PIMCO ADVISORS L P /
13F-HR/A, 2000-12-08
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, 2000

--------------------------------------------------------------------------------
         Check here if Amendment:   |X|     Amendment No. 1
         This Amendment             |X|     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 10th day of August, 2000.

                                                  PIMCO Advisors L.P.
--------------------------------------------------------------------------------
Person Signing this Report on         (Name of Institutional Investment Manager)
Behalf of Reporting Manager:

Name:    Stewart A. Smith
Title:   Secretary
Phone:   (949) 219-2234
                                       /s/ STEWART A. SMITH
                     -----------------------------------------------------------
                     (Signature of Person Duly Authorized to Submit This Report)
--------------------------------------------------------------------------------
         Report Type:

         |X|  13F HOLDINGS REPORT. (Check here if all holdings of this Reporting
              Manager are reported in this Report)

         |_|  13F NOTICE. (Check here if no holdings are reported in this
              Report, and all holdings are reported by other Reporting
              Manager(s))

         |_|  13F COMBINATION REPORT. (Check here if a portion of the holdings
              for this Reporting Manager are reported in this Report and a
              portion are reported by other Reporting Manager(s))
--------------------------------------------------------------------------------
<PAGE>

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

         Number of Other Included Managers:          6
         Form 13-F Information Table Entry Total:    4,272
         Form 13-F Information Table Value Total:    $50,320,588,536
--------------------------------------------------------------------------------
         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.

         -----------------------------------------------------------------------
         No     13F File No.:        Name:
         -----------------------------------------------------------------------
         1.     28-5658              Cadence Capital Management
         -----------------------------------------------------------------------
         2.     28-2701              PIMCO Advisors L.P.
         -----------------------------------------------------------------------
         3.     28-4554              NFJ Investment Group
         -----------------------------------------------------------------------
         4.     28-4976              Pacific Investment Management Company
         -----------------------------------------------------------------------
         5.     28-4558              Parametric Portfolio Associates
         -----------------------------------------------------------------------
         6.     28-204               Oppenheimer Capital
         -----------------------------------------------------------------------
<PAGE>

<TABLE>
<CAPTION>
    Page: 1             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
A D C               Equity  000886101       1,075.64             40   X          1                                          40
TELECOMMUNICA
COM
                                        4,705,925.00        175,000   X          2          175,000
                                        6,734,071.11        250,421   X          5          250,421
AES Trust VII 144A  Equity  00103V206   3,040,000.00         40,000   X          4           40,000
Conv. Pfd.
AFLAC INC COM       Equity  001055102  26,142,686.63        404,529   X          1          395,000
                                                                      X          1                                       9,529
                                        4,717,689.63         73,001   X          5           73,001
                                      607,424,721.75      9,399,222   X          6        7,476,933
                                                                      X          6                                   1,922,289
AGCO CORP COM       Equity  001084102     215,001.31         18,113   X          5           18,113
AGL RES INC COM     Equity  001204106     402,022.46         20,041   X          5           20,041
AES CORP COM        Equity  00130H105  30,820,072.67        449,823   X          1          439,000
                                                                      X          1                                      10,823
                                       55,234,173.40        806,150   X          2          801,150
                                                                      X          2                                       5,000
                                        8,854,665.26        129,235   X          5          129,235
AK STL HLDG         Equity  001547108     300,121.10         32,030   X          5           32,030
CORP COM
AMR CORP COM        Equity  001765106      31,055.50            950   X          2              950
                                          606,301.43         18,547   X          5           18,547
                                      351,380,298.78     10,748,862   X          6        8,815,264
                                                                      X          6                                   1,933,598
ANC RENTAL          Equity  001813104     129,605.00         22,540   X          5           22,540
CORP
AT&T CORP COM       Equity  001957109  10,075,625.00        343,000   X          3          248,700
                                                                      X          3                         94,300
                                       20,955,361.25        713,374   X          5          713,374
                                        3,500,442.50        119,164   X          6           86,256
                                                                      X          6                                      32,908
AT&T CORP COM       Equity  001957208   6,634,026.00        368,557   X          5          368,557
LIB GRP A
                                        1,728,000.00         96,000   X          6           96,000
AT&T CORP COM       Equity  001957406   1,246,252.05         59,715   X          5           59,715
WIRLES GRP
AVX CORP NEW        Equity  002444107     106,272.68          4,078   X          5            4,078
COM
                                       10,207,702.00        391,700   X          6          322,700
                                                                      X          6                                      69,000
AXA FINL INC COM    Equity  002451102  26,259,863.39        515,526   X          1          503,200
                                                                      X          1                                      12,326
                                        1,405,888.80         27,600   X          2           27,600
                                        6,173,838.41        121,203   X          5          121,203
ABBOTT LABS         Equity  002824100  13,445,918.75        282,700   X          3          208,200
COM
                                                                      X          3                         74,500
                                       16,572,487.25        348,436   X          5          348,436
ABERCROMBIE &       Equity  002896207  11,329,264.00        594,400   X          2          594,400
FITCH CO CL A
                                          945,680.96         49,616   X          5           49,616
ABGENIX INC COM     Equity  00339B107     863,778.09         10,689   X          5           10,689
Abraxas Petroleu    Equity  003830106     462,043.38        119,237   X          4          119,237
Corp
ACNIELSEN           Equity  004833109     523,677.14         21,994   X          5           21,994
CORP COM
ACTUATE CORP        Equity  00508B102  12,455,275.00        360,500   X          2          360,500
COM
                                          467,116.00         13,520   X          5           13,520
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 2             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ACTUANT CORP        Equity  00508X104      74,481.76         18,904   X          5           18,904
                                        6,262,433.00      1,589,450   X          6        1,589,450
ACXIOM CORP         Equity  005125109   9,153,525.00        288,300   X          2          288,300
COM
                                          588,835.50         18,546   X          5           18,546
ADAPTEC INC         Equity  00651F108     562,400.00         28,120   X          5           28,120
COM
                                          230,900.00         11,545   X          6                                      11,545
ADMINISTAFF INC     Equity  007094105     207,418.00          2,740   X          5            2,740
COM
ADOBE SYS INC       Equity  00724F101   6,208,292.25         39,989   X          5           39,989
COM
ADTRAN INC COM      Equity  00738A106     207,686.55          4,881   X          5            4,881
ADVANCE             Equity  007491103     518,430.72         12,288   X          5           12,288
PARADIGM INC
COM
ADVANCED            Equity  007525108     158,932.97         10,463   X          5           10,463
DIGITAL INFO
COM
ADVANCED            Equity  00754A105     478,487.45         12,635   X          5           12,635
FIBRE COMMNCT
COM
ADVANCED            Equity  00755F103     140,935.92         18,943   X          5           18,943
TISSUE SCIENC
COM
AEROFLEX INC        Equity  007768104  15,417,304.76        317,098   X          2          317,098
COM
                                          356,822.18          7,339   X          5            7,339
ADVANCED            Equity  007903107   2,404,138.08        101,784   X          5          101,784
MICRO DEVICES
COM
ADVANCED            Equity  007973100   6,670,950.00        202,150   X          2          202,150
ENERGY INDS
COM
                                           32,934.00            998   X          5              998
ADVENT              Equity  007974108     415,866.24          5,952   X          5            5,952
SOFTWARE INC
COM
AETHER              Equity  00808V105  20,757,125.00        196,750   X          2          196,750
SYSTEMS INC
                                          320,931.00          3,042   X          5            3,042
AETNA INC COM       Equity  008117103  42,766,996.00        736,600   X          2          736,600
                                        1,146,104.40         19,740   X          5           19,740
AFFILIATED          Equity  008190100     408,884.13          8,199   X          5            8,199
COMPUTER SVCS
- A
AFFILIATED          Equity  008252108     650,995.02         11,433   X          5           11,433
MANAGERS
GROUP
AFFYMETRIX INC      Equity  00826T108     206,860.76          4,148   X          5            4,148
COM
AGILENT             Equity  00846U101   3,144,297.12         64,248   X          5           64,248
TECHNOLOGIES
COM
                                        2,495,940.00         51,000   X          6           51,000
AGILE               Equity  00846X105   9,965,352.00        110,800   X          2          110,800
SOFTWARE CP
DEL COM
                                           76,898.70            855   X          5              855
AIR PRODS &         Equity  009158106   1,494,756.00         41,521   X          5           41,521
CHEMS INC COM
AIRGAS INC COM      Equity  009363102     272,577.06         40,026   X          5           40,026
AIRTRAN HLDGS       Equity  00949P108     187,168.20         42,155   X          5           42,155
INC COM
ALABAMA NATL        Equity  010317105   2,264,137.50        104,700   X          1          104,700
BANCORP D COM
                                          155,700.00          7,200   X          5            7,200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 3             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ALASKA AIR          Equity  011659109      91,848.00          3,827   X          5            3,827
GROUP INC COM
                                        3,124,800.00        130,200   X          6          130,200
ALBANY INTL         Equity  012348108     169,392.00         14,116   X          5           14,116
CORP CL A
                                        1,501,284.00        125,107   X          6          125,107
ALBERTO             Equity  013068101     472,051.85         16,385   X          5           16,385
CULVER CO CL B
CONV
ALBERTSONS          Equity  013104104     542,766.00         25,846   X          5           25,846
INC COM
ALCAN               Equity  013716105     512,180.12         17,698   X          5           17,698
ALUMINIUM NEW
COM
ALCOA INC           Equity  013817101      60,744.00          2,400   X          2            2,400
                                        6,822,639.53        269,563   X          5          269,563
                                      471,744,914.87     18,638,677   X          6       15,325,235
                                                                      X          6                                   3,313,442
ALCATEL             Equity  013904305  89,917,537.50      1,430,100   X          2        1,430,100
ALSTHOM
ALEXANDER &         Equity  014482103     439,296.00         16,896   X          5           16,896
BALDWIN COM
ALEXION             Equity  015351109     207,366.00          1,819   X          5            1,819
PHARMACEUTICA
COM
ALFA CORP COM       Equity  015385107     208,355.68         11,947   X          5           11,947
ALKERMES INC        Equity  01642T108  37,870,772.00        980,600   X          2          980,600
COM
                                          284,706.64          7,372   X          5            7,372
ALLEGHANY           Equity  017175100     774,592.00          3,952   X          5            3,952
CORP DEL COM
ALLEGHENY           Equity  017361106     448,999.83         11,757   X          5           11,757
ENERGY INC COM
ALLEGHENY           Equity  01741R102     407,283.24         22,477   X          5           22,477
TECHNOLOGIES
COM
                                          112,344.00          6,200   X          6            6,200
ALLEGIANCE          Equity  01747T102     382,520.25         10,269   X          5           10,269
TELECOM INC
COM
ALLERGAN INC        Equity  018490102  67,158,140.34        795,656   X          1          775,638
COM
                                                                      X          1                                      20,018
                                       42,591,267.60        504,600   X          2          504,600
                                        2,418,907.15         28,658   X          5           28,658
ALLETE COM          Equity  018522102     797,647.20         36,060   X          5           36,060
ALLIANT ENERGY      Equity  018802108     750,197.91         25,543   X          5           25,543
CORP
ALLIANT             Equity  018804104     199,551.60          2,430   X          5            2,430
TECHSYSTEMS
COM
                                        6,317,245.24         76,927   X          6           76,927
ALLIED CAP          Equity  01903Q108     201,959.75          9,733   X          5            9,733
CORP NEW COM
                                        4,016,681.25        193,575   X          6          193,575
ALLIED WASTE        Equity  019589308     649,365.40         70,660   X          5           70,660
INDS INC COM
PAR$.0
ALLMERICA FINL      Equity  019754100     690,424.12         10,798   X          5           10,798
CORP COM
                                            5,179.14             81   X          6               81
ALLSTATE CORP       Equity  020002101   2,432,500.00         70,000   X          2           70,000
COM
                                        4,281,373.75        123,205   X          5          123,205
ALLTEL CORP         Equity  020039103   2,073,404.32         39,728   X          5           39,728
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 4             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ALPHA INDS INC      Equity  020753109   7,448,922.00        218,700   X          2          218,700
COM
                                          154,223.68          4,528   X          5            4,528
ALPHARMA INC        Equity  020813101  10,787,680.00        176,500   X          2          176,500
CL A
                                          506,807.04          8,292   X          5            8,292
ALTERA CORP         Equity  021441100  20,232,725.50        423,722   X          1          413,500
COM
                                                                      X          1                                      10,222
                                       33,463,200.00        700,800   X          2          700,800
                                        5,199,927.25        108,899   X          5          108,899
ALTEON              Equity  02145A109     529,376.76          4,884   X          5            4,884
WEBSYSTEMS
INC
ALZA CORP DEL       Equity  022615108      25,950.00            300   X          2              300
COM
                                        3,579,629.50         41,383   X          5           41,383
AMAZON COM          Equity  023135106     739,777.80         19,245   X          5           19,245
INC COM
AMBAC FINL          Equity  023139108  42,526,166.50        580,562   X          1          565,662
GROUP INC COM
                                                                      X          1                                      14,900
                                        1,004,990.00         13,720   X          5           13,720
AMERADA HESS        Equity  023551104   4,405,792.22         65,819   X          1           64,200
CORP COM
                                                                      X          1                                       1,619
                                        2,536,950.20         37,900   X          5           37,900
AMEREN CORP         Equity  023608102   1,922,084.22         45,906   X          5           45,906
COM
AMERICA ONLINE      Equity  02364J104     344,000.00          6,400   X          1            6,400
INC DEL COM
                                       27,046,462.50        503,190   X          5          503,190
AMERICAN CAP        Equity  024937104      62,257.32          2,628   X          5            2,628
STRATEGIES LTD
                                        3,993,897.10        168,590   X          6          168,590
AMERICAN ELEC       Equity  025537101  12,220,130.01        312,180   X          3           49,240
PWR INC COM
                                                                      X          3                        262,940
                                        4,237,509.56        108,253   X          5          108,253
AMERN EAGLE         Equity  02553E106     525,514.50         16,683   X          5           16,683
OUTFITTERS COM
AMERICAN            Equity  025816109  31,391,712.00        516,736   X          1          504,410
EXPRESS CO COM
                                                                      X          1                                      12,326
                                       96,480,112.50      1,588,150   X          2        1,580,650
                                                                      X          2                                       7,500
                                       21,116,335.50        347,594   X          5          347,594
                                        6,761,475.00        111,300   X          6           64,500
                                                                      X          6                                      46,800
AMERICAN            Equity  026075101      15,558.46            883   X          5              883
FINANCIAL
HOLDINGS
                                        1,263,706.40         71,720   X          6           71,720
AMERICAN            Equity  026351106      15,600.00            200   X          2              200
GENERAL CORP
COM
                                        3,976,362.00         50,979   X          5           50,979
                                      223,954,380.00      2,871,210   X          6        2,291,244
                                                                      X          6                                     579,966
AMERICAN            Equity  026375105   9,275,000.00        530,000   X          2          530,000
GREETINGS CP
CL A
                                          397,722.50         22,727   X          5           22,727
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 5             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
                                           54,250.00          3,100   X          6              600
                                                                      X          6                                       2,500
AMERICAN HOME       Equity  026609107   1,057,672.00         18,700   X          2           18,700
PRODS CP COM
                                       13,704,827.36        242,306   X          5          242,306
                                      724,188,074.96     12,803,891   X          6       11,185,837
                                                                      X          6                                   1,618,054
AMERICAN INTL       Equity  026874107 156,923,466.35      1,639,915   X          2        1,632,415
GROUP COM
                                                                      X          2                                       7,500
                                       62,407,582.65        652,185   X          5          652,185
                                        8,144,845.73         85,117   X          6           70,039
                                                                      X          6                                      15,078
AMERICAN MGMT       Equity  027352103      58,222.53          3,387   X          5            3,387
SYS INC COM
                                        4,732,630.47        275,313   X          6          275,313
AMERICAN NATL       Equity  028591105     414,388.56          6,488   X          5            6,488
INS CO COM
AMERN PWR           Equity  029066107   7,982,000.00        416,000   X          3          331,600
CONVERSION
COM
                                                                      X          3                         84,400
                                        1,179,647.50         61,480   X          5           61,480
AMERICAN STD        Equity  029712106  12,540,262.50        282,200   X          3          215,800
COS INC COM
                                                                      X          3                         66,400
                                          943,408.13         21,230   X          5           21,230
AMERICAN            Equity  029912201     782,482.09         20,761   X          5           20,761
TOWER CORP CL
A
AMERICAN            Equity  030111108   9,423,972.00        191,700   X          2          191,700
SUPERCONDUCT
COM
                                          136,664.80          2,780   X          5            2,780
AMERICAN WTR        Equity  030411102     393,198.52         14,267   X          5           14,267
WKS INC COM
AMERICREDIT         Equity  03060R101  10,539,795.40        365,800   X          1          338,800
CORP COM
                                                                      X          1                                      27,000
                                        1,174,043.31         40,747   X          5           40,747
AMERISOURCE         Equity  03071P102  31,881,792.00        678,336   X          2          678,336
HEALTH CP CL A
                                          563,295.00         11,985   X          5           11,985
                                        6,848,464.00        145,712   X          6          145,712
AMERUS GROUP        Equity  03072M108   7,445,071.75        289,129   X          3          129,829
COMPANY
AMETEK INC          Equity  031100100     371,481.89         17,531   X          5           17,531
NEW COM
AMGEN INC COM       Equity  031162100  74,494,644.00      1,066,800   X          2        1,061,800
                                                                      X          2                                       5,000
                                       24,205,172.90        346,630   X          5          346,630
                                          502,776.00          7,200   X          6            7,200
AMPHENOL            Equity  032095101     303,547.14          5,331   X          5            5,331
CORP NEW CL A
AMSOUTH             Equity  032165102     925,837.50         74,067   X          5           74,067
BANCORPORATIO
COM
ANADARKO PETE       Equity  032511107  96,748,081.64      1,455,734   X          1        1,422,200
CORP COM
                                                                      X          1                                      33,534
                                           39,876.00            600   X          2              600
                                        2,910,283.40         43,790   X          5           43,790
                                                                      X          3                        159,300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 6             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                       66,569,659.00      1,001,650   X          6          787,050
                                                                      X          6                                     214,600
ANALOG              Equity  032654105  24,685,566.25        298,315   X          1          291,200
DEVICES INC COM
                                                                      X          1                                       7,115
                                        9,385,505.00        113,420   X          5          113,420
ANALYSTS INTL       Equity  032681108      64,012.52          8,866   X          5            8,866
CORP
                                          820,661.30        113,665   X          6          113,665
ANDOVER             Equity  034258103   1,424,350.00         46,700   X          3                         46,700
BANCORP INC D
                                          157,197.00          5,154   X          5            5,154
ANDREW CORP         Equity  034425108     358,226.82         13,678   X          5           13,678
COM
ANDRX               Equity  034553107   7,955,550.00         85,200   X          1           85,200
CORPORATION
COMMON SHARE
                                          364,722.75          3,906   X          5            3,906
ANHEUSER            Equity  035229103  28,545,788.44        674,634   X          1          658,400
BUSCH COS INC
COM
                                                                      X          1                                      16,234
                                        8,994,643.66        212,574   X          5          212,574
                                        3,300,414.00         78,000   X          6           69,400
                                                                      X          6                                       8,600
ANNTAYLOR           Equity  036115103  12,600,632.00        327,800   X          2          327,800
STORES CORP
COM
                                          431,527.44         11,226   X          5           11,226
ANTHRACITE          Equity  037023108     133,330.40         16,420   X          5           16,420
CAPITAL INC
AON CORP COM        Equity  037389103  18,514,225.00        471,700   X          2          471,700
                                        1,422,184.50         36,234   X          5           36,234
APACHE CORP         Equity  037411105  74,705,974.75      1,263,526   X          1        1,235,000
COM
                                                                      X          1                                      28,526
                                       13,155,312.50        222,500   X          3          157,500
                                                                      X          3                         65,000
                                        1,335,219.88         22,583   X          5           22,583
Apache Corp.        Equity  037411600     872,270.00         17,000   X          4           17,000
Conv. Pfd.
