       X                3        93,350
   NEW COM
                                                                   X                3                     143,800
                                       3,819,285      67,005       X                5        67,005
   U S TR CORP     Equity  91288L105     370,720       4,634       X                5         4,634
   NEW COM
   UNITED          Equity  913017109  36,137,500     612,500       X                1       603,500
   TECHNOLOGIES
   CORP
                                                                   X                1                                    9,000
                                      12,165,741     206,199       X                5       206,199
   UNITEDGLOBALC   Equity  913247508     373,104       5,182       X                5         5,182

   UNITRIN INC COM Equity  913275103     427,175      12,205       X                5        12,205
   UNITRODE CORP   Equity  913283107     271,488       6,464       X                5         6,464
   COM
   UNIVERSAL       Equity  913456109   6,445,400     247,900       X                3       140,800
   CORP HOLDIN
                                                                   X                3                     107,100
                                         103,142       3,967       X                5         3,967
   UNIVERSAL       Equity  913538104   7,350,800     319,600       X                1       275,200
   FOODS CORP
                                                                   X                1                                   44,400
                                       7,203,600     313,200       X                3       172,400
                                                                   X                3                     140,800
                                         205,574       8,938       X                5         8,938
   UNIVERSAL FST   Equity  913543104   4,856,800     373,600       X                3       186,600
   PRODS I
                                                                   X                3                     187,000
                                          20,085       1,545       X                5         1,545
   UNIVISION       Equity  914906102   1,263,600      15,600       X                5        15,600
   COMMUNICATION
   - A
   UNOCAL CORP     Equity  915289102     867,502      23,446       X                5        23,446
   COM
   UNUMPROVIDEN    Equity  91529Y106     508,747      17,543       X                5        17,543
   CORP COM
   USFREIGHTWAYS   Equity  916906100   7,388,400     157,200       X                1       135,100
   CORP COM
                                                                   X                1                                   22,100
                                       7,322,600     155,800       X                3        86,100
                                                                   X                3                      69,700
                                         175,733       3,739       X                5         3,739
   USWEB CORP      Equity  917327108  11,050,000     325,000       X                1       296,800
  COM
                                                                   X                1                                   28,200
                                         175,984       5,176       X                5         5,176
   UTILICORP UTD   Equity  918005109   4,116,924     196,044       X                5       196,044
   INC COM
   Utilicorp UnitedEquity  918005877   5,000,000     200,000       X                4       200,000
   Conv. Pfd.
   V F CORP COM    Equity  918204108   5,020,605     161,955       X                5       161,955
   VALASSIS        Equity  918866104  32,830,160     746,140       X                1       685,090
   COMMUNICATION
   INC COM
                                                                   X                1                                   61,050
                                         700,392      15,918       X                5        15,918
   VALERO ENERGY   Equity  91913Y100     200,963      10,577       X                5        10,577
   CORP NEW COM
   VARCO INTL INC  Equity  922126107     138,348      11,529       X                5        11,529
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 59               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   VASTAR RES INC  Equity  922380100  30,296,700     480,900       X                1       473,700
               COM
                                                                   X                1                                    7,200
                                         257,355       4,085       X                5         4,085
   Verio Inc. Conv.Equity  923433304   4,085,000      95,000       X                4        95,000
   Pfd. 144A
   VERITAS         Equity  923436109  38,350,208     504,608       X                1       465,308
   SOFTWARE CO
       COM
                                                                   X                1                                   39,300
                                       1,481,924      19,499       X                5        19,499
   VERISIGN INC    Equity  92343E102     308,248       2,908       X                5         2,908
   COM
   VIACOM INC CL B Equity  925524308  10,538,682     250,921       X                5       250,921
   VIAD CORP COM   Equity  92552R109     733,590      24,453       X                5        24,453
   VICON INDS INC  Equity  925811101     203,700      29,100       X                1        29,100
     COM
   VINTAGE PETE    Equity  927460105     216,972      15,498       X                5        15,498
   INC COM
   VISHAY          Equity  928298108   1,521,024      63,376       X                5        63,376
   INTERTECHNOLO
   COM
   VISX INC DEL    Equity  92844S105  17,759,200     224,800       X                1       206,500
    COM
                                                                   X                1                                   18,300
                                       1,667,374      21,106       X                5        21,106
   VITESSE         Equity  928497106  37,358,400     868,800       X                1       797,800
   SEMICONDUCTOR
   CORP  COM
                                                                   X                1                                   71,000
                                       3,372,318      78,426       X                5        78,426
   VIVUS INC COM   Equity  928551100      60,720      20,240       X                5        20,240
   VOICESTREAM     Equity  928615103     642,196      10,358       X                5        10,358
   WIRELESS COM
   VORNADO RLTY    Equity  929042109     699,264      21,852       X                5        21,852
   TR SH BEN INT
   VULCAN MATLS    Equity  929160109   3,826,688     103,424       X                5       103,424
   CO COM
   WFS FINL INC    Equity  92923B106   1,364,000      68,200       X                1        68,200
    COM
   WACHOVIA CORP   Equity  929771103   6,384,780      80,820       X                5        80,820
   COM
   WADDELL &       Equity  930059100     344,916      15,678       X                5        15,678
   REED FINL CL A
   WAL MART        Equity  931142103  51,825,600   1,079,700       X                1     1,048,900
   STORES INC
                                                                   X                1                                   30,800
                                      32,999,616     687,492       X                5       687,492
   WALGREEN CO     Equity  931422109   4,908,400     196,336       X                5       196,336
   COM
   WARNACO         Equity  934390105     201,726      11,207       X                5        11,207
   GROUP INC CL A
   WARNER          Equity  934488107  30,247,800     458,300       X                1       451,400
   LAMBERT CO
    COM
                                                                   X                1                                    6,900
                                      11,518,980     174,530       X                5       174,530
   WASHINGTON      Equity  938824109   7,058,240     306,880       X                3       169,150
   FED INC CO
                                                                   X                3                     137,730
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 60               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                          28,060       1,220       X                5         1,220
   WASHINGTON      Equity  938837101   7,211,700     267,100       X                3       146,900
   GAS LT CO
                                                                   X                3                     120,200
                                         135,891       5,033       X                5         5,033
   WASHINGTON      Equity  939322103   3,979,902     137,238       X                5       137,238
   MUTUAL INC.
   WASHINGTON      Equity  939640108     834,870       1,637       X                5         1,637
   POST CO CL B
   WASTE MGMT      Equity  94106L109   1,643,386      86,494       X                5        86,494
   INC DEL COM
   WATERS CORP     Equity  941848103  27,932,266     457,906       X                1       436,006
    COM
                                                                   X                1                                   21,900
                                         723,033      11,853       X                5        11,853
   WATSON          Equity  942683103     629,641      20,311       X                5        20,311
   PHARMACEUTICA
   COM
   WAUSAU-         Equity  943315101   5,698,656     474,888       X                3       281,788
   MOSINEE PAPER
                                                                   X                3                     193,100
                                          84,300       7,025       X                5         7,025
   WEATHERFORD     Equity  947074100     548,032      17,126       X                5        17,126
   INTL INC COM
   WELLPOINT       Equity  94973H108  27,599,400     484,200       X                1       477,000
   HEALTH
   NTWRKS NEW
   COM
                                                                   X                1                                    7,200
                                       3,570,765      62,645       X                5        62,645
   WELLS FARGO     Equity  949746101  30,588,000     764,700       X                1       753,100
   NEW
                                                                   X                1                                   11,600
                                      25,271,880     631,797       X                5       631,797
   Wendys FinancingEquity  950588202     453,600       8,100       X                4         8,100
   I Conv. Pfd.