APARTMENT           Equity  03748R101  41,852,841.80        908,600   X          1          884,900
INVT & MGMT CL
A
APOGEE              Equity  037598109     136,827.43         24,047   X          5           24,047
ENTERPRISES
INC COM
APOLLO GROUP        Equity  037604105   1,175,726.43         29,489   X          5           29,489
INC CL A
APPLE               Equity  037833100     128,750.00          5,000   X          2            5,000
COMPUTER INC
COM
                                        3,293,502.25        127,903   X          5          127,903
APRIA               Equity  037933108     209,978.22         15,063   X          5           15,063
HEALTHCARE
GROUP COM
APPLIED             Equity  03820C105      36,524.10          2,110   X          5            2,110
INDLTECH INC
COM
                                        2,089,870.92        120,732   X          6          100,066
                                                                      X          6                                      20,666
APPLIED MATLS       Equity  038222105  12,528,032.55        211,219   X          1          206,200
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 7             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
                                                                      X          1                                      23,700
                                          302,357.53          6,564   X          5            6,564
                                                                      X          1                                       5,019
                                           23,725.20            400   X          2              400
                                       10,285,170.77        173,405   X          5          173,405
APPLIED MICRO       Equity   03822W10  25,613,693.10        123,700   X          1          121,600
CIRCUITS COM
                                                                      X          1                                       2,100
                                      304,320,491.10      1,469,700   X          2        1,467,700
                                                                      X          2                                       2,000
                                        4,633,241.69         22,376   X          5           22,376
                                          547,681.64          2,645   X          6            2,645
APTARGROUP          Equity  038336103     232,361.64          9,706   X          5            9,706
INC COM
ARCH WIRELESS       Equity  039392105      65,870.00         13,174   X          5           13,174
INC COM
ARCHER              Equity  039483102   8,878,600.00      1,030,000   X          2        1,030,000
DANIELS
MIDLAND COM
                                          527,000.94         61,137   X          5           61,137
                                            2,439.46            283   X          6              283
ARCHSTONE           Equity  039581103      67,859.28          2,763   X          5            2,763
CMNTYS TR SH
BEN INT
                                        5,978,346.08        243,418   X          6          179,818
                                                                      X          6                                      63,600
ARGONAUT            Equity  040157109     215,372.50         12,307   X          5           12,307
GROUP INC COM
ARGOSY GAMING       Equity  040228108   7,260,875.00        400,600   X          1          370,300
CO COM
                                                                      X          1                                      30,300
                                           60,410.63          3,333   X          5            3,333
ARIBA INC           Equity  04033V104 112,825,125.00        787,500   X          2          787,500
                                        3,657,826.37         25,531   X          5           25,531
                                          468,492.90          3,270   X          6            3,270
ARMSTRONG           Equity  042384107   7,068,790.63        592,150   X          3           88,500
HOLDINGS INC.
                                                                      X          3                        503,650
                                          536,351.88         44,930   X          5           44,930
ARNOLD INDS         Equity  042595108     290,045.91         17,193   X          5           17,193
INC COM
ARROW               Equity  042735100   1,026,159.68         30,128   X          5           30,128
ELECTRS INC
COM
                                       75,124,779.60      2,205,660   X          6        1,328,760
                                                                      X          6                                     876,900
ARROW INTL INC      Equity  042764100   6,474,750.00        178,000   X          3           79,900
COM
                                                                      X          3                         98,100
                                          108,070.13          2,971   X          5            2,971
ART                 Equity  04289L107   9,650,287.50        101,850   X          2          101,850
TECHNOLOGY
GROUP INC
                                          713,562.25          7,531   X          5            7,531
ARTESYN             Equity  043127109     238,434.56          8,188   X          5            8,188
TECHNOLOGIES
COM
ARVINMERITOR,       Equity  043353101   6,423,210.94        437,325   X          3          165,550
INC
                                                                      X          3                        271,775
                                          516,221.56         35,147   X          5           35,147
ASHLAND INC         Equity  044204105     481,194.27         14,283   X          5           14,283
COM
ASPEN               Equity  045327103     378,331.20          8,385   X          5            8,385
TECHNOLOGY
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 8             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ASSOCIATED          Equity  045487105     354,532.50         13,506   X          5           13,506
BANC CORP COM
ASSOCIATED          Equity  045604105     238,189.12         29,552   X          5           29,552
ESTATE RLTY
COM
AT HOME             Equity  045919107     236,863.00         16,775   X          5           16,775
CORPORATION
ASSOCIATES          Equity  046008108  26,958,568.00        709,436   X          1          692,400
FIRST CAP CL A
                                                                      X          1                                      17,036
                                        5,534,776.00        145,652   X          5          145,652
ASTORIA FINL        Equity  046265104   7,248,974.00        187,700   X          2          187,700
CORP COM
                                          650,515.28         16,844   X          5           16,844
ATLANTIC COAST      Equity  048396105     288,100.50          8,950   X          5            8,950
AIR HLD COM
ATMEL CORP          Equity  049513104   1,735,138.51        114,229   X          5          114,229
COM
ATMOS ENERGY        Equity  049560105     127,617.18          6,189   X          5            6,189
CORP COM
                                        6,136,099.60        297,580   X          6          297,580
AURORA              Equity  051920106   8,588,400.00        126,300   X          1          117,000
BIOSCIENCES
CRP COM
                                                                      X          1                                       9,300
                                        9,275,200.00        136,400   X          2          136,400
                                          164,356.00          2,417   X          5            2,417
AUTOLIV INC COM     Equity  052800109     216,099.00         11,082   X          5           11,082
AUTOMATIC           Equity  053015103  12,003,432.48        179,504   X          5          179,504
DATA PROCESS
COM
AUTONATION INC      Equity   05329W10     242,340.00         40,390   X          5           40,390
COM
AUTOZONE INC        Equity  053332102     271,712.75         11,975   X          5           11,975
COM
AVANT CORP          Equity  053487104     244,586.50         13,402   X          5           13,402
COM
AVANEX CORP         Equity   05348W10  13,472,019.00        125,100   X          2          125,100
COM
                                           58,475.67            543   X          5              543
AVANTGO INC         Equity  05349M100   1,355,800.00         67,790   X          2           67,790
AVERY               Equity  053611109     930,785.01         20,073   X          5           20,073
DENNISON CORP
COM
                                        9,440,932.00        203,600   X          6          175,100
                                                                      X          6                                      28,500
AVIRON COM          Equity  053762100     494,876.97          8,487   X          5            8,487
AVIS RENT A CAR     Equity  053790101  30,327,918.00      1,023,900   X          2        1,023,900
INC COM
                                          108,379.58          3,659   X          5            3,659
AVNET INC COM       Equity  053807103     502,829.88         17,724   X          5           17,724
                                       11,200,873.18        394,814   X          6          290,434
                                                                      X          6                                     104,380
AVOCENT CORP        Equity  053893103  16,008,300.00        290,400   X          1          281,750
                                                                      X          1                                       8,650
                                          858,682.13         15,577   X          5           15,577
AVON PRODS INC      Equity  054303102   4,043,350.84         98,932   X          5           98,932
COM
                                      195,091,024.11      4,773,453   X          6        3,531,386
                                                                      X          6                                   1,242,067
AWARE INC           Equity  05453N100     221,567.50          5,755   X          5            5,755
MASS COM
BB&T CORP COM       Equity  054937107   1,696,900.56         56,338   X          5           56,338
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 9             Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
AZURIX CORP         Equity  05501M104      50,455.88         14,173   X          5           14,173
COM
BHC                 Equity  055448104     596,432.30          3,790   X          5            3,790
COMMUNICATION
INC CL A
BISYS GROUP         Equity  055472104     511,714.89          6,619   X          5            6,619
INC COM
BJ SERVICES CO      Equity  055482103   6,418,125.00        105,000   X          1          105,000
COM
                                        1,250,006.25         20,450   X          5           20,450
BJS WHOLESALE       Equity  05548J106  32,043,600.00        928,800   X          1          905,000
CLUB INC COM
                                                                      X          1                                      23,800
                                       37,291,050.00      1,080,900   X          2        1,079,400
                                                                      X          2                                       1,500
                                          633,868.50         18,373   X          5           18,373
BRE                 Equity  05564E106     393,792.00         12,306   X          5           12,306
PROPERTIES INC
CL A
BSB BANCORP         Equity  055652101     504,488.24         22,552   X          5           22,552
INC
BT FINL CORP        Equity  055763106     203,629.50         11,007   X          5           11,007
COM
BMC SOFTWARE        Equity  055921100     548,342.48         28,679   X          5           28,679
INC COM
BAKER HUGHES        Equity  057224107  27,882,657.00        751,048   X          1          733,000
INC COM
                                                                      X          1                                      18,048
                                        2,023,609.50         54,508   X          5           54,508
BALL CORP COM       Equity  058498106     393,241.21         12,409   X          5           12,409
BANCWEST            Equity  059790105     700,734.24         36,046   X          5           36,046
CORP NEW COM
BANK OF             Equity  060505104  10,145,037.50        193,700   X          3           30,500
AMERICA CORP
COM
                                                                      X          3                        163,200
                                       16,990,554.75        324,402   X          5          324,402
                                          999,786.38         19,089   X          6            3,997
                                                                      X          6                                      15,092
BANK NEW YORK       Equity  064057102  36,775,360.00        656,000   X          2          656,000
INC COM
                                       13,427,042.72        239,512   X          5          239,512
                                          426,056.00          7,600   X          6            1,750
                                                                      X          6                                       5,850
BANK ONE CORP       Equity  06423A103  10,004,897.20        259,060   X          5          259,060
COM
BANK UTD CORP       Equity  065412108   7,461,273.60        147,200   X          1          136,300
CL A
                                                                      X          1                                      10,900
                                          323,490.82          6,382   X          5            6,382
BANKNORTH GRP       Equity  06646R107  35,712,677.00      1,997,912   X          1        1,924,912
                                                                      X          1                                      73,000
                                          486,396.63         27,211   X          5           27,211
BANTA CORP          Equity  066821109   7,295,437.50        299,300   X          3          144,900
                                                                      X          3                        154,400
                                          372,060.00         15,264   X          5           15,264
BARD C R INC        Equity  067383109     312,607.75          7,399   X          5            7,399
COM
BARNES GROUP        Equity  067806109   6,096,825.00        331,800   X          3          153,500
INC COM
                                                                      X          3                        178,300
                                          304,051.13         16,547   X          5           16,547
BARRICK GOLD        Equity  067901108     426,329.00         27,956   X          5           27,956
CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 10            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
BARR LABS INC       Equity  068306109     352,238.72          5,312   X          5            5,312
COM
BARRA INC COM       Equity  068313105     315,947.46          5,091   X          5            5,091
BARRETT RES         Equity  068480201   9,109,012.50        242,100   X          1          224,200
CORP COM PAR
$0.01
                                                                      X          1                                      17,900
                                          353,712.63          9,401   X          5            9,401
BATTLE MTN          Equity  071593107      25,576.25         14,615   X          5           14,615
GOLD CO COM
BAUSCH & LOMB       Equity  071707103     268,218.72          6,888   X          5            6,888
INC COM
BAXTER INTL INC     Equity  071813109   5,423,648.17         67,957   X          5           67,957
COM
BE FREE INC COM     Equity  073308108   5,285,512.50      1,243,650   X          2        1,243,650
                                            1,062.50            250   X          5              250
BEA SYS INC COM     Equity  073325102     560,700.00          7,200   X          1            7,200
                                      243,452,825.00      3,126,200   X          2        3,126,200
                                        4,907,448.88         63,017   X          5           63,017
BEAR STEARNS        Equity  073902108  10,756,500.00        170,400   X          3          129,100
COS INC COM
                                                                      X          3                         41,300
                                        1,732,528.75         27,446   X          5           27,446
BEBE STORES         Equity  075571109   5,912,312.00        397,600   X          2          397,600
INC COM
                                           54,275.50          3,650   X          5            3,650
BECKMAN             Equity  075811109   1,609,340.16         20,868   X          5           20,868
COULTER INC
BECTON              Equity  075887109     876,274.48         33,142   X          5           33,142
DICKINSON & CO
COM
                                        7,633,228.00        288,700   X          6          170,566
                                                                      X          6                                     118,134
BED BATH &          Equity  075896100   1,461,570.75         59,925   X          5           59,925
BEYOND INC COM
BELDEN INC COM      Equity  077459105     172,662.20          7,310   X          5            7,310
                                        3,952,452.70        167,335   X          6          167,255
                                                                      X          6                                          80
BELL ATLANTIC       Equity  077853109     253,768.13          3,770   X          6            3,770
CORP COM
BELLSOUTH           Equity  079860102  17,852,002.00        443,528   X          5          443,528
CORP COM
BELO A H CORP       Equity  080555105     452,056.60         24,515   X          5           24,515
DEL COM SER A
BEMIS INC COM       Equity  081437105     220,857.12          6,876   X          5            6,876
BENCHMARK           Equity  08160H101     347,308.00          6,679   X          5            6,679
ELECTRS INC
COM
BERGEN              Equity  083739102     773,387.02         66,158   X          5           66,158
BRUNSWIG
CORP CL A
BERKLEY W R         Equity  084423102   6,511,104.00        188,400   X          2          188,400
CORP COM
                                           88,024.32          2,547   X          5            2,547
BERRY PETE CO       Equity  085789105   7,326,150.00        405,600   X          3          173,400
CL A
                                                                      X          3                        232,200
                                          236,727.13         13,106   X          5           13,106
BEST BUY INC        Equity  086516101   2,777,203.86         43,653   X          5           43,653
COM
BESTFOODS COM       Equity  08658U101   4,018,637.25         55,239   X          5           55,239
BETHLEHEM STL       Equity  087509105     337,209.00        112,403   X          5          112,403
CORP COM
BEVERLY             Equity  087851309     188,612.82         31,753   X          5           31,753
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 11            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ENTERPRISE INC
COM
BILLING INFO        Equity  090063108      90,292.95         28,305   X          5           28,305
CONCEPTS COM
BINDLEY WESTN       Equity  090324104   7,238,400.00        226,200   X          3           94,400
INDS INC COM
                                                                      X          3                        131,800
                                          168,896.00          5,278   X          5            5,278
BIO                 Equity  090578105     295,094.80         25,795   X          5           25,795
TECHNOLOGY
GEN CP COM
BIOGEN INC COM      Equity  090597105  30,500,000.00        500,000   X          2          500,000