   WENDYS INTL     Equity  950590109     316,420      12,170       X                5        12,170
   INC COM
   WESLEY JESSEN   Equity  951018100   8,311,100     268,100       X                1       230,100
   VISIONCARE
   INCCOM
                                                                   X                1                                   38,000
                                         113,832       3,672       X                5         3,672
   WESTAMERICA     Equity  957090103   6,609,000     220,300       X                1       189,700
   BANCORPORATIO
    COM
                                                                   X                1                                   30,600
                                          91,080       3,036       X                5         3,036
   WESTERN RES     Equity  959425109     310,884      14,804       X                5        14,804
   INC COM
   WESTERN         Equity  95988E204     666,900      14,820       X                5        14,820
   WIRELESS CORP
   CL A
   WESTNGHOUSE     Equity  960386100   5,882,400     326,800       X                3       177,600
   AIR BRAKE
                                                                   X                3                     149,200
   WESTVACO CORP   Equity  961548104  29,066,700   1,117,950       X                3       709,700
                                                                   X                3                     408,250
                                         379,184      14,584       X                5        14,584
   WESTWOOD        Equity  961815107   8,734,500     194,100       X                1       144,150
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 61               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   ONE INC
   COM
                                                                   X                1                                   49,950
                                         849,375      18,875       X                5        18,875
   WEYERHAEUSER    Equity  962166104  33,019,400     569,300       X                1       560,900
   CO
                                                                   X                1                                    8,400
                                       3,959,544      68,268       X                5        68,268
   WHIRLPOOL       Equity  963320106  39,464,750     607,150       X                3       468,350
   CORP
                                                                   X                3                     138,800
                                       2,522,065      38,801       X                5        38,801
   WHITMAN CORP    Equity  96647R107     198,996      14,214       X                5        14,214
   COM
   WHITTMAN-       Equity  966834103     375,063       9,617       X                5         9,617
   HART INC COM
   WILLAMETTE      Equity  969133107  30,272,000     704,000       X                1       669,100
   INDS INC
                                                                   X                1                                   34,900
                                         566,052      13,164       X                5        13,164
   WILLIAMS COS    Equity  969457100   2,037,294      53,613       X                5        53,613
   INC DEL COM
   WILLIAMS-       Equity  969904101     411,208       8,392       X                5         8,392
   SONOMA INC
   WINN DIXIE      Equity  974280109     518,190      17,273       X                5        17,273
   STORES INC COM
   WINSTAR         Equity  975515107     208,650       5,350       X                5         5,350
   COMMUNICATION
   COM
   Winstar Comm    Equity  975515867     528,000         600       X                4           600
   Conv. Pfd. 144A
   WISCONSIN       Equity  976657106     276,138      12,006       X                5        12,006
   ENERGY CORP
   COM
   WORLD COLOR     Equity  981443104     259,629       7,017       X                5         7,017
   PRESS INC COM
   WORLD FUEL      Equity  981475106   5,571,000     557,100       X                3       295,700
   SVCS CORP
                                                                   X                3                     261,400
   WORTHINGTON     Equity  981811102     431,273      25,369       X                5        25,369
   INDS INC COM
   WRIGLEY WM JR   Equity  982526105     618,585       8,965       X                5         8,965
   CO COM
       XILINX INC  Equity  983919101  34,656,600     525,100       X                1       482,400
        COM
                                                                   X                1                                   42,700
                                       4,483,578      67,933       X                5        67,933
   XIRCOM INC COM  Equity  983922105     249,271       5,797       X                5         5,797
   XEROX CORP      Equity  984121103   4,652,424     110,772       X                5       110,772
   COM
   XIONICS         Equity  98412X103     889,200     148,200       X                1       148,200
   DOCUMENT
   TECHNGS
   INCCOM
   YAHOO INC COM   Equity  984332106   1,621,440       9,008       X                5         9,008
   YORK            Equity  986670107  24,076,800     668,800       X                1       614,000
   INTERNATIONAL
   CORP
                                                                   X                1                                   54,800
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 62               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
                                         912,492      25,347       X                5        25,347
   ZALE CORP NEW   Equity  988858106     293,246       7,717       X                5         7,717
   COM
   ZEBRA           Equity  989207105     298,575       6,635       X                5         6,635
   TECHNOLOGIES
   CP CL A
   ZIONS           Equity  989701107  35,931,390     653,298       X                1       599,698
   BANCORPORATIO
          COM
                                                                   X                1                                   53,600
                                         686,015      12,473       X                5        12,473
   ACE LTD ORD     Equity  G0070K103     561,000      33,000       X                5        33,000
                                     232,338,626  13,666,978       X                6    12,446,133
                                                                   X                6                                1,220,845
                                       5,552,200     326,600       X                7       326,600
   AMDOCS LTD      Equity  G02602103  13,666,800     650,800       X                1       616,800
             ORD
                                                                   X                1                                   34,000
                                         199,500       9,500       X                5         9,500
   ANNUITY AND     Equity  G03910109  24,458,850     978,354       X                6       962,154
   LIFE RE HLDGS
                                                                   X                6                                   16,200
   ESG RE LTD ORD  Equity  G31215109   4,421,700     491,300       X                3       268,900
                                                                   X                3                     222,400
   GLOBAL          Equity  G3921A100   1,982,890      76,265       X                5        76,265
   CROSSING LTD
   COM
   SANTA FE INTL   Equity  G7805C108  15,050,200     684,100       X                3       547,600
   CORP OR
                                                                   X                3                     136,500
   TOMMY HILFIGER  Equity  G8915Z102  20,271,104     723,968       X                1       687,968
   CORP         ORD
                                                                   X                1                                   36,000
                                           3,192         114       X                5           114
   TRANSOCEAN      Equity  G90076103     665,198      21,458       X                5        21,458
   OFFSHORE COM
   GALILEO         Equity  M47298100   5,325,000     213,000       X                1       183,400
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 63               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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
   LTD      COM
                                                                   X                1                                   29,600

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 64                 Form 13F               Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   AFLAC INC         Equity   001055102    814,000,922     1943882     X                 6        1943882
   ADPT4.75 020104   Equity   00651FAC2    971,250,000    10000000     X                 6       10000000
   COOPER CAMERON    Equity   216640102     12,117,750      321000     X                 6         321000
   CORVEL CORP       Equity   221006109     12,420,892      564586     X                 6         564586
   DEL MONTE FOODS   Equity   24522P103      9,168,424      649092     X                 6         649092
   DIAGEO PLC ADR    Equity   25243Q205  1,080,720,775    26080428     X                 6       26080428
   DOLE FOOD         Equity   256605106      8,810,300      463700     X                 6         463700
   DUPONT EI DENEM   Equity   263534109  1,297,571,814    21447468     X                 6       21447468
   EARTHGRAINS CO    Equity   270319106      8,922,901      403295     X                 6         403295
   EASTERN ENTERPS   Equity   27637F100      3,994,828       86025     X                 6          86025
   EASTMAN KODAK     Equity   277461109        397,031        5250     X                 6           5250
   EL PASO ENERGY    Equity   283905107    101,894,324     2531536     X                 6        2531536
   ELECTRONIC DATA   Equity   285661104      1,169,929       22100     X                 6          22100
   EMERSON ELECT     Equity   291011104    765,580,247    12115912     X                 6       12115912
   EMMIS BRD CL A    Equity   291525103     34,294,954      519125     X                 6         519125
   ERICSN TEL ADR    Equity   294821400    284,658,843     9109083     X                 6        9109083
   EVEREST RE-INS    Equity   299808105     70,624,595     2965800     X                 6        2965800
   EXPRS SCPT CL A   Equity   302182100        156,500        2000     X                 6           2000
   EXXON             Equity   302290101        779,000       10250     X                 6          10250
   FDX CORP          Equity   31304N107        311,000        8000     X                 6           8000
   FREDDIE MAC       Equity   313400301  1,963,249,184    37754792     X                 6       37754792
   FIRST AMER CORP   Equity   318900107        435,000       10000     X                 6          10000
   FIRST DATA CORP   Equity   319963104    204,117,863     4652259     X                 6        4652259
   FIRST HLTH GRP    Equity   320960107     16,844,947      750733     X                 6         750733
   FLEET FIN GROUP   Equity   338915101    198,930,701     5431555     X                 6        5431555
   FLOWSERVE CORP    Equity   34354P105      5,669,341      341013     X                 6         341013
   FORD MOTOR CO     Equity   345370100         16,482         328     X                 6            328
   FOREST LAB CL A   Equity   345838106        126,375        3000     X                 6           3000
   FORTUNE BRANDS    Equity   349631101        483,750       15000     X                 6          15000
   FOX ENTERTNMNT    Equity   35138T107     14,826,245      703900     X                 6         703900
   FRANKLIN COVEY    Equity   353469109        708,833       92200     X                 6          92200
   FREEP C&G PFD A   Equity   35671D501      9,365,925      531400     X                 6         531400
   FREEPRT MC&G B    Equity   35671D857     28,477,333     1829810     X                 6        1829810
   G&KSERVICESINC    Equity   361268105      3,948,750       97500     X                 6          97500
   GFSB BANCORP      Equity   361692106         32,657        2500     X                 6           2500
   GP STRATEGIES     Equity   36225V104      3,433,432      305194     X                 6         305194
   GTE CORP          Equity   362320103        380,531        4950     X                 6           4950
   GANNETT CO        Equity   364730101      1,594,783       23050     X                 6          23050
   GENL DYNAMICS     Equity   369550108     28,159,538      451000     X                 6         451000
   GENL ELEC CO      Equity   369604103     20,396,392      172030     X                 6         172030
   GENL INSTRUMENT   Equity   370120107      4,315,200       89900     X                 6          89900
   GENL MOTORS       Equity   370442105         28,951         460     X                 6            460
   GM CL H NEW       Equity   370442832         28,625         500     X                 6            500
   GENL SEMICONDCT   Equity   370787103     31,542,661     3058534     X                 6        3058534
   GILLETTE          Equity   375766102        119,631        3525     X                 6           3525
   GORMAN RUPP       Equity   383082104         36,812        2375     X                 6           2375
   GRACO INC         Equity   384109104        179,158        5460     X                 6           5460
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 65               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   GREAT LAKE      Equity  390568103        24,360       640     X                   6         640
   CHEM
   GREAT UNVSL     Equity  391334604     5,331,900    700000     X                   6      700000
   ADR
   GUILFORD MILLS  Equity  401794102       146,625     17000     X                   6       17000
   HALLIBURTON CO  Equity  406216101       219,350      5350     X                   6        5350
   JOHN HNC REG    Equity  409905205        35,332       775     X                   6         775
   BK
   HANNA (M A) CO  Equity  410522106     1,974,984    173625     X                   6      173625
   HANNAFORD BROS  Equity  410550107        56,350       800     X                   6         800
   HARMAN INTL IND Equity  413086109    17,798,495    423139     X                   6      423139
   HARRAHS ENTERT  Equity  413619107   173,852,196   6264944     X                   6     6264944
   HEINZ (HJ)      Equity  423074103   100,422,415   2335405     X                   6     2335405
   HENRY & ASSOC   Equity  426281101        27,703       750     X                   6         750
   HERCULES INC    Equity  427056106    89,353,739   3121528     X                   6     3121528
   HOLLINGR INTL A Equity  435569108    23,036,431   1939910     X                   6     1939910
   HOME DEPOT INC  Equity  437076102       207,590      3025     X                   6        3025
   HOMESTEAD VILLG Equity  437851108     4,164,652   1480502     X                   6     1480502
   HORACE MANN EDU Equity  440327104    14,359,229    556279     X                   6      556279
   HOUSEHOLD INTL  Equity  441815107 1,033,929,082  25767703     X                   6    25767703
   HOUSTON EXPLOR  Equity  442120101       640,576     29536     X                   6       29536
   IDEC PHARMECEUT Equity  449370105        47,015       500     X                   6         500
   ITT INDUSTRIES  Equity  450911102   190,019,049   5973000     X                   6     5973000
   INTEL CORP      Equity  458140100    85,919,575   1156185     X                   6     1156185
   INTERIM SVCS    Equity  45868P100       163,750     10000     X                   6       10000
   INTL BUSIN MACH Equity  459200101     1,105,940      9140     X                   6        9140
   INTERPOOL INC   Equity  46062R108     5,473,476    717833     X                   6      717833
   JABIL CIRCUIT   Equity  466313103    12,142,350    245300     X                   6      245300
   JOHNSON & JOHN  Equity  478160104        36,750       400     X                   6         400
   KCS ENERGEY     Equity  482434206        13,395     13395     X                   6       13395
   KV PHARMA CO    Equity  482740206       186,880     10000     X                   6       10000
   KEEBLER FOODS   Equity  487256109     2,419,875     81000     X                   6       81000
   KIMBERLEY CLARK Equity  494368103       118,582      2248     X                   6        2248
   KINDER MORGAN   Equity  494550106        64,969      1500     X                   6        1500
   KROGER          Equity  501044101   614,861,171  27868430     X                   6    27868430
   KURZWEILL MUSIC Equity  501323109             0     20000     X                   6       20000
   L-3 COMM HLDGS  Equity  502424104     8,159,473    216145     X                   6      216145
   LAMAR ADVT CL A Equity  512815101     8,620,425    174150     X                   6      174150
   LAZARE KAPLAN   Equity  521078105         8,063      1000     X                   6        1000
   LEGGETT & PLATT Equity  524660107        63,001      3200     X                   6        3200
   LEVIATHAN GAS   Equity  527367205        79,625      3500     X                   6        3500
   ELI LILLY & CO  Equity  532457108     1,283,760     20000     X                   6       20000
   LIDSAY MANUFACT Equity  535555106     5,151,091    262476     X                   6      262476
   LINEAR TECH COR Equity  535678106        70,537      1200     X                   6        1200
   LOCKHEED MARTIN Equity  539830109    24,800,058    758690     X                   6      758690
   LOEWS CORP      Equity  540424108     1,123,008     16000     X                   6       16000
   LUCENT TECH     Equity  549463107       344,616      5312     X                   6        5312
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 66               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   M & T BANK      Equity  55261F104   219,778,380    478820     X                  6        478820