                                        3,221,593.00         52,813   X          5           52,813
BIOMET INC COM      Equity  090613100   1,157,555.00         33,073   X          5           33,073
BIOTRANSPLANT       Equity  09066Y107   1,820,568.75        106,700   X          2          106,700
INC
BLACK & DECKER      Equity  091797100     434,623.28         12,712   X          5           12,712
CORP COM
BLACK BOX CORP      Equity  091826107     200,885.58          4,309   X          5            4,309
DEL COM
BLACK HILLS         Equity  092113109     563,837.64         20,094   X          5           20,094
CORP COM
Blackrock Target    Equity  092476100     987,500.00        100,000   X          4          100,000
Term Trust
Blackrock           Equity  09247P108     582,750.90         64,300   X          4           64,300
Strategic Term
Trust
BLOCK H & R INC     Equity  093671105     455,986.24         12,304   X          5           12,304
COM
BLYTH INDS INC      Equity  09643P108     479,207.36         20,444   X          5           20,444
COM
BOB EVANS           Equity  096761101     474,432.50         25,645   X          5           25,645
FARMS INC COM
BOEING CO COM       Equity  097023105   2,016,000.00         32,000   X          2           32,000
                                       19,311,831.00        306,537   X          5          306,537
                                      835,276,743.00     13,258,361   X          6       11,203,778
                                                                      X          6                                   2,054,583
BOISE CASCADE       Equity  097383103     296,329.92         11,157   X          5           11,157
CORP COM
BOMBAY CO INC       Equity  097924104      29,282.44         12,001   X          5           12,001
COM
BOOKHAM             Equity  09856Q108   1,414,875.00         33,000   X          2           33,000
TECHNOLOGY
PLC
BORDERS             Equity  099709107     347,440.56         24,924   X          5           24,924
GROUP INC COM
BORG-WARNER         Equity  099724106   5,256,937.50        158,700   X          3           82,500
AUTOMOTIVE
COM
                                                                      X          3                         76,200
                                          202,990.00          6,128   X          5            6,128
BOSTON              Equity  101121101   1,597,368.00         37,200   X          2           37,200
PROPERTIES INC
COM
                                           33,235.56            774   X          5              774
BOSTON              Equity  101137107     899,514.60         54,715   X          5           54,715
SCIENTIFIC CORP
COM
BOWATER INC         Equity  102183100     607,017.24         13,071   X          5           13,071
COM
BOYDS               Equity  103354106     263,639.64         35,772   X          5           35,772
COLLECTION LTD
COM
BOYKIN LODGING      Equity  103430104     239,049.24         23,052   X          5           23,052
CO COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 12            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
BRANDYWINE          Equity  105368203      36,632.25          1,809   X          5            1,809
RLTY TR SH BEN
INT NE
                                        3,812,062.50        188,250   X          6          188,250
BRIGGS &            Equity  109043109     343,050.13          9,073   X          5            9,073
STRATTON CORP
COM
BRINKER INTL        Equity  109641100  30,378,050.00      1,008,400   X          1          982,200
INC COM
                                                                      X          1                                      26,200
                                          417,110.75         13,846   X          5           13,846
BRISTOL MYERS       Equity  110122108      39,984.00            700   X          2              700
SQUIBB COM
                                       19,373,790.24        339,177   X          5          339,177
                                      329,500,318.56      5,768,563   X          6        4,678,758
                                                                      X          6                                   1,089,805
AMERICAN            Equity  111111118           0.00         53,250   X          2           53,250
SATELLITE
BROADCOM            Equity  111320107     414,375.00          1,700   X          1            1,700
CORP CL A
                                      179,448,750.00        736,200   X          2          734,200
                                                                      X          2                                       2,000
                                       10,943,400.00         44,896   X          5           44,896
                                          429,000.00          1,760   X          6            1,760
BROADVISION         Equity  111412102     540,080.87         21,023   X          5           21,023
BROADWING INC       Equity  111620100   1,720,060.20         67,295   X          5           67,295
COM
BROCADE             Equity  111621108  44,297,200.00        187,700   X          1          183,700
COMMUNCTNS
SYS COM
                                                                      X          1                                       4,000
                                      160,834,000.00        681,500   X          2          681,500
                                        3,490,912.00         14,792   X          5           14,792
BROOKLINE           Equity  113739106     201,046.56         17,574   X          5           17,574
BANCORP INC
COM
BROOKTROUT          Equity  114580103   2,206,846.00         67,000   X          1           67,000
INC COM
                                           75,164.52          2,282   X          5            2,282
BROWN FORMAN        Equity  115637209  21,067,800.00        384,800   X          3          185,500
CORP CL B
                                                                      X          3                        199,300
                                        1,316,518.50         24,046   X          5           24,046
BROWN TOM INC       Equity  115660201     203,987.00          8,326   X          5            8,326
COM NEW
BROWN SHOE          Equity  115736100   4,383,356.25        477,100   X          3          199,700
INC NEW COM
                                                                      X          3                        277,400
                                           53,223.19          5,793   X          5            5,793
BRUKER              Equity  116795105   3,589,937.50         80,900   X          1           80,900
DALTONICS INC
COM
BRUNSWICK           Equity  117043109  20,798,612.50      1,139,650   X          3          555,800
CORP COM
                                                                      X          3                        583,850
                                        1,149,841.25         63,005   X          5           63,005
BURLINGTON          Equity  121579106   6,022,700.00        420,800   X          3          202,700
COAT FACTRY
COM
                                                                      X          3                        218,100
                                           60,012.31          4,193   X          5            4,193
BURLINGTON          Equity  12189T104   1,389,865.40         64,465   X          5           64,465
NRTHN SANTA
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 13            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                      252,221,082.96     11,698,566   X          6        8,934,440
                                                                      X          6                                   2,764,126
BURLINGTON          Equity  122014103   1,182,558.06         32,126   X          5           32,126
RES INC COM
BURNHAM PAC         Equity  12232C108     184,193.70         30,395   X          5           30,395
PPTYS INC COM
BUSH BOAKE          Equity  123162109   1,131,710.51         23,671   X          5           23,671
ALLEN INC COM
BUTLER MFG CO       Equity  123655102   6,819,318.75        297,300   X          3          140,200
DEL COM
                                                                      X          3                        157,100
                                           59,431.06          2,591   X          5            2,591
C&D                 Equity  124661109     353,495.75          6,229   X          5            6,229
TECHNOLOGIES
INC COM
CBL & ASSOC         Equity  124830100   6,175,400.00        246,400   X          3          114,900
PPTYS INC COM
                                                                      X          3                        131,500
                                           63,809.13          2,546   X          5            2,546
CBRL GROUP INC      Equity  12489V106     323,439.96         22,508   X          5           22,508
C-CUBE              Equity  12501N108     305,921.50         14,923   X          5           14,923
MICROSYSTEMS
CDW COMPUTER        Equity  125129106  12,275,100.00        177,900   X          1          173,300
CTRS INC COM
                                                                      X          1                                       4,600
                                        1,529,454.00         22,166   X          5           22,166
CEC ENTMT INC       Equity  125137109   6,675,200.00        208,600   X          1          193,150
COM
                                                                      X          1                                      15,450
                                          336,928.00         10,529   X          5           10,529
CH ENERGY           Equity  12541M102   6,423,862.50        161,100   X          3           73,600
GROUP INC
                                                                      X          3                         87,500
                                          275,456.50          6,908   X          5            6,908
C.H. ROBINSON       Equity   12541W10     613,196.80         10,880   X          5           10,880
WORLDWIDE INC
CIGNA CORP COM      Equity  125509109   7,649,910.00         73,275   X          5           73,275
CIT GROUP INC       Equity  125577106     287,122.50         16,407   X          5           16,407
CL A
CKE                 Equity  12561E105      31,723.02         10,367   X          5           10,367
RESTAURANTS
INC COM
CLECO               Equity   12561W10   1,940,125.00         41,500   X          2           41,500
CORPORATION
COMMON
                                          568,339.75         12,157   X          5           12,157
CMG                 Equity  125750109     982,789.50         35,175   X          5           35,175
INFORMATION
SVCS COM
CMS ENERGY          Equity  125896100   1,071,242.16         39,764   X          5           39,764
CORP COM
                                          538,800.00         20,000   X          6                                      20,000
CNA FINL CORP       Equity  126117100   1,504,372.50         39,330   X          5           39,330
COM
CNF TRANSN INC      Equity   12612W10     223,145.25         10,029   X          5           10,029
COM
C P & L ENERGY      Equity  12614C106   1,111,997.37         26,673   X          5           26,673
INC
CSG SYS INTL        Equity  126349109     251,488.00          8,672   X          5            8,672
INC COM
CSX CORP COM        Equity  126408103   4,852,725.00        222,500   X          2          222,500
                                          905,529.39         41,519   X          5           41,519
CTS CORP COM        Equity  126501105     305,339.84          6,032   X          5            6,032
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 14            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
                                        5,638,308.70        111,385   X          6          111,385
CVS CORP COM        Equity  126650100  41,077,083.79        886,945   X          1          865,900
                                                                      X          1                                      21,045
                                            6,946.95            150   X          2              150
                                        3,814,894.44         82,372   X          5           82,372
                                      703,058,062.60     15,180,577   X          6       13,320,982
                                                                      X          6                                   1,859,595
CABLEVISION         Equity  12686C109     696,918.10         10,510   X          5           10,510
SYS CORP CL A
                                       15,616,005.00        235,500   X          6          225,400
                                                                      X          6                                      10,100
CABLETRON SYS       Equity  126920107   1,929,403.41         65,693   X          5           65,693
INC COM
CABLE DESIGN        Equity  126924109     401,212.24         16,504   X          5           16,504
TECH CORP COM
CACHEFLOW INC       Equity  126946102     208,780.00          1,460   X          5            1,460
COM
CABOT CORP          Equity  127055101     488,342.90         15,410   X          5           15,410
COM
CABOT               Equity  127072106   6,196,575.00        310,800   X          3          145,800
INDUSTRIAL
TRUST COM
                                                                      X          3                        165,000
                                          145,204.81          7,283   X          5            7,283
CABOT OIL & GAS     Equity  127097103   6,884,712.50        337,900   X          3          155,400
CORP CL A
                                                                      X          3                        182,500
                                          319,907.88         15,701   X          5           15,701
                                        3,487,690.63        171,175   X          6          171,175
CADENCE             Equity  127387108   1,707,203.26         66,454   X          5           66,454
DESIGN SYS INC
COM
                                          128,450.00          5,000   X          6            5,000
CADIZ INC           Equity  127537108     267,260.00         26,726   X          5           26,726
CALLAWAY GOLF       Equity  131193104     364,883.80         23,740   X          5           23,740
CO COM
CALPINE CORP        Equity  131347106  48,752,476.04        467,018   X          1          458,600
COM
                                                                      X          1                                       8,418
                                      105,226,128.00      1,008,000   X          2        1,006,000
                                                                      X          2                                       2,000
                                        5,731,483.46         54,904   X          5           54,904
CALPINE CAP II      Equity  13134E200   2,228,650.00         21,200   X          2           21,200
CONV PFD 144 A
Calpine Cap Tr 3    Equity  13134R201   5,130,400.00         80,000   X          4           80,000
Conv Pfd
CAMBREX CORP        Equity  132011107     314,648.00          8,504   X          5            8,504
COM
                                       10,985,670.00        296,910   X          6          296,910
CAMBRIDGE           Equity  132524109     129,378.22         29,606   X          5           29,606
TECH PTNR MA
COM
CAMPBELL SOUP       Equity  134429109     717,349.23         27,729   X          5           27,729
CO COM
CANADIAN PAC        Equity  135923100 337,497,500.94     14,794,411   X          6       11,991,860
LTD NEW COM
                                                                      X          6                                   2,802,551
CANDELA LASER       Equity  136907102   1,760,000.00        160,000   X          1          160,000
CORP          COM
CAPITAL             Equity  139733109      92,300.00          7,100   X          5            7,100
AUTOMOTV REIT
COM SH BEN
                                        3,711,565.00        285,505   X          6          285,505
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 15            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
CAPITAL             Equity  140071101     220,312.00         25,000   X          6                                      25,000
CROSSING BANK
CAPITAL ONE         Equity  14040H105  93,977,463.66      1,341,328   X          1        1,311,400
FINL CORP COM
                                                                      X          1                                      29,928
                                        2,917,143.07         41,636   X          5           41,636
CAPROCK             Equity  140667106      63,217.80         12,420   X          5           12,420
COMMUNICATION
COM
CAPSTEAD MTG        Equity  14067E407     252,459.00         28,051   X          5           28,051
CORP COM
CARAUSTAR           Equity  140909102   3,692,662.50        333,800   X          3          180,000
INDS INC COM
                                                                      X          3                        153,800
                                           74,174.06          6,705   X          5            6,705
CARDINAL            Equity  14149Y108   6,916,829.89         78,431   X          5           78,431
HEALTH INC COM                         14,657,178.00        166,200   X          6          130,125
                                                                      X          6                                      36,075
CAREMARK RX         Equity  141705103     615,712.50         54,730   X          5           54,730
CARLISLE COS        Equity  142339100     419,025.50         10,097   X          5           10,097
INC COM
                                       19,320,366.50        465,551   X          6          389,551
                                                                      X          6                                      76,000
CARMIKE             Equity  143436103       8,055.75         11,675   X          5           11,675
CINEMAS INC CL A
CARNIVAL CORP       Equity  143658102     766,420.60         31,130   X          5           31,130
CL A
                                       74,948,204.00      3,044,200   X          6        2,083,700
                                                                      X          6                                     960,500
CARPENTER           Equity  144285103     210,129.92          7,216   X          5            7,216
TECHNOLOGY
COM
CASCADE NAT         Equity  147339105     291,375.00         16,650   X          5           16,650
GAS CORP COM
CASEYS GEN          Equity  147528103     339,326.00         26,102   X          5           26,102
STORES COM
CATALINA            Equity  148867104   1,088,271.36         28,928   X          5           28,928
MARKETING CP
COM
CATALYTICA INC      Equity  148885106     165,696.15         13,395   X          5           13,395
COM
CATELLUS DEV        Equity  149111106     441,525.00         25,230   X          5           25,230
CORP COM
CATERPILLAR         Equity  149123101   9,461,200.00        305,200   X          3           49,450
INC DEL COM
                                                                      X          3                        255,750
                                        1,655,338.00         53,398   X          5           53,398
                                      324,901,545.00     10,480,695   X          6        8,653,285
                                                                      X          6                                   1,827,410
CELL                Equity  150934107  22,739,089.23        340,967   X          2          340,967
THERAPEUTICS
                                          246,019.41          3,689   X          5            3,689
CELESTICA INC.      Equity  15101Q108  28,877,250.00        417,000   X          2          417,000
                                           19,597.75            283   X          5              283
CELGENE CORP        Equity  151020104  46,392,150.00        779,700   X          1          752,700
COM