   MCI WORLDCOM    Equity  55268B106   891,770,015  12407235     X                  6      12407235
   MSC INDUS DIR   Equity  553530106    18,072,702   2008078     X                  6       2008078
   MAGELLAN HLTH   Equity  559079108       597,106     81650     X                  6         81650
   MATTEL INC      Equity  577081102    12,154,490    639710     X                  6        639710
   MAY DEPT STORES Equity  577778103   731,974,268  20088212     X                  6      20088212
   McDONALDS CORP  Equity  580135101 1,875,390,324  43361626     X                  6      43361626
   MCWHORTER TECH  Equity  582803102     3,650,212    247472     X                  6        247472
   MEAD CORP       Equity  582834107     5,976,093    173850     X                  6        173850
   MEDTRONIC       Equity  585055106       106,689      3000     X                  6          3000
   MERCK & CO      Equity  589331107     2,132,866     32908     X                  6         32908
   MICRSFT 2.75PFD Equity  594918203       104,715      1040     X                  6          1040
   MINN MINE & MFG Equity  604059105 1,659,348,361  17273543     X                  6      17273543
   MOBIL           Equity  607059102    29,072,218    288558     X                  6        288558
   MONSANTO        Equity  611662107 1,049,492,361  29407430     X                  6      29407430
   MORGAN STAN DW  Equity  617446448    59,894,647    671555     X                  6        671555
   MOTOROLA        Equity  620076109   708,914,888   8055851     X                  6       8055851
   NATL SEMICONDCT Equity  637640103       611,260     20000     X                  6         20000
   NEW PLAN EXCEL  Equity  648053106        26,719      1500     X                  6          1500
   NEWS CORP ADR   Equity  652487802   659,049,965  24694618     X                  6      24694618
   NICHOLS RESERCH Equity  653818104       825,774     31015     X                  6         31015
   NIKE CL B       Equity  654106103     9,953,125    175000     X                  6        175000
   NOKIA ADR       Equity  654902204    62,420,704    694528     X                  6        694528
   NOBLE DRILLNG   Equity  655042109    19,610,937    896500     X                  6        896500
   NORDSTROM       Equity  655664100    10,800,000    400000     X                  6        400000
   NORFOLK SOUTHN  Equity  655844108       117,600      4800     X                  6          4800
   NORTH FORK BANC Equity  659424105       146,250      7500     X                  6          7500
   NORTHERN TRUST  Equity  665859104     2,421,500     29000     X                  6         29000
   NOVARTIS AG ADR Equity  66987V109       148,342      2000     X                  6          2000
   NOVO NORDISKVP  Equity  670100205       119,500      2000     X                  6          2000
   NUEVO ENERGY    Equity  670509108       556,140     32240     X                  6         32240
   NUV SELCT MUNI  Equity  670973106        27,500      2000     X                  6          2000
   OAK INDUSTRIES  Equity  671400505    25,097,100    738150     X                  6        738150
   OLD REPBLC INTL Equity  680223104       887,937     61500     X                  6         61500
   OMNICOM GROUP   Equity  681919106    33,051,883    417385     X                  6        417385
   ORACLE SYSTEMS  Equity  68389X105     3,509,187     77125     X                  6         77125
   PG&E CORP       Equity  69331C108        14,231       550     X                  6           550
   PIMCO ADV HLGS  Equity  69338P102       789,075     25050     X                  6         25050
   PANCADN PET NEW Equity  698900206     4,713,590    297500     X                  6        297500
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 67               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
NEW
PARKER-HANNIFIN   Equity   701094104   8,512,229       189950    X                  6       189950
PAXAR             Equity   704227107  10,949,500      1152579    X                  6      1152579
PEPSICO           Equity   713448108   2,967,650        97300    X                  6        97300
PERFORM FOOD GP   Equity   713755106   7,163,161       279538    X                  6       279538
PFIZER            Equity   717081103     512,833        14295    X                  6        14295
PHILIP MORRIS     Equity   718154107  11,294,723       330371    X                  6       330371
PHILLIPS PETROL   Equity   718507106      68,250         1400    X                  6         1400
PILLOWTEX         Equity   721501104   3,594,712       479295    X                  6       479295
PIONEER STD ELC   Equity   723877106     173,256        12000    X                  6        12000
POLAROID          Equity   731095105     182,000         7000    X                  6         7000
POLICY MGT SYST   Equity   731108106  20,388,479       644695    X                  6       644695
PRECISION CAST    Equity   740189105  12,438,449       407818    X                  6       407818
PROCTER & GAMBL   Equity   742718109   4,696,406        50095    X                  6        50095
PROLOGIS TRUST    Equity   743410102  24,635,819      1305209    X                  6      1305209
PROTECTIVE LIFE   Equity   743674103  12,806,400       441600    X                  6       441600
PUTNAM PREM INC   Equity   746853100      75,625        11000    X                  6        11000
QUAKER OATS       Equity   747402105     383,625         6200    X                  6         6200
QUALCOMM          Equity   747525103      75,675          400    X                  6          400
FALCON (R&B)      Equity   7.49E+105     224,175        17080    X                  6        17080
RAYTHEON          Equity   755111309 171,503,178      3536148    X                  6      3536148
RAYTHEON CL B     Equity   755111408 468,815,910      9447172    X                  6      9447172
READERS DIGST A   Equity   755267101      23,400          800    X                  6          800
REGIS CORP        Equity   758932107   5,248,801       272665    X                  6       272665
REUTERS GROUP     Equity   76132M102      64,811          941    X                  6          941
ROCKWELL INTL     Equity   773903109 503,482,297      9590139    X                  6      9590139
ROYAL DUTCH PET   Equity   780257804     360,284         6100    X                  6         6100
RUDDICK CORP      Equity   781258108   3,884,247       244677    X                  6       244677
SBC COMM          Equity   78387G103     437,507         8568    X                  6         8568
SPS TECH INC      Equity   784626103  11,658,461       307303    X                  6       307303
SABRE HLD CL A    Equity   785905100  29,169,050       678350    X                  6       678350
SAFEGUARD SCIEN   Equity   786449108     108,800         1600    X                  6         1600
ST MARY LND & E   Equity   792228108  11,558,300       442423    X                  6       442423
ST PAUL COMPANY   Equity   792860108      31,625         1150    X                  6         1150
SARA LEE          Equity   803111103   3,574,037       152900    X                  6       152900
SCHERING-PLOUGH   Equity   806605101   6,681,561       153159    X                  6       153159
SCHLUMBERGER      Equity   806857108   1,869,390        30000    X                  6        30000
SCHULMAN A INC    Equity   808194104   1,465,389        84641    X                  6        84641
SCUDDER INTL      Equity   811165109     719,240        12839    X                  6        12839
SECURITY CAP-A    Equity   81413P105  61,465,500        84780    X                  6        84780
SECURITY CAP-B    Equity   81413P204  30,831,272      2099079    X                  6      2099079
SENIOR HIGH INC   Equity   8.17E+111     202,270        27659    X                  6        27659
SERVICEMASTER     Equity   81760N109      24,496         1525    X                  6         1525
SHARED MED SYST   Equity   819486101  15,823,846       338478    X                  6       338478
SHAW INDUSTRIES   Equity   820286102  17,735,946      1117225    X                  6      1117225
SHOPKO STORES     Equity   824911101  12,819,276       442044    X                  6       442044
SIGMA-ALDRICH     Equity   826552101   1,079,500        34000    X                  6        34000
SIMON PROPTY      Equity   828806109     151,456         6750    X                  6         6750
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 68               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
SMITH BARN SH-B   Equity   83181A732       211,585    15743     X                   6       15743
SMITHKLINE BECH   Equity   832378301     1,728,750    30000     X                   6       30000
SOLECTRON         Equity   834182107     1,120,282    15600     X                   6       15600
SOURCE INFO MGT   Equity   836151209        96,478     6800     X                   6        6800
SPARTECH CORP     Equity   847220209     5,887,838   200861     X                   6      200861
SPRINT CORP       Equity   852061100 1,337,981,963 24663262     X                   6    24663262
SPRINT SER 1      Equity   852061506     4,628,871    62080     X                   6       62080
STAFF LEASING I   Equity   852381102     4,763,680   476368     X                   6      476368
STATE STREET      Equity   857477103        77,873     1205     X                   6        1205
SUBURBAN PROPAN   Equity   864482104       101,875     5000     X                   6        5000
SUNOCO            Equity   86764P109        27,375     1000     X                   6        1000
SYST & COMP TEC   Equity   871873105     1,650,916   131411     X                   6      131411
TEPPCO PART LP    Equity   872384102        20,000     1000     X                   6        1000
TRW               Equity   872649108        59,700     1200     X                   6        1200
TECHNITROL        Equity   878555101     5,447,711   154545     X                   6      154545
TELEFLEX          Equity   879369106        63,100     1600     X                   6        1600
TEMPLE INLAND     Equity   879868107        79,300     1300     X                   6        1300
TENET HLTHCARE    Equity   88033G100   383,404,188 21830222     X                   6    21830222
TEVA PHARM ADR    Equity   881624209    16,009,596   318200     X                   6      318200
TETRA TECHNOL     Equity   88162F105     2,394,292   235011     X                   6      235011
TETRA TECH        Equity   88162G103    15,085,701   903985     X                   6      903985
TEXACO            Equity   881694103    75,011,437  1188300     X                   6     1188300
TEXAS INSTRUM     Equity   882508104        99,687     1212     X                   6        1212
TEXTRON           Equity   883203101   201,750,283  2607435     X                   6     2607435
THERMO ELECTRON   Equity   883556102       101,618     7562     X                   6        7562
TIME WARNER       Equity   887315109   188,893,012  3109350     X                   6     3109350
TOYS R US         Equity   892335100        41,730     2782     X                   6        2782
TRIARC COMPANIE   Equity   895927101        52,308     2440     X                   6        2440
TRICON GLOBAL     Equity   895953107     9,784,182   239000     X                   6      239000
TRIGON HLTHCARE   Equity   89618L100     6,638,082   226943     X                   6      226943
TRIZEC HAHN       Equity   896938107        18,938     1000     X                   6        1000
TYCO INTL NEW     Equity   902124106     2,460,963    23835     X                   6       23835
UAL CORP NEW      Equity   902549500   297,438,994  4554055     X                   6     4554055
UCAR INTL         Equity   90262K109     3,102,568   136000     X                   6      136000
UST CORP          Equity   902900109        61,500     2000     X                   6        2000
USX CORP-CM PFD   Equity   902905819       177,252     4000     X                   6        4000
UST               Equity   902911106     3,320,680   110000     X                   6      110000
UNILEVER NY       Equity   904784709        69,828     1025     X                   6        1025
US WEST NEW       Equity   91273H101        62,826     1101     X                   6        1101
UNITED TECH       Equity   913017109     2,004,779    33800     X                   6       33800
UNITED WISC SVC   Equity   913238101       751,031   120165     X                   6      120165
UNITRODE          Equity   913283107    35,715,540   850370     X                   6      850370
UNOCAL            Equity   915289102    71,115,372  1918770     X                   6     1918770
VISX              Equity   92844S105       316,376     4000     X                   6        4000
VITAL SIGNS       Equity   928469105     5,951,924   292119     X                   6      292119
VITESSE SEMICON   Equity   928497106        63,177      740     X                   6         740
VODAFONE AIRTOU   Equity   92857T107       148,831      626     X                   6         626
VOLT INFO SCIEN   Equity   928703107       242,500    10000     X                   6       10000
WPP GROUP PLC     Equity   929309300    75,713,625   814125     X                   6      814125
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 69               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
WALMART STORES    Equity   931142103       172,891      3635     X                  6         3635
WALLACE COMP SV   Equity   932270101    14,611,569    721559     X                  6       721559
WASTE MGT INC     Equity   94106L109   797,883,471  41448492     X                  6     41448492
WATKINS JOHNSON   Equity   942486101        22,487       670     X                  6          670
WELLS FARGO       Equity   949746101 1,740,417,967  43922220     X                  6     43922220
WESTERN BEEF      Equity   957781107         8,595      1038     X                  6         1038
WESTPOINT STVNS   Equity   961238102       480,532     20340     X                  6        20340
WHITMAN CO        Equity   96647R107     5,563,200    390400     X                  6       390400
WILLIAMS COS      Equity   969457100        75,250      2000     X                  6         2000
WILLIAM WRIGLEY   Equity   982526105     1,190,464     17300     X                  6        17300
XILINX            Equity   983919101        52,424       800     X                  6          800
YORK INTL         Equity   986670107    14,993,333    417200     X                  6       417200
YOUNG & RUBICAM   Equity   987425105    17,985,000    408750     X                  6       408750
ACE LTD-ORD       Equity   G0070K103   230,071,191  13583138     X                  6     13583138
ANNUITY & LIFE    Equity   G03910109    24,559,933    987334     X                  6       987334
PARTNER RE        Equity   G6852T105    12,740,218    366625     X                  6       366625
RENAISSNCR HLDG   Equity   G7496G103    30,620,797    882749     X                  6       882749
TERRA NOVA CL A   Equity   G87615103     3,759,102    117700     X                  6       117700
XL CAP CL A       Equity   G98255105   711,930,555  15820679     X                  6     15820679
CHARTWELL RE      Equity   X16139W109    7,019,914    486211     X                  6       486211
XEG&G INC         Equity   X268457108   10,185,937    256250     X                  6       256250
FLEXTRONCS INTL   Equity   Y2573F102     9,135,516    157000     X                  6       157000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 70               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
AT&T - LIBERTY     Equity     1957208    23,070,627     618,300  X                 7         618,300
ABERCROM F CL A    Equity     2896207    13,625,200     400,000  X                 7         400,000
ABOUT.COM INC      Equity     3736105     8,011,700     141,800  X                 7         141,800
ACME COMM INC      Equity     4631107     1,550,000      50,000  X                 7          50,000
ADAPTEC INC        Equity   00651F108    19,050,240     480,000  X                 7         480,000
AEROFLEX           Equity     7768104     4,444,963     364,700  X                 7         364,700
ADVANCED ENERGY    Equity     7973100     6,142,581     198,950  X                 7         198,950
AETNA INC          Equity     8117103    21,338,547     433,270  X                 7         433,270
ALCATEL SA         Equity    13904305        27,750       1,000  X                 7           1,000
ALKERMES INC       Equity   01642T108    21,336,026     740,500  X                 7         740,500
ALLERGAN INC       Equity    18490102    22,000,000     200,000  X                 7         200,000
ALLIED CAP NEW     Equity   01903Q108     6,275,908     279,700  X                 7         279,700
ALLIEDSIGNAL       Equity    19512102    73,166,316   1,220,700  X                 7       1,220,700
ALLIED WASTE       Equity    19589308     2,523,439     215,900  X                 7         215,900
ALTERA CORP        Equity    21441100    16,265,625     375,000  X                 7         375,000
AMAZON COM INC     Equity    23135106    15,987,600     200,000  X                 7         200,000
AMER ONLINE        Equity   02364J104    53,020,098     509,500  X                 7         509,500
AMER EXPRESS       Equity    25816109    69,336,000     513,600  X                 7         513,600
AMER INTL GROUP    Equity    26874107    58,388,864     671,615  X                 7         671,615
AMERICREDIT        Equity   03060R101     2,251,156     150,700  X                 7         150,700
AMGEN INC          Equity    31162100    41,752,450     512,300  X                 7         512,300
ANCOR COMN         Equity   03332K108     5,992,175     247,100  X                 7         247,100
APPLE COMPUTER     Equity    37833100    15,878,900     250,800  X                 7         250,800
APPLIED MAT INC    Equity    38222105    46,612,800     600,000  X                 7         600,000
APPLIED MICRO      Equity   03822W109     5,700,000     100,000  X                 7         100,000
ARCH CHEMICALS     Equity   03937R102     1,630,131     100,700  X                 7         100,700
ARROW ELECTR       Equity    42735100    20,600,100   1,168,800  X                 7       1,168,800
ART TECH GP INC    Equity   04289L107     7,292,870     191,600  X                 7         191,600