                                                                      X          1                                      27,000
                                           41,650.00            700   X          2              700
                                          511,045.50          8,589   X          5            8,589
CENDANT CORP        Equity  151313103   1,239,506.10        114,030   X          5          114,030
COM
CENTENNIAL          Equity  15133V208     266,398.00         12,109   X          5           12,109
CELLULAR CP CL
A NEW
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 16            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
CENTERPOINT         Equity  151895109     251,994.26          5,471   X          5            5,471
PPTYS TR SH
BEN INT
CENTEX CORP         Equity  152312104     785,590.96         24,458   X          5           24,458
COM
CENTEX              Equity  15231R109   6,386,737.50        257,400   X          3          119,200
CONSTRCTN
PRODS COM
                                                                      X          3                        138,200
CENTURYTEL          Equity  156700106   1,013,781.75         37,203   X          5           37,203
INC COM
CEPHALON INC        Equity  156708109     424,908.50          8,761   X          5            8,761
CERIDIAN CORP       Equity  15677T106   1,404,346.88         50,048   X          5           50,048
COM
CERNER CORP         Equity  156782104     411,411.96          8,859   X          5            8,859
COM
CHARTER ONE         Equity  160903100     956,790.57         39,261   X          5           39,261
FIN INC
CHARTER             Equity  160908109     203,849.36         14,729   X          5           14,729
MUNICIPAL
MORTGAGE
ACCEP
CHARMING            Equity  161133103      58,286.52         11,166   X          5           11,166
SHOPPES INC
COM
CHASE               Equity  16161A108  15,584,506.00        337,400   X          5          337,400
MANHATTAN
NEW COM
                                      551,524,535.55     11,940,345   X          6        9,787,611
                                                                      X          6                                   2,152,734
CHECKFREE           Equity  162813109     607,279.33         14,497   X          5           14,497
CORP
CHEESECAKE          Equity  163072101     337,090.50          7,794   X          5            7,794
FACTORY (THE)
CHEMED CORP         Equity  163596109   7,017,837.50        220,600   X          3           99,400
COM
                                                                      X          3                        121,200
                                          319,842.88         10,054   X          5           10,054
                                        2,388,546.13         75,082   X          6           75,082
CHESAPEAKE          Equity  165167107   3,155,532.00        439,000   X          1          439,000
ENERGY CORP
COM
                                          252,334.74         35,105   X          5           35,105
CHEVRON             Equity  166751107  27,170,624.25        318,717   X          1          311,100
CORPORATION
COM
                                                                      X          1                                       7,617
                                          174,762.50          2,050   X          2            2,050
                                       13,409,825.00        157,300   X          5          157,300
                                      457,525,156.00      5,366,864   X          6        4,606,484
                                                                      X          6                                     760,380
CHICOS FAS INC      Equity  168615102  10,200,000.00        300,000   X          1          300,000
COM
                                           54,774.00          1,611   X          5            1,611
CHINA MOBILE        Equity  16941M109   3,684,900.00        113,600   X          2          113,600
(HONG KONG)
LTD.
CHINA UNICOM        Equity  16945R104   5,671,250.00        260,000   X          2          260,000
CHIQUITA            Equity  170032106      35,914.32         11,511   X          5           11,511
BRANDS INTL
COM
CHIRON CORP         Equity  170040109   2,025,630.00         45,014   X          5           45,014
COM
CHOICEPOINT         Equity  170388102     523,560.18         11,414   X          5           11,414
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 17            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
CHRIS CRAFT         Equity  170520100     796,765.01          9,673   X          5            9,673
INDS INC COM
CHRISTOPHER &       Equity  171046105  13,722,875.00        353,000   X          1          353,000
BANKS CORP
COM
CHUBB CORP          Equity  171232101   2,432,465.28         30,744   X          5           30,744
COM
CHURCH &            Equity  171340102     233,005.08         12,684   X          5           12,684
DWIGHT INC COM
CIENA CORP COM      Equity  171779101  79,129,644.03        644,310   X          1          628,100
                                                                      X          1                                      16,210
                                      348,764,357.40      2,839,800   X          2        2,839,800
                                        7,218,702.51         58,778   X          5           58,778
CINCINNATI FINL     Equity  172062101   1,649,898.00         46,476   X          5           46,476
CORP COM
CINERGY CORP        Equity  172474108     952,987.56         28,826   X          5           28,826
COM
CIRCUIT CITY        Equity  172737108     832,025.00         36,175   X          5           36,175
STORE INC
CIRCT CIT
CIRRUS LOGIC        Equity  172755100     708,045.15         17,565   X          5           17,565
CORP COM
CISCO SYS INC       Equity  17275R102  47,417,981.00        858,244   X          1          837,800
COM
                                                                      X          1                                      20,444
                                      239,840,250.00      4,341,000   X          2        4,331,000
                                                                      X          2                                      10,000
                                       96,985,021.25      1,755,385   X          5        1,755,385
                                          583,716.25         10,565   X          6           10,365
                                                                      X          6                                         200
CINTAS CORP         Equity  172908105   1,445,799.96         33,191   X          5           33,191
COM
CITIGROUP INC       Equity  172967101  46,766,279.08        865,033   X          1          844,400
                                                                      X          1                                      20,633
                                      139,093,989.22      2,572,813   X          2        2,559,480
                                                                      X          2                                      13,333
                                       60,535,854.86      1,119,728   X          5        1,119,728
                                      935,738,622.90     17,308,300   X          6       13,571,098
                                                                      X          6                                   3,737,202
CITIZENS BKG        Equity  174420109     266,846.00         11,602   X          5           11,602
CORP MICH COM
CITIZENS            Equity  17453B101   1,432,744.32        106,603   X          5          106,603
COMMUNICATION
CO
CITRIX SYS INC      Equity  177376100     480,978.62         23,977   X          5           23,977
COM
CITY NATL CORP      Equity  178566105     786,921.12         20,376   X          5           20,376
COM
CLAIRE'S            Equity  179584107   6,067,800.00        337,100   X          3          159,900
STORES INC COM
                                                                      X          3                        177,200
                                          312,282.00         17,349   X          5           17,349
CLARCOR INC         Equity  179895107   6,374,550.00        326,900   X          3          145,000
COM
                                                                      X          3                        181,900
                                          213,018.00         10,924   X          5           10,924
CLARENT CORP        Equity  180461105  42,869,993.00      1,088,900   X          2        1,087,400
                                                                      X          2                                       1,500
                                          112,913.16          2,868   X          5            2,868
CLAYTON HOMES       Equity  184190106     175,810.00         17,581   X          5           17,581
INC COM
                                        5,662,091.00        100,214   X          5          100,214
                                      113,356,910.50      2,006,317   X          6        1,509,924
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 18            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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          6                                     496,393
CLEVELAND           Equity  185896107   5,773,650.00        252,400   X          3          114,100
CLIFFS INC COM
                                                                      X          3                        138,300
                                          250,984.50         10,972   X          5           10,972
CLOROX CO DEL       Equity  189054109   2,115,906.16         53,486   X          5           53,486
COM
COASTAL CORP        Equity  190441105  37,605,539.75        507,326   X          1          495,300
COM
                                                                      X          1                                      12,026
                                        4,443,126.63         59,941   X          5           59,941
Coastal Corp.       Equity  190441865   3,330,400.00         80,000   X          4           80,000
Conv. Pfd.
COBALT              Equity  19074R101     278,644.05          4,815   X          5            4,815
NETWORKS INC
COM
COCA COLA CO        Equity  191216100  25,239,448.00        457,900   X          5          457,900
COM
COCA COLA           Equity  191219104     698,682.08         43,832   X          5           43,832
ENTERPRISES
COM
COGNEX CORP         Equity  192422103     385,762.64          9,781   X          5            9,781
COM
COGNIZANT           Equity  192446102   7,211,100.00        184,900   X          1          171,200
TECH SOLUTNS
CL A
                                                                      X          1                                      13,700
                                          111,267.00          2,853   X          5            2,853
COHERENT INC        Equity  192479103     485,248.00          7,136   X          5            7,136
COM
COLGATE             Equity  194162103   6,404,756.80        135,694   X          5          135,694
PALMOLIVE CO
COM
COLLINS &           Equity  194830105      96,145.00         20,500   X          5           20,500
AIKMAN NEW
COM
COLONIAL            Equity  195493309     204,880.09         19,757   X          5           19,757
BANCGROUP INC
COM
COLUMBIA            Equity  197648108   1,216,443.00         17,133   X          5           17,133
ENERGY GROUP
COMFORT SYS         Equity  199908104      67,547.85         13,015   X          5           13,015
USA INC COM
COMCAST CORP        Equity  200300200   7,953,946.02        194,283   X          5          194,283
CL A SPL
                                        4,286,418.00        104,700   X          6          104,700
COMDISCO INC        Equity  200336105   1,234,840.22         64,787   X          5           64,787
COM
COMERICA INC        Equity  200340107   1,044,205.92         17,868   X          5           17,868
COM
COMMERCE            Equity  200519106     781,724.46         13,434   X          5           13,434
BANCORP NJ COM
COMMERCE ONE        Equity  200693109 160,304,850.00      2,042,100   X          2        2,042,100
INC
                                        1,891,850.00         24,100   X          5           24,100
                                          562,452.50          7,165   X          6            7,165
COMMERCIAL          Equity  201647104   6,797,025.00        355,400   X          3          171,400
FEDERAL CP COM
                                                                      X          3                        184,000
                                          340,635.38         17,811   X          5           17,811
COMMERCIAL          Equity  201723103   5,867,550.00        230,100   X          3          103,500
METALS CO
                                                                      X          3                        126,600
                                           52,504.50          2,059   X          5            2,059
COMMERCIAL          Equity  202218103     181,806.84         17,532   X          5           17,532
NET LEASE COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 19            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
COMMSCOPE INC       Equity  203372107  18,546,500.00        757,000   X          2          757,000
COM
                                          225,792.00          9,216   X          5            9,216
COMMUNITY           Equity  203902101     280,046.88         15,948   X          5           15,948
FIRST BANKSH
COM
MINAS               Equity  204448104     555,112.50         39,300   X          2           39,300
BUENAVENTURA-
SPON ADR
COMPAQ              Equity  204493100  28,413,051.52      1,032,451   X          1        1,008,000
COMPUTER
CORP COM
                                                                      X          1                                      24,451
                                        2,873,088.00        104,400   X          2          104,400
                                        9,581,253.12        348,156   X          5          348,156
                                      171,377,112.32      6,227,366   X          6        4,966,861
                                                                      X          6                                   1,260,505
COMPASS             Equity  20449H109     384,559.50         19,721   X          5           19,721
BANCSHARES
INC COM
COMPUCREDIT         Equity  20478N100  11,992,042.00        213,800   X          2          213,800
CORP COM
                                           18,229.25            325   X          5              325
COMPUTER            Equity  204912109  11,811,591.00        468,900   X          2          468,900
ASSOC INTL COM
                                        1,374,945.77         54,583   X          5           54,583
                                      533,016,495.55     21,159,845   X          6       18,088,695
                                                                      X          6                                   3,071,150
COMPUTER            Equity  204925101   3,437,500.00        100,000   X          1          100,000
NETWORK TECH
COM
                                          172,734.38          5,025   X          5            5,025
COMPUTER            Equity  205363104   3,363,896.25         45,305   X          5           45,305
SCIENCES CORP
COM
COMPUWARE           Equity  205638109   6,195,474.00        740,200   X          2          740,200
CORP COM
                                          444,672.99         53,127   X          5           53,127
                                      136,290,886.20     16,283,260   X          6       14,045,889
                                                                      X          6                                   2,237,371
COMSTOCK RES        Equity  205768203   2,843,750.00        250,000   X          1          250,000
INC COM NEW
                                          141,812.13         12,467   X          5           12,467
COMVERSE            Equity  205862402  56,088,828.00        519,341   X          1          509,341
TECHNOLOGY
COM PAR $0.1
                                                                      X          1                                      10,000
                                      231,238,800.00      2,141,100   X          2        2,134,500
                                                                      X          2                                       6,600
                                        4,689,036.00         43,417   X          5           43,417
CONAGRA INC         Equity  205887102   1,863,806.25         92,900   X          2           92,900
COM
                                       22,723,790.63      1,132,650   X          3          529,850
                                                                      X          3                        602,800
                                        3,273,457.69        163,163   X          5          163,163
CONCORD             Equity  206156101   6,597,150.00        257,500   X          2          257,500
CAMERA CORP
COM
                                           16,832.34            657   X          5              657
CONCORD EFS         Equity  206197105  42,918,816.00      1,208,300   X          2        1,208,300
INC COM                                 2,207,461.44         62,147   X          5           62,147
CONCURRENT          Equity  206710204     209,038.00         11,002   X          5           11,002
COMPUTR NEW
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 20            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
CONECTIV INC        Equity  206829103   6,084,389.00        340,100   X          3          156,000
COM
                                                                      X          3                        184,100
                                          464,710.64         25,976   X          5           25,976
                                            1,341.75             75   X          6                                          75
CONEXANT            Equity  207142100      41,870.00          1,000   X          2            1,000
SYSTEMS INC
COM
                                        1,407,501.92         33,616   X          5           33,616
CONOCO INC CL A     Equity  208251306     315,764.68         12,089   X          5           12,089
CONOCO INC CL B     Equity  208251405  26,650,561.75        989,348   X          1          965,800
                                                                      X          1                                      23,548
                                       37,895,675.00      1,406,800   X          3          776,500
                                                                      X          3                        630,300
                                        5,458,561.13        202,638   X          5          202,638
CONSECO INC         Equity  208464107     697,793.88         91,574   X          5           91,574
COM
                                        6,032,555.88        791,674   X          6          690,710
                                                                      X          6                                     100,964
CONSOLIDATED        Equity  209115104   1,220,540.64         35,772   X          5           35,772
EDISON NY COM
CONSOLIDATED        Equity  209798107     119,784.00         14,973   X          5           14,973
PRODS INC COM
CONSOLIDATED        Equity  210149100     286,078.50         21,191   X          5           21,191
STORES CP COM
CONSTELLATION       Equity  21036P108   7,212,766.40        132,800   X          1          123,000
BRANDS INC
                                                                      X          1                                       9,800
                                          171,574.77          3,159   X          5            3,159
CONSTELLATION       Equity  210371100   1,903,683.75         38,265   X          5           38,265
ENERGY COM
CONTINENTAL         Equity  210795308     117,098.88          2,577   X          5            2,577
AIRLS INC CL B
                                        4,498,560.00         99,000   X          6           99,000
CONVERGYS           Equity  212485106  27,395,576.00        704,800   X          2          704,800
CORP COM
                                        1,486,427.67         38,241   X          5           38,241
COOPER              Equity  216640102  14,214,415.20        192,900   X          1          187,800
CAMERON CORP
COM
                                                                      X          1                                       5,100
                                       19,052,032.40        258,550   X          2          258,550
                                          397,178.32          5,390   X          5            5,390
COOPER INDS         Equity  216669101     859,007.25         24,369   X          5           24,369
INC COM
COOPER TIRE &       Equity  216831107     217,175.28         21,588   X          5           21,588
RUBR CO COM
COORS ADOLPH        Equity  217016104   1,704,613.44         26,976   X          5           26,976
CO CL B
COPART INC COM      Equity  217204106     170,781.31         12,313   X          5           12,313
COR                 Equity  217753102      43,617.00            700   X          2              700
THERAPEUTICS
INC COM
                                        1,100,955.39         17,669   X          5           17,669
CORIXA CORP         Equity  21887F100     204,768.75          4,075   X          5            4,075
COM
CORN PRODS          Equity  219023108   4,317,950.00        189,800   X          2          189,800
INTL INC COM
                                        5,808,075.00        255,300   X          3          114,900
                                                                      X          3                        140,400
                                          279,847.75         12,301   X          5           12,301
CORNERSTONE         Equity  21922V102     232,832.88         21,924   X          5           21,924
RLTY INCME COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 21            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
CORNING INC         Equity  219350105  34,008,282.00        343,518   X          1          335,400
COM
                                                                      X          1                                       8,118
                                       52,561,575.00        530,925   X          2          528,425
                                                                      X          2                                       2,500
                                        7,495,785.00         75,715   X          5           75,715
CORPORATE           Equity  21988R102   4,866,225.00        120,900   X          2          120,900
EXEC BRD CO
COM
                                          165,830.00          4,120   X          5            4,120
CORVEL CORP         Equity  221006109      25,724.25            925   X          5              925
                                        3,986,007.30        143,330   X          6          143,330
CORVIS CORP         Equity  221009103  61,556,616.41      1,008,350   X          2        1,008,350
COSINE              Equity  221222102   3,892,153.13         70,050   X          2           70,050
COMMUNICATION
INC
COST PLUS INC       Equity  221485105     237,134.76          7,873   X          5            7,873
CALIF COM
COSTCO WHSL         Equity  22160K105   2,909,663.44         83,276   X          5           83,276
CORP NEW COM
                                        1,816,880.00         52,000   X          6           46,100
                                                                      X          6                                       5,900
COUNTRYWIDE         Equity  222372104     766,551.50         20,306   X          5           20,306
CR IND DEL COM
                                      408,674,591.75     10,825,817   X          6        8,757,735
                                                                      X          6                                   2,068,082
COUSINS PPTYS       Equity  222795106     381,081.00          8,850   X          5            8,850
INC COM
COVAD               Equity  222814204     282,227.33         21,109   X          5           21,109
COMMUNICATION
COM
COVANCE INC         Equity  222816100     245,282.31         29,949   X          5           29,949
COM
COVENTRY CORP       Equity  222862104     347,442.48         22,979   X          5           22,979
COM
COX                 Equity  224044107   1,148,418.00         30,024   X          5           30,024
COMMUNICATION
NEW CL A
Cox                 Equity  224044305   1,476,600.00         27,600   X          2           27,600
Communication
Inc. Conv. Pfd
CRANE CO COM        Equity  224399105     552,058.93         24,139   X          5           24,139
                                       13,179,409.25        576,275   X          6          471,275
                                                                      X          6                                     105,000
CRAWFORD & CO       Equity  224633107     129,725.98         10,642   X          5           10,642
CL B
CREDENCE SYS        Equity  225302108     324,660.00         10,822   X          5           10,822
CORP COM
CREE RESH INC       Equity  225447101   1,836,750.00         15,800   X          1           14,800
COM
                                                                      X          1                                       1,000
                                       25,017,000.00        215,200   X          2          215,200
                                          401,876.25          3,457   X          5            3,457
CRESCENT REAL       Equity  225756105   1,227,652.37         55,027   X          5           55,027
ESTATE COM
CRITICAL PATH       Equity  22674V100     294,030.00          4,840   X          5            4,840
INC COM
CROMPTON            Equity  227116100     218,463.33         27,759   X          5           27,759
CORPORATION
CROSS TIMBERS       Equity  227573102  17,845,334.38        930,050   X          1          894,650
OIL CO COM
                                                                      X          1                                      35,400
                                        3,309,843.75        172,500   X          2          172,500
                                        7,290,290.63        379,950   X          3          169,950
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 22            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                        210,000
                                          741,174.75         38,628   X          5           38,628
CROWN CASTLE        Equity  228227104     303,828.92          9,782   X          5            9,782
INTL CORP COM
CROWN CORK &        Equity  228255105     273,952.63         25,627   X          5           25,627
SEAL INC COM
CUBIST              Equity  229678107     256,083.14          4,919   X          5            4,919
PHARMACEUTICA
COM
CULLEN FROST        Equity  229899109     455,585.00         14,018   X          5           14,018
BANKERS COM
CUMMINS             Equity  231021106     441,225.78         14,737   X          5           14,737
ENGINE INC COM
CURAGEN CORP        Equity  23126R101  18,267,048.00        342,850   X          2          342,850
                                          206,406.72          3,874   X          5            3,874
CYMER INC COM       Equity  232572107     220,599.72          7,188   X          5            7,188
CYPRESS             Equity  232806109   1,144,022.12         27,527   X          5           27,527
SEMICONDUCTOR
COM
CYTEC INDS INC      Equity  232820100     731,633.76         21,879   X          5           21,879
COM
CYTYC CORP COM      Equity  232946103  41,061,020.00        952,250   X          2          951,050
                                                                      X          2                                       1,200
                                          344,442.56          7,988   X          5            7,988
DDI CORP            Equity  233162106  20,273,137.50        458,150   X          2          458,150
                                           53,100.00          1,200   X          5            1,200
DMC STRATEX         Equity  23322L106     292,404.42         18,207   X          5           18,207
NETWORKS INC
DPL INC COM         Equity  233293109   1,104,617.50         37,130   X          5           37,130
DQE INC COM         Equity  23329J104     231,733.12          5,776   X          5            5,776
D R HORTON INC      Equity  23331A109   7,395,446.38        430,268   X          1          397,806
COM
                                                                      X          1                                      32,462
                                          408,644.70         23,775   X          5           23,775
DST SYS INC DEL     Equity  233326107   1,577,672.50         13,427   X          5           13,427
COM
DSP GROUP INC       Equity  23332B106     228,442.81          6,113   X          5            6,113
COM
DTE ENERGY CO       Equity  233331107   3,061,560.00         80,000   X          2           80,000
COM
                                       26,007,952.20        679,600   X          3          325,300
                                                                      X          3                        354,300
                                          681,541.53         17,809   X          5           17,809
DAIN RAUSCHER       Equity  233856103   7,049,400.00         75,800   X          1           70,200
CORP COM
                                                                      X          1                                       5,600
                                          150,939.00          1,623   X          5            1,623
DAL-TILE INTL       Equity  23426R108   3,371,250.00        269,700   X          1          269,700
INC COM
                                          125,012.50         10,001   X          5           10,001
DALLAS              Equity  235204104     427,112.78         12,994   X          5           12,994
SEMICONDUCTOR
COM
DANA CORP COM       Equity  235811106  18,799,600.00        874,400   X          3          425,400
                                                                      X          3                        449,000
                                          753,145.00         35,030   X          5           35,030
DANAHER CORP        Equity  235851102   1,813,835.25         36,459   X          5           36,459
DEL COM
DARDEN              Equity  237194105  39,413,578.10      1,893,700   X          1        1,845,200
RESTAURANTS
INC COM
                                                                      X          1                                      48,500
                                        1,612,924.25         77,496   X          5           77,496
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 23            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
DEAN FOODS CO       Equity  242361103   2,221,100.00         66,800   X          2           66,800
COM
                                        6,766,375.00        203,500   X          3           83,300
                                                                      X          3                        120,200
                                          498,384.25         14,989   X          5           14,989
DECS Trust VI       Equity  24366Q209   1,800,000.00         40,000   X          4           40,000
Conv. Pfd.
DEERE & CO COM      Equity  244199105   8,495,375.00        255,500   X          2          255,500
                                          817,484.50         24,586   X          5           24,586
DEL MONTE           Equity  24522P103      67,161.50         10,850   X          5           10,850
FOODS CO COM
                                        4,861,712.66        785,414   X          6          785,414
DELANO              Equity  245701107   1,575,000.00        100,000   X          1          100,000
TECHNOLOGY
CORP
DELCO REMY          Equity  246626105     129,052.32         16,936   X          5           16,936
INTL INC CL A
DELHAIZE AMER       Equity  246688105     459,003.36         26,319   X          5           26,319
INC CL A
DELHAIZE AMER       Equity  246688204     232,238.75         13,865   X          5           13,865
INC CL B
DELL COMPUTER       Equity  247025109  20,707,383.64        672,034   X          1          655,900
CORP COM
                                                                      X          1                                      16,134
                                           21,569.10            700   X          2              700
                                       13,614,878.12        441,855   X          5          441,855
                                       30,340,020.45        984,650   X          6          984,650
DELPHI AUTO         Equity  247126105     690,938.64         45,697   X          5           45,697
SYS CORP COM
DELTA & PINE LD     Equity  247357106     512,721.02         19,958   X          5           19,958
CO COM
DELTA AIR LINES     Equity  247361108   1,379,995.74         31,102   X          5           31,102
DEL COM
DENBURY RES         Equity  247916208      74,893.00         10,699   X          5           10,699
INC COM NEW
DELUXE CORP         Equity  248019101  27,399,531.25      1,348,900   X          3          497,450
COM
                                                                      X          3                        851,450
                                          371,190.63         18,274   X          5           18,274
DENDRITE INTL       Equity  248239105  22,124,746.95        825,150   X          1          798,600
INC COM
                                                                      X          1                                      26,550
                                        1,017,446.10         37,946   X          5           37,946
DENTSPLY INTL       Equity  249030107   6,293,291.88        180,130   X          3           82,700
INC NEW COM
                                                                      X          3                         97,430
                                          345,811.38          9,898   X          5            9,898
                                        5,274,444.50        150,968   X          6          150,968
DEVELOPERS          Equity  251591103     171,917.46         13,358   X          5           13,358
DIVERS RLTY
COM
DEVON ENERGY        Equity  25179M103  88,675,295.40      1,474,236   X          1        1,440,600
CORP COM
                                                                      X          1                                      33,636
                                        2,700,975.60         44,904   X          5           44,904
DEVRY INC DEL       Equity  251893103     568,964.88         15,124   X          5           15,124
COM
DIAGEO PLC-         Equity  25243Q205  78,863,932.88      1,903,202   X          6        1,812,482
SPONSORED
ADR NEW
                                                                      X          6                                      90,720
DIAL CORP NEW       Equity  25247D101     344,486.52         29,646   X          5           29,646
COM
DIAMOND             Equity  25271C102  22,345,000.00        545,000   X          2          545,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 24            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
OFFSHORE DRILL
COM
                                          133,537.00          3,257   X          5            3,257
DIAMOND TECH        Equity  252762109     280,145.25          3,773   X          5            3,773
PARTNERS CL A
DIEBOLD INC COM     Equity  253651103     584,718.40         22,015   X          5           22,015
DIGENE CORP         Equity  253752109  10,544,400.00        292,900   X          2          292,900
                                            1,116.00             31   X          5               31
DIGITAL             Equity  253855100  45,924,888.00        632,400   X          2          632,400
LIGHTWAVE INC
COM
                                           80,608.20          1,110   X          5            1,110
DIGITAL ISLAND      Equity  25385N101     233,606.25         12,459   X          5           12,459
INC
DILLARDS INC CL     Equity  254067101     267,177.96         25,158   X          5           25,158
A
DIME BANCORP        Equity  25429Q102   1,430,678.48         66,358   X          5           66,358
INC NEW COM
DIMON INC COM       Equity  254394109     155,678.25         47,901   X          5           47,901
DIONEX CORP         Equity  254546104     283,602.16         10,268   X          5           10,268
COM
                                        2,690,188.00         97,400   X          6           97,400
DISCOVERY           Equity  254668106   3,403,842.75        461,538   X          2          461,538
LABORATORIES
INC
DISCOVERY           Equity  254675101   6,002,343.75        295,500   X          2          295,500
PARTNERS INTL
DISNEY WALT CO      Equity  254687106  19,848,728.25        518,921   X          5          518,921
COM
                                          178,245.00          4,660   X          6                                       4,660
DIVERSA CORP        Equity  255064107   2,502,900.00         92,700   X          1           92,700
DOCUMENTUM          Equity  256159104      40,595.00            500   X          2              500
INC COM
                                          259,808.00          3,200   X          5            3,200
DOLLAR GEN          Equity  256669102   1,025,100.00         61,200   X          5           61,200
CORP COM
DOLLAR TREE         Equity  256747106  37,812,828.60        932,200   X          1          912,650
STORES COM
                                                                      X          1                                      19,550
                                        1,587,473.57         39,136   X          5           39,136
DOMINION RES        Equity  25746U109   3,736,102.94         64,349   X          5           64,349
INC VA COM
DONALDSON INC       Equity  257651109     203,038.00          9,229   X          5            9,229
DONALDSON           Equity  257661108     211,436.16          2,364   X          5            2,364
LUFKN&JEN NW
COM
DONNELLEY R R       Equity  257867101     422,603.92         17,207   X          5           17,207
& SONS COM
                                          665,576.00         27,100   X          6              600
                                                                      X          6                                      26,500
DOUBLECLICK         Equity  258609304     372,032.00         11,626   X          5           11,626
INC COM
DOVER CORP          Equity  260003108   4,338,711.14         92,431   X          5           92,431
COM
                                       37,221,448.52        792,958   X          6          695,958
                                                                      X          6                                      97,000
DOW CHEM CO         Equity  260543103   4,823,844.92        193,418   X          5          193,418
COM
                                       29,097,498.00      1,166,700   X          6        1,166,700
DOW JONES & CO      Equity  260561105     583,522.50          9,645   X          5            9,645
INC COM
DOWNEY FINL         Equity  261018105   5,472,725.00        138,550   X          1          127,450
CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 25            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                                      11,100
                                          106,097.00          2,686   X          5            2,686
DRUGSTORE           Equity  262241102     102,134.59         30,307   X          5           30,307
COM INC COM
DU PONT E I DE      Equity  263534109     171,976.00          4,150   X          2            4,150
NEMOURS COM
                                        8,175,076.00        197,275   X          5          197,275
                                      624,917,644.96     15,080,059   X          6       12,801,476
                                                                      X          6                                   2,278,583
DUKE ENERGY         Equity  264399106  29,804,371.13        347,508   X          1          339,200