ASIS PULP          Equity   04516V100    17,804,187   3,030,500  X                 7       3,030,500
ATLANTIC COAST     Equity    48396105     4,180,125     235,500  X                 7         235,500
ATMEL CORP         Equity    49513104    24,007,230     710,000  X                 7         710,000
AVIS RENT A CAR    Equity    53790101     4,987,037     238,900  X                 7         238,900
BJ'S WHOLESALE     Equity   05548J106     8,138,693     275,300  X                 7         275,300
BAKER HUGHES       Equity    57224107        28,710         990  X                 7             990
BALLY'S TOT FIT    Equity   05873K108     7,698,819     251,900  X                 7         251,900
BASIN EXPLOR       Equity    70107107     5,155,200     214,800  X                 7         214,800
BED BATH BEYOND    Equity    75896100    15,722,100     450,000  X                 7         450,000
BEST BUY           Equity    86516101    40,337,200     650,600  X                 7         650,600
BEV ENTPR INC      Equity    87851309     8,324,475   1,958,700  X                 7       1,958,700
BINDVIEW DEVEL     Equity    90327107     7,802,354     396,300  X                 7         396,300
BIOGEN INC         Equity    90597105    43,347,150     550,000  X                 7         550,000
BOEING CO          Equity    97023105        22,165         520  X                 7             520
BRISTOL MYRS SQ    Equity   110122108    42,099,750     623,700  X                 7         623,700
BROADCOM           Equity   111320107    42,510,000     390,000  X                 7         390,000
BROADVISION INC    Equity   111412102    23,685,214     178,000  X                 7         178,000
BURLINGTON SF      Equity   12189T104        20,625         750  X                 7             750
CMGI INC           Equity   125750109    12,853,500     125,400  X                 7         125,400
CABOT CORP         Equity   127055101    11,704,000     492,800  X                 7         492,800
CATELLUS DEVEL     Equity   149111106     1,292,500     110,000  X                 7         110,000
CHASE MANH NEW     Equity   16161A108        22,612         300  X                 7             300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 71               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
CHEESECAKE FACT   Equity   163072101     5,605,500     202,000    X                 7        202,000
CHUBB CORP        Equity   171232101        33,248         670    X                 7            670
CIENA CORP        Equity   171779101    36,500,000   1,000,000    X                 7      1,000,000
CINAR CORP CL B   Equity   171905300     8,206,825     271,300    X                 7        271,300
CIRCUIT CITY      Equity   172737108       126,564       3,000    X                 7          3,000
CISCO SYSTEMS     Equity   17275R102   205,610,152   2,998,850    X                 7      2,998,850
CITADEL COMN      Equity   172853202     6,610,012     193,700    X                 7        193,700
CITIGROUP INC     Equity   172967101    81,252,292   1,846,643    X                 7      1,846,643
CITZN UTL SER B   Equity   177342201     4,941,518     436,800    X                 7        436,800
CITRIX SYSTEMS    Equity   177376100    27,934,038     451,000    X                 7        451,000
CLARENT CORP      Equity   180461105     7,309,603     143,500    X                 7        143,500
CLEAR CHANNEL     Equity   184502102    55,952,437     700,500    X                 7        700,500
COLUMBIA HCA      Equity   197677107        33,477       1,580    X                 7          1,580
COMMSCOPE INC     Equity   203372107    19,539,000     601,200    X                 7        601,200
MINASBUENAADR     Equity   204448104     2,077,560     120,000    X                 7        120,000
COMSAT CORP       Equity   20564D107     7,098,357     239,607    X                 7        239,607
COMVRS TECH NEW   Equity   205862402    52,136,226     552,800    X                 7        552,800
CONCENTRIC NTWR   Equity   20589R107     3,664,465     180,400    X                 7        180,400
CONSECO INC       Equity   208464107    12,568,690     661,510    X                 7        661,510
COOPER CAMERON    Equity   216640102    15,100,000     400,000    X                 7        400,000
CORN PRDT INTL    Equity   219023108     5,561,022     182,700    X                 7        182,700
CRITICAL PATH     Equity   22674V100     7,750,082     192,100    X                 7        192,100
CYBERONICS        Equity   23251P102     4,872,725     272,600    X                 7        272,600
DEERE & CO        Equity   244199105        37,527         970    X                 7            970
DELL COMPUTER     Equity   247025109    47,875,885   1,145,000    X                 7      1,145,000
DIAMOND OFFSHR    Equity   25271C102    33,375,000   1,000,000    X                 7      1,000,000
DIGITAL INSIGHT   Equity   25385P106        75,000       5,000    X                 7          5,000
DOLE FOOD         Equity   256605106     1,278,700      67,300    X                 7         67,300
DOLLAR THRIFTY    Equity   256743105     2,060,524      99,600    X                 7         99,600
DOUBLECLICK       Equity   258609304    16,677,500     140,000    X                 7        140,000
EMC CORP          Equity   268648102   146,600,681   2,053,950    X                 7      2,053,950
ENSCO INTERNAT    Equity   26874Q100    10,837,800     600,000    X                 7        600,000
E-TEK DYNAMICS    Equity   269240107    27,125,000     500,000    X                 7        500,000
ECHOSTAR COMM A   Equity   278762109    25,209,688     277,600    X                 7        277,600
EDISON INTL       Equity   281020107        23,583         970    X                 7            970
ELECTRNCS IMAGE   Equity   286082102    20,562,400     400,000    X                 7        400,000
ENRON CORP        Equity   293561106    63,126,149   1,537,300    X                 7      1,537,300
ENZON INC         Equity   293904108     5,355,800     175,600    X                 7        175,600
ETOYS INC         Equity   297862104    21,300,160     320,000    X                 7        320,000
EVEREST RE-INS    Equity   299808105     5,436,507     228,300    X                 7        228,300
EXAR CORP         Equity   300645108     5,001,716     133,600    X                 7        133,600
EXIDE CORP        Equity   302051107     2,036,919     213,000    X                 7        213,000
EXODUS COMM       Equity   302088109       108,094       1,500    X                 7          1,500
EXTR              Equity   30226D106    13,137,447     207,500    X                 7        207,500
FREDDIE MAC       Equity   313400301       416,052       8,001    X                 7          8,001
FANNIE MAE        Equity   313586109    48,125,577     767,700    X                 7        767,700
FIRST UNION       Equity   337358105        28,856         810    X                 7            810
FLEET FIN GROUP   Equity   338915101    10,394,175     283,800    X                 7        283,800
FOUND HLTH CL A   Equity   350404109    20,663,085   2,189,350    X                 7      2,189,350
FREMONT GEN       Equity   357288109     6,408,402     679,000    X                 7        679,000
FURNITR BR INTL   Equity   360921100     5,723,301     290,700    X                 7        290,700
GADZOOX           Equity   362555104     5,802,337     107,700    X                 7        107,700
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
Page: 72               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
NETWORK
GAYLORD CL A      Equity   368145108      19,072,200  2,676,800   X                 7      2,676,800
GENENTECH INC     Equity   368710406      26,336,340    180,000   X                 7        180,000
GENL ELEC CO      Equity   369604103      61,482,622    518,565   X                 7        518,565
GENL INSTRUMENT   Equity   370120107      51,840,000  1,080,000   X                 7      1,080,000
GILEAD SCIENCES   Equity   375558103       4,724,236     73,600   X                 7         73,600
GLOBAL INDUST     Equity   379336100       4,155,937    511,500   X                 7        511,500
GLOBAL IMAGING    Equity   37934A100       5,017,337    337,300   X                 7        337,300
GOTO.COM INC      Equity   38348T107       2,606,250     50,000   X                 7         50,000
GREENPOINT FINL   Equity   395384100          70,391      2,650   X                 7          2,650
GUIDANT           Equity   401698105      44,878,762    836,900   X                 7        836,900
GULF CANADA       Equity   40218L305       7,071,856  1,688,600   X                 7      1,688,600
HAMBRECHT & QST   Equity   406545103       7,419,750    152,200   X                 7        152,200
HARLEY DAVIDSON   Equity   412822108      17,652,213    352,600   X                 7        352,600
HELIX TECH        Equity   423319102       8,315,825    250,100   X                 7        250,100
HERCULES INC      Equity   427056106       2,061,000     72,000   X                 7         72,000
HITACHI LTD       Equity   433578507         381,937      3,500   X                 7          3,500