CORP COM
                                                                      X          1                                       8,308
                                        2,701,629.00         31,500   X          2           31,500
                                        4,819,877.67         56,198   X          5           56,198
                                        1,466,598.60         17,100   X          6           17,100
DUKE REALTY         Equity  264411505  28,800,425.00      1,193,800   X          1        1,163,700
INVT INC COM
NEW
                                                                      X          1                                      30,100
                                           60,360.75          2,502   X          5            2,502
DUN &               Equity  26483E100     872,365.20         25,330   X          5           25,330
BRADSTREET
CORP COM
DURA                Equity  26632S109     334,458.72          9,456   X          5            9,456
PHARMACEUTICA
COM
DYCOM INDS INC      Equity  267475101     350,065.82          8,411   X          5            8,411
COM
DYNEGY CLASS A      Equity  26816Q101 108,567,619.54      1,904,027   X          1        1,859,976
COMMON
                                                                      X          1                                      44,051
                                        4,615,654.96         80,948   X          5           80,948
ENSERCH             Equity  26842V207     143,357.24         29,804   X          5           29,804
EXPLORATION
COM
E M C CORP          Equity  268648102  39,185,189.50        393,821   X          1          384,600
MASS COM
                                                                      X          1                                       9,221
                                      460,709,875.00      4,630,250   X          2        4,620,250
                                                                      X          2                                      10,000
                                        6,511,280.00         65,440   X          4           65,440
                                       60,571,023.00        608,754   X          5          608,754
                                          561,777.00          5,646   X          6            5,646
ENSCO INTL INC      Equity  26874Q100  36,180,675.00        945,900   X          1          926,500
COM
                                                                      X          1                                      19,400
                                        1,257,545.25         32,877   X          5           32,877
EOG RESOURCES       Equity  26875P101  86,098,406.25      2,214,750   X          1        2,165,400
                                                                      X          1                                      49,350
                                          535,736.38         13,781   X          5           13,781
E PIPHANY INC       Equity  26881V100     208,832.60          2,710   X          5            2,710
COM
Weatherford Intl    Equity  268939402   1,905,200.00         40,000   X          4           40,000
Inc Conv Pfd
E TOWN COM          Equity  269242103     263,735.28          3,944   X          5            3,944
E TRADE GROUP       Equity  269246104     530,979.12         32,298   X          5           32,298
INC COM
EARTHGRAINS         Equity  270319106     257,422.40         13,960   X          5           13,960
CO COM
EASTERN             Equity  27637F100   1,340,073.00         21,000   X          4           21,000
ENTERPRISES
COM
                                          457,347.77          7,167   X          5            7,167
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 26            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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     738,800.00         20,000   X          2           20,000
CO COM
                                          669,869.96         18,134   X          5           18,134
EASTMAN KODAK       Equity  277461109   2,861,250.00         70,000   X          2           70,000
CO COM
                                        6,593,137.50        161,300   X          3           25,700
                                                                      X          3                        135,600
                                        2,488,429.13         60,879   X          5           60,879
                                          214,593.75          5,250   X          6                                       5,250
EATON CORP          Equity  278058102   1,532,982.36         24,878   X          5           24,878
COM
EATON VANCE         Equity  278265103     699,720.00         13,720   X          5           13,720
CORP COM NON
VTG
EBAY                Equity  278642103     723,099.63         10,527   X          5           10,527
ECHOSTAR            Equity  278762109  47,823,150.00        906,600   X          2          904,600
COMMUNICATION

                                                                      X          2                                       2,000
                                          605,728.25         11,483   X          5           11,483
ECLIPSYS CORP       Equity  278856109     189,984.00         11,874   X          5           11,874
COM
ECOLAB INC COM      Equity  278865100     581,034.78         16,113   X          5           16,113
EDEN                Equity  279445100   1,320,000.00         40,000   X          2           40,000
BIOSCIENCE
CORPORATION
EDISON INTL COM     Equity  281020107   3,060,635.00        158,500   X          2          158,500
                                        1,243,390.21         64,391   X          5           64,391
                                          386,200.00         20,000   X          6                                      20,000
EDISON              Equity  281033100   4,762,500.00        150,000   X          2          150,000
SCHOOLS INC CL
A
                                           22,542.50            710   X          5              710
J D EDWARDS &       Equity  281667105     306,119.71         11,833   X          5           11,833
CO COM
EDWARDS AG          Equity  281760108   9,858,290.63        188,450   X          3           23,600
INC COM
                                                                      X          3                        164,850
                                          938,486.25         17,940   X          5           17,940
EFFICIENT           Equity  282056100   3,835,468.00        102,800   X          2          102,800
NETWORKS INC
COM
                                           83,350.54          2,234   X          5            2,234
EL PASO ELEC        Equity  283677854   7,339,038.00        532,200   X          1          492,900
CO COM NEW
                                                                      X          1                                      39,300
                                          762,793.85         55,315   X          5           55,315
EL PASO             Equity  28368B102     371,825.00         13,900   X          6           13,900
ENERGY
PARTNERS LP
EL PASO             Equity  283905107   1,965,678.00         31,900   X          2           31,900
ENERGY CORP
                                        2,276,982.24         36,952   X          5           36,952
                                       23,864,193.60        387,280   X          6          180,762
                                                                      X          6                                     206,518
ELAN PLC ADR        Equity  284131208   3,443,775.00         62,900   X          2           62,900
                                           42,157.50            770   X          5              770
ELANTEC             Equity  284155108     277,939.80          2,790   X          5            2,790
SEMICONDUCTOR
INC
ELCOR CORP          Equity  284443108      42,369.00          2,922   X          5            2,922
COM
                                        9,476,982.50        653,585   X          6          653,585
ELECTRO             Equity  285229100     328,266.64          9,347   X          5            9,347
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 27            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
SCIENTIFIC IND
COM
ELECTRONIC          Equity  285512109   2,962,200.00         60,000   X          2           60,000
ARTS INC COM
                                        1,935,155.89         39,197   X          5           39,197
ELECTRONIC          Equity  285661104      70,550.00          1,700   X          2            1,700
DATA SYS NW
COM
                                        2,677,704.50         64,523   X          5           64,523
                                       86,614,650.00      2,087,100   X          6        1,838,795
                                                                      X          6                                     248,305
ELECTRONICS         Equity  286082102     306,888.50         12,154   X          5           12,154
FOR IMAGNG COM
ELOYALTY CORP       Equity  290151109     251,914.50         19,758   X          5           19,758
COM
EMERSON ELEC        Equity  291011104      43,550.00            650   X          2              650
CO COM
                                        5,642,405.00         84,215   X          5           84,215
                                      469,953,410.00      7,014,230   X          6        5,732,928
                                                                      X          6                                   1,281,302
EMISPHERE           Equity  291345106   7,693,083.00        256,950   X          2          256,950
TECHNOLOGIES
COM
                                           19,371.18            647   X          5              647
EMMIS               Equity  291525103      75,858.75          3,065   X          5            3,065
BROADCASTING
CP CL A
                                       15,387,075.00        621,700   X          6          552,700
                                                                      X          6                                      69,000
EMPIRE DIST         Equity  291641108     447,536.25         17,049   X          5           17,049
ELEC CO COM
EMULEX CORP         Equity  292475209     432,915.00          3,534   X          5            3,534
COM NEW
ENERGEN CORP        Equity  29265N108   7,621,950.00        256,200   X          3          110,200
COM
                                                                      X          3                        146,000
                                          597,350.25         20,079   X          5           20,079
ENERGY EAST         Equity  29266M109   1,924,803.66         85,093   X          5           85,093
CORP COM
ENGELHARD           Equity  292845104     608,302.50         37,434   X          5           37,434
CORP COM
ENESCO GROUP        Equity  292973104   3,412,787.50        580,900   X          3          311,800
INC COM
                                                                      X          3                        269,100
                                          220,529.88         37,537   X          5           37,537
ENNIS BUSINESS      Equity  293389102   6,319,225.00        835,600   X          3          412,100
FORMS
                                                                      X          3                        423,500
ENRON CORP          Equity  293561106     420,676.80          4,800   X          1            4,800
COM
                                      141,768,081.60      1,617,600   X          2        1,610,100
                                                                      X          2                                       7,500
                                       14,437,014.29        164,729   X          5          164,729
Enron Corp Conv.    Equity  293561882   6,486,144.00        182,400   X          4          182,400
Pfd.
ENTERGY CORP        Equity  29364G103  43,479,182.00      1,166,600   X          1        1,136,200
NEW COM
                                                                      X          1                                      30,400
                                        3,876,080.00        104,000   X          2          104,000
                                        2,299,074.49         61,687   X          5           61,687
ENTERTAINMENT       Equity  29380T105     268,080.66         25,243   X          5           25,243
PPTYS TR COM
SH BE
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 28            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ENZON INC COM       Equity  293904108       6,600.00            100   X          2              100
                                          624,954.00          9,469   X          5            9,469
ENZO BIOCHEM        Equity  294100102     312,776.50          6,449   X          5            6,449
INC.
EQUIFAX INC COM     Equity  294429105     384,945.66         14,289   X          5           14,289
EQUITABLE RES       Equity  294549100     995,542.70         15,710   X          5           15,710
INC COM
EQUITY INNS INC     Equity  294703103     590,609.92         89,216   X          5           89,216
COM
EQUITY OFFICE       Equity  294741103  62,660,898.30      2,019,300   X          1        1,970,700
PPTYS TR COM
                                                                      X          1                                      48,600
                                        1,675,456.78         53,993   X          5           53,993
EQUITY              Equity  29476L107  13,684,800.00        285,100   X          1          279,400
RESIDENT
PPTYS SH BEN
INT
                                                                      X          1                                       5,700
                                          480,000.00         10,000   X          2           10,000
                                        1,413,888.00         29,456   X          5           29,456
L M ERICSSON        Equity  294821400  39,998,848.00      2,700,800   X          2        2,680,800
TELEPHONE CO
CL B
                                                                      X          2                                      20,000
                                            5,924.00            400   X          5              400
                                        2,708,452.80        182,880   X          6          145,000
                                                                      X          6                                      37,880
ESPEED INC - CL     Equity  296643109  11,924,892.00        419,300   X          2          419,300
A
                                            3,327.48            117   X          5              117
ETHAN ALLEN         Equity  297602104     330,406.01         11,671   X          5           11,671
INTERIORS COM
ETHYL CORP          Equity  297659104     111,323.52         77,308   X          5           77,308
ETOYS INC COM       Equity  297862104     142,642.08         26,712   X          5           26,712
EXAR CORP           Equity  300645108     360,701.00          2,981   X          5            2,981
EXFO ELECTRO-       Equity  302043104   7,697,493.75        176,700   X          2          176,700
OPTICAL
ENGINEERING
EXODUS              Equity  302088109 115,782,524.00      2,345,200   X          2        2,345,200
COMMUNICATION
COM
                                        4,046,266.46         81,958   X          5           81,958
EXPEDITORS          Equity  302130109     646,836.30         14,355   X          5           14,355
INTL WASH COM
EXPRESS             Equity  302182100     568,101.75          7,863   X          5            7,863
SCRIPTS INC CL A
EXTENDED STAY       Equity  30224P101     408,497.50         30,830   X          5           30,830
AMER INC COM
EXTREME             Equity  30226D106   7,557,000.00         66,000   X          1           66,000
NETWORKS INC
COM
                                       58,074,400.00        507,200   X          2          507,200
                                        1,170,304.50         10,221   X          5           10,221
EXXON MOBIL         Equity  30231G102  58,634,688.50        658,033   X          1          642,200
CORP COM
                                                                      X          1                                      15,833
                                          819,775.20          9,200   X          2            9,200
                                       83,182,589.54        933,524   X          5          933,524
                                          362,928.74          4,073   X          6            3,773
                                                                      X          6                                         300
F M C CORP COM      Equity  302491303     916,039.60         13,660   X          5           13,660
NEW
FPIC INS GROUP      Equity  302563101     140,000.00         10,000   X          2           10,000
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 29            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                              364.00             26   X          5               26
FPL GROUP INC       Equity  302571104  30,462,811.20        463,200   X          1          452,100
COM
                                                                      X          1                                      11,100
                                        1,444,024.06         21,957   X          5           21,957
FACTSET RESH        Equity  303075105     311,328.00          8,280   X          5            8,280
SYS INC COM
FAIRCHILD           Equity  303726103   4,125,204.00        146,700   X          2          146,700
SEMICON INTL CL
- A
                                           43,389.16          1,543   X          5            1,543
FAIRFAX             Equity  303901FA5     501,000.00          4,000   X          2            4,000
FINANCIAL
HOLDINGS ADR
FAMILY DLR          Equity  307000109     563,890.25         29,293   X          5           29,293
STORES INC COM
FARMER BROS         Equity  307675108     344,880.00          1,916   X          5            1,916
CO COM
FASTENAL CO         Equity  311900104     455,889.44          7,912   X          5            7,912
COM
FEDDERS CORP        Equity  313135105      82,020.78         21,194   X          5           21,194
COM
FEDERAL HOME        Equity  313400301  21,710,496.00        401,600   X          2          401,600
LN MTG CP COM
                                        6,522,122.76        120,646   X          5          120,646
                                    1,665,114,331.62     30,801,227   X          6       26,707,437
                                                                      X          6                                   4,093,790
FEDERAL MOGUL       Equity  313549107     179,884.48         33,067   X          5           33,067
CORP COM
FEDERAL NATL        Equity  313586109  27,070,972.50        378,615   X          1          369,500
MTG ASSN COM
                                                                      X          1                                       9,115
                                          100,100.00          1,400   X          2            1,400
                                       15,411,753.50        215,549   X          5          215,549
                                      225,364,782.50      3,151,955   X          6        2,745,855
                                                                      X          6                                     406,100
FEDERAL SIGNAL      Equity  313855108     353,844.96         17,808   X          5           17,808
CORP COM
FEDERATED           Equity  31410H101     489,410.44         18,737   X          5           18,737
DEPT STORES
COM
FEDERATED           Equity  314211103  48,757,500.00      1,970,000   X          1        1,902,000
INVESTORS CL B
                                                                      X          1                                      68,000
                                          265,270.50         10,718   X          5           10,718
FEDEX               Equity  31428X106   5,311,932.00        119,800   X          5          119,800
CORPORATION
FELCOR              Equity  31430F101   1,201,453.92         51,966   X          5           51,966
LODGING TRUST
INC.