HOME DEPOT INC    Equity   437076102      85,493,025  1,245,800   X                 7      1,245,800
HOMESTAKE MNG     Equity   437614100         918,800    100,000   X                 7        100,000
HUMANA INC.       Equity   444859102       1,375,000    200,000   X                 7        200,000
HUTCHINSON TECH   Equity   448407106       5,111,100    189,300   X                 7        189,300
ICG COMN          Equity   449246107       5,868,807    377,100   X                 7        377,100
IDEC PHARMECEUT   Equity   449370105      25,247,323    268,500   X                 7        268,500
IKON OFFICE SOL   Equity   451713101       7,760,556    726,100   X                 7        726,100
ILLINOIS TOOL W   Equity   452308109      61,119,291    819,700   X                 7        819,700
IMMUNEX CORP      Equity   452528102      17,350,000    400,000   X                 7        400,000
IMRGLOBAL CORP    Equity   45321W106       2,832,225    343,300   X                 7        343,300
INDEPENDENT ERG   Equity   45384X108       8,557,848    446,000   X                 7        446,000
INFOCURE          Equity   45665A108       6,402,400    339,200   X                 7        339,200
INKTOMI CORP      Equity   457277101      31,568,153    263,000   X                 7        263,000
INTEL CORP        Equity   458140100      40,437,418    544,150   X                 7        544,150
INTL PAPER        Equity   460146103          25,954        540   X                 7            540
INTIMATE BRANDS   Equity   461156101             584         15   X                 7             15
IRON MOUNTAIN     Equity   46284P104       7,218,762    213,100   X                 7        213,100
ISPAT INTL NV     Equity   464899103      10,912,929  1,045,500   X                 7      1,045,500
IT GROUP          Equity   465266104       4,476,440    468,100   X                 7        468,100
I2 TECHNOLOGIES   Equity   465754109      29,497,880    760,000   X                 7        760,000
JDS UNIPHASE      Equity   46612J101      83,163,159    730,700   X                 7        730,700
JABIL CIRCUIT     Equity   466313103      29,898,000    604,000   X                 7        604,000
JONES PHARMACY    Equity   480236108       6,170,148    187,150   X                 7        187,150
JUNIPER NTWRKS    Equity   48203R104      23,668,190    130,000   X                 7        130,000
KMART CORP        Equity   482584109       4,862,208    416,000   X                 7        416,000
KANSAS CTY S      Equity   485170104      16,275,000    350,000   X                 7        350,000
KERR McGEE CORP   Equity   492386107       2,736,631     49,700   X                 7         49,700
KEY ENERGY        Equity   492914106       6,657,905  1,348,300   X                 7      1,348,300
KOHLS             Equity   500255104      64,610,737    977,100   X                 7        977,100
KOPIN CORP        Equity   500600101       3,343,875    120,500   X                 7        120,500
KULICKE SOFFA     Equity   501242101       6,032,055    248,100   X                 7        248,100
LSI LOGIC CORP    Equity   502161102      48,162,400    926,200   X                 7        926,200
L-3 COMM HLDGS    Equity   502424104       8,331,425    220,700   X                 7        220,700
LEXMARK INTL GP   Equity   529771107      20,125,000    250,000   X                 7        250,000
LINEAR TECH COR   Equity   535678106         117,562      2,000   X                 7          2,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 73               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
LOCKHEED MARTIN   Equity   539830109    5,575,265     170,560    X                 7        170,560
LONGVIEW FIBRE    Equity   543213102    1,033,597      83,100    X                 7         83,100
LOWES COMPANIES   Equity   548661107   21,966,750     450,600    X                 7        450,600
LUCENT TECH       Equity   549463107   89,383,153   1,377,775    X                 7      1,377,775
MCI WORLDCOM      Equity   55268B106   73,815,625   1,027,000    X                 7      1,027,000
MKS INSTRUMENTS   Equity   55306N104    5,796,125     260,500    X                 7        260,500
MMC NETWORKS      Equity   55308N102    4,831,021     154,900    X                 7        154,900
MAGELLAN HLTH     Equity   559079108    5,511,808     753,700    X                 7        753,700
MATRIA HLTHCARE   Equity   576817100    3,366,962     573,100    X                 7        573,100
MATSUSHITA ELCT   Equity   576879209      303,050       1,450    X                 7          1,450
MAXIM INTERGRAT   Equity   57772K101   32,209,487     510,500    X                 7        510,500
MCDERMOTT INTL    Equity   580037109    6,125,625     302,500    X                 7        302,500
McKESSON HBOC     Equity   58155Q103       22,330         770    X                 7            770
MEDIAONE GROUP    Equity   58440J104    9,686,783     141,800    X                 7        141,800
MEDIA METRIX      Equity   58440X103    4,548,862      65,100    X                 7         65,100
MEDICIS PH CL A   Equity   584690309   19,399,950     680,700    X                 7        680,700
MEDIMMUNE         Equity   584699102   42,563,077     427,100    X                 7        427,100
MENS WEARHOUSE    Equity   587118100    6,984,275     324,850    X                 7        324,850
MERCER INTL       Equity   588056101    2,110,532     567,500    X                 7        567,500
MERISTAR HOSPIT   Equity   58984Y103    5,136,341     334,071    X                 7        334,071
MICROSOFT         Equity   594918104  146,286,413   1,615,300    X                 7      1,615,300
MICROMUSE         Equity   595094103    8,352,500     130,000    X                 7        130,000
MICRON TECH       Equity   595112103  101,126,550   1,520,700    X                 7      1,520,700
MID ATLANTC MED   Equity   59523C107    7,382,788     826,000    X                 7        826,000
MID AM ENEGRY     Equity   59562V107    6,301,200     213,600    X                 7        213,600
MINIMED           Equity   60365K108   62,958,600     640,800    X                 7        640,800
MORGAN STAN DW    Equity   617446448   68,291,251     765,700    X                 7        765,700
MOTOROLA          Equity   620076109   60,799,200     690,900    X                 7        690,900
NABORS INDUST     Equity   629568106   23,142,500     925,700    X                 7        925,700
NATL INFO CONST   Equity   636491102    5,078,321     205,700    X                 7        205,700
NAVIGANT CONSU    Equity   63935N107   30,259,687     652,500    X                 7        652,500
NETWORK APPLINC   Equity   64120L104   17,906,250     250,000    X                 7        250,000
NETZERO INC       Equity   64122R109    5,218,200     200,700    X                 7        200,700
NEXTLINK COMM     Equity   65333H707   15,553,200     300,000    X                 7        300,000
NFRONT INC        Equity   65334N109    4,170,762     374,900    X                 7        374,900
NIAGARA MOHAWK    Equity   653520106    5,101,551     327,800    X                 7        327,800
NOKIA ADR         Equity   654902204   91,775,856   1,021,150    X                 7      1,021,150
OCEAN ENERGY      Equity   6.75E+110   12,468,074   1,223,800    X                 7      1,223,800
OMNICOM GROUP     Equity   681919106   81,761,610   1,032,500    X                 7      1,032,500
OPTIMAL ROBOTIC   Equity   68388R208    3,695,400     205,300    X                 7        205,300
ORACLE SYSTEMS    Equity   68389X105   53,690,000   1,180,000    X                 7      1,180,000
ORBITAL SCIENCE   Equity   685564106   10,605,000     606,000    X                 7        606,000
PMC SIERRA INC    Equity   69344F106   27,805,500     300,600    X                 7        300,600
PAC CENT FINL     Equity   694058108   14,729,666     720,700    X                 7        720,700
PACIFIC SUNWEAR   Equity   694873100    7,025,970     250,650    X                 7        250,650
PACIFICARE HLTH   Equity   695112102       43,250       1,000    X                 7          1,000
PAYCHEX INC       Equity   704326107      307,125       9,000    X                 7          9,000
PEREGRINE SYST    Equity   71366Q101   10,387,175     254,900    X                 7        254,900
PERFORM FOOD GP   Equity   713755106    6,311,437     246,300    X                 7        246,300
PFIZER            Equity   717081103      107,625       3,000    X                 7          3,000
PHILIP MORRIS     Equity   718154107    7,548,710     220,800    X                 7        220,800
PINNACLE HLDGS    Equity   72346N101    8,289,462     317,300    X                 7        317,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 74               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   PORTAL SOFTWARE Equity   736126103     3,875,000    100,000    X                  7       100,000
   PROTEIN DSGN    Equity   74369L103     5,574,087    154,300    X                  7       154,300
   PROVIDIAN FINAN Equity   74406A102    11,878,200    150,000    X                  7       150,000
   QLT PHOTOTHERAP Equity   746927102    32,058,097    419,400    X                  7       419,400