FERRO CORP          Equity  315405100     292,418.52         15,342   X          5           15,342
COM
FIDELITY NATL       Equity  316326107   8,088,300.00        326,800   X          2          326,800
FINL INC COM
                                          473,814.00         19,144   X          5           19,144
FIFTH THIRD         Equity  316773100   3,434,266.37         63,751   X          5           63,751
BANCORP COM
FINISAR COM         Equity  31787A101  45,477,337.50        940,100   X          1          921,900
                                                                      X          1                                      18,200
                                       87,336,225.00      1,805,400   X          2        1,805,400
                                          184,502.25          3,814   X          5            3,814
FINOVA GROUP        Equity  317928109      73,442.50         10,130   X          5           10,130
INC COM
FIRST AMERN         Equity  318522307     461,894.84         22,132   X          5           22,132
FINL CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 30            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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 BANCORP       Equity  318672102     284,897.08         11,657   X          5           11,657
FIRST FED CAP       Equity  319960100     132,110.92         10,732   X          5           10,732
CORP COM
FIRST DATA          Equity  319963104   4,863,946.50        124,525   X          5          124,525
CORP COM
                                        1,537,987.50         39,375   X          6           22,800
                                                                      X          6                                      16,575
FIRST FINL          Equity  32020R109     254,331.98          7,933   X          5            7,933
BANKSHARES
COM
FIRST               Equity  320817109     201,070.80          9,090   X          5            9,090
MERCHANTS
CORP COM
FIRST MIDWEST       Equity  320867104     231,993.30          8,715   X          5            8,715
BANCORP COM
FIRST HEALTH        Equity  320960107     419,927.25         13,021   X          5           13,021
GROUP CP COM
                                        4,399,706.25        136,425   X          6          136,425
FIRST SEC CORP      Equity  336294103     596,195.74         36,554   X          5           36,554
DEL COM
FIRST TENN          Equity  337162101     452,010.16         22,114   X          5           22,114
NATL CORP COM
FIRST UNION         Equity  337358105   4,113,946.38        127,802   X          5          127,802
CORP COM
FIRSTAR CORP        Equity  33763V109  30,040,003.75      1,342,570   X          1        1,310,300
COM
                                                                      X          1                                      32,270
                                        3,469,557.00        155,064   X          5          155,064
FISERV INC COM      Equity  337738108   4,499,769.33         75,159   X          5           75,159
FIRSTFED FINL       Equity  337907109   3,450,000.00        150,000   X          1          150,000
CORP COM
                                          111,044.00          4,828   X          5            4,828
FIRSTMERIT          Equity  337915102     419,412.02         18,283   X          5           18,283
CORP COM
FIRSTENERGY         Equity  337932107   1,851,882.54         68,741   X          5           68,741
CORP COM
FISHER              Equity  338032204     222,243.75          6,585   X          5            6,585
SCIENTIFIC INTL
COM
FLEETBOSTON         Equity  339030108  29,105,700.00        746,300   X          1          728,400
FINL CORP COM
                                                                      X          1                                      17,900
                                           58,500.00          1,500   X          2            1,500
                                       11,890,515.00        304,885   X          5          304,885
                                      753,277,044.00     19,314,796   X          6       15,879,981
                                                                      X          6                                   3,434,815
FLEMING COS         Equity  339130106     206,387.18         15,803   X          5           15,803
INC COM
FLORIDA             Equity  341109106  33,931,101.28        640,693   X          1          624,393
PROGRESS
CORP COM
                                                                      X          1                                      16,300
                                           47,664.00            900   X          4              900
                                          635,361.12         11,997   X          5           11,997
FLOWERS INDS        Equity  343496105     733,629.00         37,622   X          5           37,622
INC COM
FLOWSERVE           Equity  34354P105     272,180.64         16,556   X          5           16,556
CORP COM
FLUOR CORP          Equity  343861100   3,444,000.00        114,800   X          2          114,800
COM
                                          197,100.00          6,570   X          5            6,570
FOOTSTAR INC        Equity  344912100     227,817.81          7,051   X          5            7,051
COM
FORD MTR CO         Equity  345370860   8,147,938.50        319,527   X          3           38,676
DEL COM P
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 31            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                        280,851
                                       13,863,865.50        543,681   X          5          543,681
                                          213,945.00          8,390   X          6            8,390
FOREST LABS         Equity  345838106  79,434,629.12        692,615   X          1          677,100
INC CL A
                                                                      X          1                                      15,515
                                       43,157,094.40        376,300   X          2          376,300
                                        3,412,541.44         29,755   X          5           29,755
                                          344,064.00          3,000   X          6            3,000
FOREST OIL          Equity  346091606  10,653,322.80        658,100   X          1          623,300
CORP COM NEW
                                                                      X          1                                      34,800
                                           70,660.62          4,365   X          5            4,365
FORT JAMES          Equity  347471104   1,504,193.76         49,221   X          5           49,221
CORP COM
FORTUNE             Equity  349631101  21,820,100.00        823,400   X          3          391,500
BRANDS INC COM
                                                                      X          3                        431,900
                                          492,820.50         18,597   X          5           18,597
FORWARD AIR         Equity  349853101     207,609.20          5,900   X          1            5,900
CORP COM
                                           39,551.31          1,124   X          5            1,124
FOUNDATION          Equity  350404109  35,669,844.00      2,146,200   X          2        2,146,200
HEALTH SYS COM
                                          713,031.24         42,902   X          5           42,902
FOUNDRY             Equity  35063R100  33,557,022.00        501,300   X          2          501,300
NETWORKS INC
COM
                                          232,951.20          3,480   X          5            3,480
FRANCHISE FIN       Equity  351807102   6,174,000.00        274,400   X          3          123,800
CORP COM
                                                                      X          3                        150,600
                                          671,602.50         29,849   X          5           29,849
FRANKLIN RES        Equity  354613101   2,195,908.32         49,424   X          5           49,424
INC COM
FREEMARKETS         Equity  356602102   4,615,296.00         80,800   X          2           80,800
INC COM
                                           15,936.48            279   X          5              279
FREEPORT            Equity  35671D501   9,455,812.50        536,500   X          6          536,500
COPPER & GOLD
CV PFD A
FREEPORT-           Equity  35671D857     488,805.23         55,483   X          5           55,483
MCMORAN
COP&G CL B
                                       12,132,251.00      1,377,100   X          6        1,377,100
FRONTLINE CAP       Equity  35921N101   6,564,492.00        399,300   X          2          399,300
GROUP COM
                                           10,686.00            650   X          5              650
FULTON FINL         Equity  360271100     237,700.19         11,999   X          5           11,999
CORP PA COM
FURNITURE           Equity  360921100     210,409.20         12,660   X          5           12,660
BRANDS INTL
COM
G & K SVCS INC      Equity  361268105     243,616.92          8,682   X          5            8,682
CL A
                                        8,390,501.20        299,020   X          6          299,020
GATX CORP COM       Equity  361448103     417,695.12          9,976   X          5            9,976
GBC BANCORP         Equity  361475106     221,321.88          6,498   X          5            6,498
CALIF COM
GPU INC COM         Equity  36225X100   1,562,115.76         48,154   X          5           48,154
GABLES              Equity  362418105      24,851.66            914   X          5              914
RESIDENTIAL TR
SH BEN INT
                                        3,824,681.35        140,665   X          6          140,665
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 32            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
GALLAGHER           Equity  363576109  11,238,712.00        190,100   X          2          190,100
ARTHUR J &CO
COM
                                          763,357.44         12,912   X          5           12,912
GANNETT INC         Equity  364730101   1,705,487.00         32,179   X          5           32,179
COM
GAP INC DEL COM     Equity  364760108   1,849,148.72         91,906   X          5           91,906
                                       52,555,130.08      2,612,084   X          6        2,454,154
                                                                      X          6                                     157,930
GARDNER             Equity  365558105     183,966.25         11,321   X          5           11,321
DENVER MACHY
COM
GARTNER             Equity  366651107     253,792.42         21,841   X          5           21,841
GROUP INC - CL A
GARTNER             Equity  366651206     191,898.98         17,654   X          5           17,654
GROUP INC NEW
CL B
GATEWAY INC         Equity  367626108   1,991,082.50         42,590   X          5           42,590
COM
GAYLORD             Equity  368145108   2,553,928.00      1,511,200   X          2        1,511,200
CONTAINER
                                           52,221.00         30,900   X          5           30,900
GEMINI              Equity  36865M109   1,459,062.50        101,500   X          2          101,500
GENOMICS PLC
ADR
GEMSTAR-TV          Equity   36866W10  22,487,267.40        257,917   X          1          251,900
GUIDE
INTERNATIONAL
                                                                      X          1                                       6,017
                                      253,583,420.80      2,908,467   X          2        2,908,467
                                          468,286.75          5,371   X          5            5,371
                                          534,462.44          6,130   X          6            6,130
GENCORP INC         Equity  368682100   6,045,812.50        744,100   X          3          351,800
COM
                                                                      X          3                        392,300
                                          107,290.63         13,205   X          5           13,205
GENENTECH INC       Equity  368710406  30,862,831.10        166,208   X          1          162,300
                                                                      X          1                                       3,908
                                      101,775,592.80        548,100   X          2          545,600
                                                                      X          2                                       2,500
                                        1,801,916.35          9,704   X          5            9,704
GENERAL             Equity  369385109      96,101.52         13,422   X          5           13,422
COMMUNICATION
CL A
GENERAL             Equity  369550108   2,114,310.22         33,662   X          5           33,662
DYNAMICS CORP
COM
GENERAL ELEC        Equity  369604103  66,696,025.26      1,153,651   X          1        1,126,293
CO COM
                                                                      X          1                                      27,358
                                       93,377,938.84      1,615,172   X          2        1,615,172
                                      141,345,731.81      2,444,878   X          5        2,444,878
                                        6,619,126.00        114,492   X          6           67,447
                                                                      X          6                                      47,045
GENERAL MILLS       Equity  370334104   1,053,782.00         29,684   X          5           29,684
INC COM
GENERAL             Equity  370442105   6,560,775.00        100,935   X          5          100,935
MOTORS CORP
COM
GENERAL MTRS        Equity  370442832   2,215,928.00         59,600   X          2           59,600
CORP CL H NEW
                                        3,065,676.90         82,455   X          5           82,455
GENERAL             Equity  370787103      42,567.48          3,492   X          5            3,492
SEMICONDUCTOR
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 33            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
                                       10,890,972.65        893,435   X          6          783,435
                                                                      X          6                                     110,000
GENTEX CORP         Equity  371901109     493,875.00         19,755   X          5           19,755
COM
GENRAD INC COM      Equity  372447102      79,497.00          7,227   X          5            7,227
                                        9,267,401.00        842,491   X          6          842,491
GENUINE PARTS       Equity  372460105     576,622.18         30,253   X          5           30,253
CO COM
GENZYME CORP        Equity  372917104   1,673,587.17         24,543   X          5           24,543
GEORGIA PAC         Equity  373298108     680,818.50         28,971   X          5           28,971
CORP COM
GEORGIA PAC         Equity  373298702   9,095,843.75        338,450   X          3           42,200
CORP COM-
TIMBER GRP
                                                                      X          3                        296,250
                                          395,385.00         14,712   X          5           14,712
Georgia Pacific     Equity  373298801   1,858,500.00         63,000   X          4           63,000
Conv. Pfd.