   QLOGIC CORP     Equity   747277101    16,755,120    240,000    X                  7       240,000
   QUALCOMM        Equity   747525103    62,564,471    330,700    X                  7       330,700
   QUICKSILVER INC Equity   74838C106     3,677,375    201,500    X                  7       201,500
   FALCON (R&B)    Equity   7.49E+105    10,729,687    817,500    X                  7       817,500
   RF MICRO        Equity   749941100    23,067,150    504,200    X                  7       504,200
   RATIONAL SFTWRE Equity   75409P202    13,220,371    451,500    X                  7       451,500
   REALNETWORKS    Equity   75605L104    30,846,085    295,000    X                  7       295,000
   RDBK NTWRKS     Equity   757209101    23,220,000    215,000    X                  7       215,000
   RENAL CARE GRP  Equity   759930100    14,212,612    648,800    X                  7       648,800
   RES CARE INC    Equity   760943100     5,025,200    295,600    X                  7       295,600
   RESMED INC      Equity   761152107     5,859,812    176,900    X                  7       176,900
   REYNOLDS METALS Equity   761763101     7,160,475    118,600    X                  7       118,600
   ROWAN COMP      Equity   779382100    17,816,500  1,096,400    X                  7     1,096,400
   SDL INC         Equity   784076101    19,932,955    261,200    X                  7       261,200
   SFX ENTERT CL A Equity   784178105    16,296,787    532,140    X                  7       532,140
   SLI INC         Equity   78442T108     4,166,691    195,500    X                  7       195,500
   SAFEGUARD SCIEN Equity   786449108     5,072,800     74,600    X                  7        74,600
   SANMINA         Equity   800907107    58,031,250    750,000    X                  7       750,000
   SAPIENT         Equity   803062108    14,137,500    150,000    X                  7       150,000
   SCHERING-PLOUGH Equity   806605101    33,966,425    778,600    X                  7       778,600
   SCHLUMBERGER    Equity   806857108    50,891,027    816,700    X                  7       816,700
   SCHOOL SPECIALT Equity   807863105     6,174,562    365,900    X                  7       365,900
   SEAGATE TECH    Equity   811804103    14,232,968    464,750    X                  7       464,750
   SEARS ROEBUCK   Equity   812387108        14,118        450    X                  7           450
   SIEBEL SYSTEMS  Equity   826170102    50,968,125    765,000    X                  7       765,000
   SMURFIT STONE   Equity   832727101    18,389,900    850,400    X                  7       850,400
   SOLECTRON       Equity   834182107    72,538,311  1,010,100    X                  7     1,010,100
   SOTHEBY'S CL A  Equity   835898107     7,542,558    292,200    X                  7       292,200
   SPEEDFAM-IPEC   Equity   847705100     7,200,000    600,000    X                  7       600,000
   ST CASINOS INC  Equity   857689103     8,281,650    356,200    X                  7       356,200
   STEEL DYNAMICS  Equity   858119100     1,137,380     72,500    X                  7        72,500
   SUIZA FOODS     Equity   865077101    14,100,000    376,000    X                  7       376,000
   SUN MICROSYSTEM Equity   866810104    79,868,400    858,800    X                  7       858,800
   SUPERIOR ENGY   Equity   868157108     4,307,991    682,400    X                  7       682,400
   SWIFT ENERGY CO Equity   870738101     5,491,875    435,000    X                  7       435,000
   TANDY           Equity   875382103    10,440,976    202,000    X                  7       202,000
   TATE & LYLE ADR Equity   876570607       145,364      5,900    X                  7         5,900
   TELLABS         Equity   879664100    57,587,093  1,011,400    X                  7     1,011,400
   TENET HLTHCARE  Equity   88033G100    14,475,424    824,200    X                  7       824,200
   TERADYNE        Equity   880770102    46,572,300  1,321,200    X                  7     1,321,200
   TEXACO          Equity   881694103        41,031        650    X                  7           650
   TEXAS INSTRUM   Equity   882508104    59,376,275    721,900    X                  7       721,900
   THERMO ELECTRON Equity   883556102     4,020,649    299,200    X                  7       299,200
   TIBCO SFTWR     Equity   88632Q103     7,523,500    250,000    X                  7       250,000
   TIFFANY         Equity   886547108    23,975,200    400,000    X                  7       400,000
   TOSCO CORP      Equity   891490302     6,398,350    253,400    X                  7       253,400
   TOWER AUTO      Equity   891707101     5,868,610    296,200    X                  7       296,200
   TRANSWITH       Equity   894065101     7,273,200    127,600    X                  7       127,600
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 75               Form 13F             Reporting Manager:  PIMCO Advisors L.P.         I.D. # 28-2701        Qtr 3 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>
   TRUE NORTH COMM Equity   897844106  12,356,587       339,700   X                7           339,700
   TUPPERWARE CORP Equity   899896104   5,953,500       294,000   X                7           294,000
   TYCO INTL NEW   Equity   902124106 106,006,775     1,026,700   X                7         1,026,700
   UCAR INTL       Equity   90262K109  12,467,304       546,500   X                7           546,500
   UTI ENERGY CORP Equity   903387108   7,468,079       384,200   X                7           384,200
   UNION PAC RES   Equity   907834105  13,882,375       854,300   X                7           854,300
   UTD STATIONERS  Equity   913004107   7,374,298       346,000   X                7           346,000
   UNUMPROVIDENT   Equity   91529Y106     883,140        30,000   X                7            30,000
   VALERO ENERGY   Equity   91913Y100  19,301,975     1,002,700   X                7         1,002,700
   VERITAS SOFTWR  Equity   923436109  36,450,240       480,000   X                7           480,000
   VIANT CORP      Equity   92553N107   5,480,887       113,300   X                7           113,300
   VISHAY INTERTEC Equity   928298108   4,331,406       182,375   X                7           182,375
   VISUAL NETWORKS Equity   928444108   9,497,624       223,800   X                7           223,800
   VISX            Equity   92844S105  65,031,086       822,200   X                7           822,200
   VITESSE SEMICON Equity   928497106  30,735,000       360,000   X                7           360,000
   WALMART STORES  Equity   931142103  73,432,515     1,543,900   X                7         1,543,900
   WARNACO CL A    Equity   934390105   4,710,325       258,100   X                7           258,100
   WASTE MGT INC   Equity   94106L109      19,827         1,030   X                7             1,030
   WATERS CORP     Equity   941848103  18,217,350       300,800   X                7           300,800
   WEATHERFORD INT Equity   947074100  14,400,000       450,000   X                7           450,000
   WESTERN RES     Equity   959425109   6,861,375       321,000   X                7           321,000
   WHITMAN-HART    Equity   966834103   8,869,214       228,700   X                7           228,700
   WILD OATS MKTS  Equity   96808B107   7,485,250       189,500   X                7           189,500
   WILLIAMS SONOMA Equity   969904101   7,221,318       148,700   X                7           148,700
   WINSTAR COMM    Equity   975515107  20,500,262       524,800   X                7           524,800
   XILINX          Equity   983919101  39,973,910       610,000   X                7           610,000
   YAHOO           Equity   984332106  14,360,000        80,000   X                7            80,000
   YOUNG & RUBICAM Equity   987425105  23,289,200       529,300   X                7           529,300
   YOUNG BROADCAST Equity   987434107   6,798,275       129,800   X                7           129,800
   ZALE            Equity   988858106   5,436,614       141,900   X                7           141,900
   ACE LTD-ORD     Equity   G0070K103   5,531,950       326,600   X                7           326,600
   ANNUITY & LIFE  Equity   G03910109   6,858,037       275,700   X                7           275,700
   GEMSTAR INTL    Equity   G3788V106  71,515,625       915,400   X                7           915,400
   GLOBALSTAR TEL  Equity   G3930H104     998,200        43,400   X                7            43,400
   LORAL SPACE COM Equity   G56462107  10,718,436       623,600   X                7           623,600
   NEC CORP JPY    Equity   JP3733008   2,055,300       102,000   X                7           102,000
   MILLICOM INTL   Equity   L6388F102   5,701,819       200,500   X                7           200,500
   ORCKIT COMMUNIC Equity   M7531S107   6,356,887       179,700   X                7           179,700
   ASM LITHOGRAPHY Equity   N07059111  33,464,437       499,000   X                7           499,000
   NEW HOLLAND     Equity   N62648105   9,067,200       566,700   X                7           566,700
   ROYAL CARRIB CR Equity   V7780T103  19,849,500       441,100   X                7           441,100
</TABLE>


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