GETTY IMAGES        Equity  374276103   7,851,998.00        257,950   X          2          257,950
INC COM
                                           89,097.88          2,927   X          5            2,927
GILEAD              Equity  375558103   1,427,176.59         13,011   X          5           13,011
SCIENCES INC
COM
GILLETTE CO         Equity  375766102   4,600,401.75        149,025   X          5          149,025
COM
GLATFELTER P H      Equity  377316104     244,169.52         20,146   X          5           20,146
CO COM
GLENAYRE            Equity  377899109     158,517.21         14,583   X          5           14,583
TECHNOLOGIES
COM
GLIMCHER RLTY       Equity  379302102   5,851,018.75        391,700   X          3          196,500
TR SH BEN INT
                                                                      X          3                        195,200
                                          277,135.44         18,553   X          5           18,553
GLOBAL MARINE       Equity  379352404   1,288,081.62         41,726   X          5           41,726
INC COM
GLOBAL              Equity  37936U104     166,563.12         36,527   X          5           36,527
TELESYSTEMS
GROUP
GLOBESPAN INC       Equity  379571102   7,978,800.00         65,400   X          1           65,400
COM
                                      172,569,000.00      1,414,500   X          2        1,414,500
                                          145,668.00          1,194   X          5            1,194
                                          395,890.00          3,245   X          6            3,245
GOLD BANC           Equity  379907108     138,137.60         26,980   X          5           26,980
CORP INC COM
GOLDEN ST           Equity  381197102  14,743,604.00        624,200   X          2          624,200
BANCORP INC
COM
                                          227,649.56          9,638   X          5            9,638
GOLDEN WEST         Equity  381317106  41,318,062.50        770,500   X          1          750,700
FINL DEL COM
                                                                      X          1                                      19,800
                                        1,698,357.38         31,671   X          5           31,671
GOLDMAN             Equity  38141G104  36,438,012.00        319,800   X          2          317,300
SACHS GROUP
COM
                                                                      X          2                                       2,500
                                        2,822,977.44         24,776   X          5           24,776
GOODRICH B F        Equity  382388106  10,378,809.38        264,850   X          3           36,300
CO COM
                                                                      X          3                        228,550
                                          900,724.69         22,985   X          5           22,985
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 34            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
GOODYEAR TIRE       Equity  382550101     599,994.00         33,333   X          5           33,333
& RUBR COM
Goss Holdings In    Equity  383413101   7,638,855.54        111,508   X          4          111,508
Cl B
GO2NET INC COM      Equity  383486107     296,042.85          5,455   X          5            5,455
GRACE W R & CO      Equity  38388F108     338,965.80         49,340   X          5           49,340
GRANT PRIDECO       Equity  38821G101  13,713,597.00        625,050   X          2          625,050
INC COM
                                          634,044.06         28,899   X          5           28,899
GREAT ATL &         Equity  390064103   7,008,722.00        633,700   X          2          633,700
PAC TEA COM
                                           36,022.42          3,257   X          5            3,257
GREAT LAKES         Equity  390568103     382,847.22         13,062   X          5           13,062
CHEM CORP COM
GREAT               Equity  391334802   2,425,150.00        373,100   X          6          352,700
UNIVERSAL
STORES SPON
ADR
                                                                      X          6                                      20,400
GREENPOINT          Equity  395384100     630,906.00         21,300   X          5           21,300
FINL CORP COM
GREIF BROS          Equity  397624107     229,624.50          6,906   X          5            6,906
CORP CL A
GREY GLOBAL         Equity  39787M108     330,342.74            533   X          5              533
GROUP INC
GREY WOLF INC       Equity  397888108  11,543,125.00      2,007,500   X          2        2,007,500
COM
                                          226,182.00         39,336   X          5           39,336
GTECH HLDGS         Equity  400518106     190,605.60         11,510   X          5           11,510
CORP COM
GUIDANT CORP        Equity  401698105     141,380.00          2,000   X          2            2,000
COM
                                        5,178,325.26         73,254   X          5           73,254
HCA - THE           Equity  404119109      37,120.00          1,000   X          2            1,000
HEALTHCARE
COMPANY
                                        7,175,444.48        193,304   X          5          193,304
HCC INS HLDGS       Equity  404132102     238,906.53         11,763   X          5           11,763
INC COM
HNC SOFTWARE        Equity  40425P107     630,591.48          7,708   X          5            7,708
INC COM
HEALTH&RETIRE       Equity   40426W10   8,496,206.25      1,192,450   X          3          120,550
PPTYS COM SH
BE
                                                                      X          3                      1,071,900
                                          399,855.00         56,120   X          5           56,120
HSB GROUP INC       Equity  40428N109     454,679.96         11,333   X          5           11,333
COM
HS RES INC COM      Equity  404297103  11,015,550.00        327,600   X          1          310,400
                                                                      X          1                                      17,200
                                          213,855.00          6,360   X          5            6,360
THE HAIN            Equity  405217100  11,225,950.00        319,600   X          1          304,000
CELESTIAL
GROUP
                                                                      X          1                                      15,600
                                          356,097.25         10,138   X          5           10,138
HALL KINION &       Equity  406069104   3,503,561.60        123,200   X          1          123,200
ASSOCS INC
COM
                                            2,189.73             77   X          5               77
HALLIBURTON         Equity  406216101   5,493,808.64        112,256   X          5          112,256
CO COM
                                          261,829.00          5,350   X          6            5,350
JOHN HANCOCK        Equity  41014S106      29,557.00          1,100   X          2            1,100
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 35            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
FINANCIAL
SERVICES
                                          275,524.98         10,254   X          5           10,254
                                      503,262,471.10     18,729,530   X          6       16,009,516
                                                                      X          6                                   2,720,014
HANDSPRING INC      Equity  410293104     690,625.00         10,000   X          2           10,000
HANGER              Equity  41043F208      41,182.50         10,982   X          5           10,982
ORTHOPEDIC
GRP COM NEW
HANOVER             Equity  410768105     784,663.74         23,821   X          5           23,821
COMPRESSOR
CO COM
HARCOURT GEN        Equity  41163G101     627,288.00         10,632   X          5           10,632
INC COM
HARDINGE BROS       Equity  412324303     396,000.00         33,000   X          3                         33,000
INC COM
HARKEN              Equity  412552101      16,902.44         27,262   X          5           27,262
ENERGY CORP
COM
HARLEY              Equity  412822108  26,897,563.38        561,829   X          1          548,400
DAVIDSON INC
COM
                                                                      X          1                                      13,429
                                       29,012,250.00        606,000   X          2          604,800
                                                                      X          2                                       1,200
                                        9,330,310.88        194,889   X          5          194,889
HARMAN INTL         Equity  413086109   7,374,260.00        188,600   X          3           80,800
IND INC NEW
                                                                      X          3                        107,800
                                          493,051.00         12,610   X          5           12,610
HARMONIC INC        Equity  413160102     276,264.00         11,511   X          5           11,511
COM
HARRAHS             Equity  413619107     835,615.00         30,386   X          5           30,386
ENTMT INC COM
                                       64,410,335.00      2,342,194   X          6        1,924,794
                                                                      X          6                                     417,400
HARRIS CORP         Equity  413875105     415,195.56         14,599   X          5           14,599
DEL COM
HARSCO CORP         Equity  415864107     230,174.04         10,434   X          5           10,434
COM
HARTE-HANKS         Equity  416196103     237,075.00          8,700   X          5            8,700
INC
HARTFORD FINL       Equity  416515104  28,597,534.63        392,419   X          1          383,000
SVCS COM
                                                                      X          1                                       9,419
                                        2,893,866.25         39,710   X          5           39,710
HARTMARX            Equity  417119104      38,976.00         12,992   X          5           12,992
CORP COM
HASBRO INC COM      Equity  418056107     121,744.48         10,642   X          5           10,642
HAVERTY             Equity  419596101   2,012,500.00        184,000   X          1          184,000
FURNITURE INC
COM
                                        5,830,781.25        533,100   X          3          253,900
                                                                      X          3                        279,200
                                           51,100.00          4,672   X          5            4,672
HAWAIIAN ELEC       Equity  419870100   6,377,892.00        182,800   X          3           82,800
INDS COM
                                                                      X          3                        100,000
                                          324,267.66          9,294   X          5            9,294
HEALTH CARE         Equity  421915109   6,601,457.25        222,834   X          3          103,556
PPTY INVS COM
                                                                      X          3                        119,278
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 36            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                          197,509.88          6,667   X          5            6,667
HEALTHSOUTH         Equity  421924101  28,487,396.00      3,508,300   X          2        3,508,300
CORP COM
                                        1,011,362.24        124,552   X          5          124,552
HEALTH MGMT         Equity  421933102  15,162,166.00        728,600   X          2          728,600
ASSOC INC CL A
                                        1,646,799.35         79,135   X          5           79,135
HEALTH CARE         Equity  42217K106     194,753.00         10,972   X          5           10,972
REIT INC COM
HEARST-ARGYLE       Equity  422317107      23,660.00          1,183   X          5            1,183
TELEVISN COM
                                        2,276,000.00        113,800   X          6          113,800
HEIDRICK&STRU       Equity  422819102     254,178.76          4,948   X          5            4,948
INTL COM
HEINZ H J CO        Equity  423074103   2,826,306.78         76,263   X          5           76,263
COM
HELIX               Equity  423319102     204,490.02          6,846   X          5            6,846
TECHNOLOGY
CORP COM
HELLER              Equity  423328103  33,581,519.10      1,175,700   X          1        1,146,300
FINANCIAL INC
                                                                      X          1                                      29,400
                                          204,025.51          7,143   X          5            7,143
HELMERICH &         Equity  423452101   1,110,039.84         30,732   X          5           30,732
PAYNE INC COM
HENRY JACK &        Equity  426281101     374,456.58          8,634   X          5            8,634
ASSOC INC COM
HERCULES INC        Equity  427056106     585,245.76         41,448   X          5           41,448
COM
                                           46,101.80          3,265   X          6            3,265
HERLEY INDS         Equity  427398102   5,483,689.60        241,700   X          1          241,700
INC COM
HERSHEY FOODS       Equity  427866108   1,983,768.60         36,655   X          5           36,655
CORP COM
                                        4,705,734.00         86,950   X          6           86,950
HEWLETT             Equity  428236103   1,348,300.00         13,900   X          2           13,900
PACKARD CO
COM
                                       24,224,974.00        249,742   X          5          249,742
HIBERNIA CORP       Equity  428656102     452,992.75         36,979   X          5           36,979
CL A
HIGH SPEED          Equity  42979U102      62,025.08         17,134   X          5           17,134
ACCESS CORP
COM
HILLENBRAND         Equity  431573104     888,108.50         19,846   X          5           19,846
INDS INC COM
HILTON HOTELS       Equity  432848109     583,722.20         50,495   X          5           50,495
CORP COM
HOLLYWOOD           Equity  436141105      95,797.44         12,876   X          5           12,876
ENTMT CORP
COM
HOME DEPOT          Equity  437076102  44,242,489.20        833,820   X          2          826,320
INC COM
                                                                      X          2                                       7,500
                                       32,319,482.72        609,112   X          5          609,112
                                           19,897.50            375   X          6              375
HOMESTAKE           Equity  437614100     459,315.00         88,500   X          5           88,500
MNG CO COM
HOMESTORE           Equity  437852106      51,425.00          1,100   X          2            1,100
COM INC COM
                                          310,092.75          6,633   X          5            6,633
HON INDS INC        Equity  438092108     481,788.78         19,569   X          5           19,569
HONEYWELL INC       Equity  438516106   4,177,264.26        117,273   X          5          117,273
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 37            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
                                        3,638,404.90        102,145   X          6           64,245
                                                                      X          6                                      37,900
HOOPER HOMES        Equity  439104100     163,572.00         17,200   X          5           17,200
INC
                                        9,074,917.50        954,250   X          6          954,250
HORACE MANN         Equity  440327104     227,903.14         13,922   X          5           13,922
EDUCTR CP COM
HORMEL FOODS        Equity  440452100     423,892.62         25,398   X          5           25,398
CORP COM
HOST MARRIOTT       Equity  44107P104     779,985.00         69,332   X          5           69,332
CORP COM
HOTJOBS COM         Equity  441474103   8,664,774.00        507,900   X          2          507,900
INC COM
                                           57,526.32          3,372   X          5            3,372
HOUGHTON            Equity  441560109     377,545.75          9,619   X          5            9,619
MIFFLIN CO COM
HOUSEHOLD           Equity  441815107     169,860.00          3,000   X          2            3,000
INTL INC COM
                                        4,672,225.78         82,519   X          5           82,519
                                      848,556,749.26     14,986,873   X          6       12,859,072
                                                                      X          6                                   2,127,801
HOUSTON EXPL        Equity  442120101   8,963,750.00        355,000   X          1          328,900
CO COM
                                                                      X          1                                      26,100
                                          106,277.25          4,209   X          5            4,209
                                          252,500.00         10,000   X          6                                      10,000
HUBBELL INC CL      Equity  443510201   9,895,928.13        394,850   X          3           70,100
B
                                                                      X          3                        324,750
                                          388,092.81         15,485   X          5           15,485
HUDSON RIV          Equity  444128102     132,049.66         10,111   X          5           10,111
BANCORP INC
COM
HUDSON UNITED       Equity  444165104   6,408,116.00        231,968   X          1          215,217
BANCORP COM
                                                                      X          1                                      16,751
                                        6,569,722.25        237,818   X          3          123,378
                                                                      X          3                        114,440
                                          556,643.75         20,150   X          5           20,150
HUGHES SUPPLY       Equity  444482103   6,335,298.00        322,900   X          3          141,800
INC COM
                                                                      X          3                        181,100
                                          114,129.54          5,817   X          5            5,817
HUMANA INC COM      Equity  444859102     546,282.75         50,817   X          5           50,817
HUMAN GENOME        Equity  444903108  21,899,680.00        126,500   X          2          126,200
SCIENCES COM
                                                                      X          2                                         300
                                        1,774,133.76         10,248   X          5           10,248
HUNT JB TRANS       Equity  445658107     160,752.00         12,608   X          5           12,608
SVC INC COM
HUNTINGTON          Equity  446150104     426,964.85         29,065   X          5           29,065
BANCSHARES
COM
ICN                 Equity  448924100     646,978.50         19,458   X          5           19,458
PHARMACEUTICA
NEW COM
IDT CORP COM        Equity  448947101     265,754.19          6,837   X          5            6,837
HYPERION            Equity  44914M104   4,365,112.50        168,700   X          1          155,800
SOLUTIONS CP
COM
                                                                      X          1                                      12,900
                                          406,910.25         15,726   X          5           15,726
IBP INC COM         Equity  449223106     387,897.35         21,185   X          5           21,185
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 38            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ICT GROUP INC       Equity  44929Y101   3,263,046.40        305,300   X          1          305,300
     COM
IDEC                Equity  449370105  73,720,923.60        420,400   X          1          407,800
PHARMACEUTICA
COM
                                                                      X          1                                      12,600
                                      214,446,521.10      1,222,900   X          2        1,222,900
                                        2,973,737.92         16,958   X          5           16,958
IMC GLOBAL INC      Equity  449669100  15,645,500.00      1,079,000   X          2        1,079,000
COM
                                          171,448.00         11,824   X          5           11,824
IMS HEALTH INC      Equity  449934108     938,501.75         45,229   X          5           45,229
COM
IRT PPTY CO COM     Equity  450058102     334,661.25         38,247   X          5           38,247
ITT INDS INC IND    Equity  450911102   1,408,447.48         43,417   X          5           43,417
COM
                                      139,725,568.00      4,307,200   X          6        4,307,200
IDACORP INC         Equity  451107106     731,490.00         15,816   X          5           15,816
                                        4,518,393.75         97,695   X          6           97,695
IDEX CORP COM       Equity  45167R104     274,119.34          9,811   X          5            9,811
IDEXX LABS          Equity  45168D104     377,362.25         14,107   X          5           14,107
CORP COM
IKON OFFICE         Equity  451713101     142,474.34         36,161   X          5           36,161
SOLUTIONS COM
ILLINOIS TOOL       Equity  452308109   2,461,632.20         44,060   X          5           44,060
WKS INC COM
ILLUMINA INC.       Equity  452327109   2,722,500.00         60,000   X          1           60,000
IMATION CORP        Equity  45245A107     440,865.74         23,677   X          5           23,677
COM
IMCLONE             Equity   45245W10     783,248.46          6,691   X          5            6,691
SYSTEMS INC
IMMUNEX CORP        Equity  452528102  73,264,309.50      1,684,237   X          1        1,646,800
NEW COM
                                                                      X          1                                      37,437
                                       21,863,100.00        502,600   X          2          502,600
                                        1,365,421.50         31,389   X          5           31,389
INAMED              Equity  453235103   3,029,062.50        107,700   X          2          107,700
CORPORATION
INCO LTD COM        Equity  453258402     404,402.44         25,087   X          5           25,087
INCYTE              Equity  45337C102     533,778.72         12,981   X          5           12,981
PHARMACEUTICA
COM
INDEPENDENCE        Equity  453414104     334,096.00         23,864   X          5           23,864
CMNTY BK COM
INDYMAC MTG         Equity  456607100     624,777.28         30,388   X          5           30,388
HLDGS INC COM
INFINITY            Equity  45662S102   1,487,079.00         45,063   X          5           45,063
BROADCASTING
INFOCUS             Equity  45665B106     261,025.00          4,925   X          5            4,925
CORPORATION
INFORMATICA         Equity  45666Q102   3,711,350.00         39,800   X          1           36,800
CORP COM
                                                                      X          1                                       3,000
                                       18,920,425.00        202,900   X          2          202,900
                                          451,703.00          4,844   X          5            4,844
INFORMIX CORP       Equity  456779107     169,138.36         41,053   X          5           41,053
COM
INFOSPACE COM       Equity  45678T102     623,210.50         20,602   X          5           20,602
INC COM
INFOUSA INC         Equity  456818301      55,750.00         11,150   X          5           11,150
NEW COM
INGERSOLL           Equity  456866102   1,729,029.63         51,049   X          5           51,049
RAND CO COM
INGRAM MICRO        Equity  457153104   8,607,500.00        626,000   X          2          626,000
INC CL A
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 39            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                           71,142.50          5,174   X          5            5,174
INHALE              Equity  457191104     660,318.18         11,714   X          5           11,714
THERAPEUTIC
SYS COM
INKTOMI CORP        Equity  457277101   7,250,400.00         63,600   X          1           63,600
COM
                                        1,088,700.00          9,550   X          5            9,550
INPUT/OUTPUT        Equity  457652105     164,646.30         17,115   X          5           17,115
INC COM
INSIGHT             Equity  45765U103     373,025.25         13,689   X          5           13,689
ENTERPRISES
COM
INSITUFORM          Equity  457667103     688,806.56         20,488   X          5           20,488
TECH INC CL A
INRANGE             Equity  45769V206   1,860,300.00         35,100   X          2           35,100
TECHNOLOGIES
CORP
INNKEEPERS          Equity  4576J0104   5,953,200.00        580,800   X          3          278,600
USA TR COM
                                                                      X          3                        302,200
                                          122,620.75         11,963   X          5           11,963
INTEGRATED          Equity  458118106  16,860,150.00        186,300   X          1          179,900
DEVICE TECH
COM
                                                                      X          1                                       6,400
                                        2,737,263.00         30,246   X          5           30,246
INTEGRATED          Equity  45811E103     166,920.39         24,297   X          5           24,297
ELECTRC SRV
COM
INTEGRATED          Equity  45812C106       1,812.00         15,100   X          5           15,100
HEALTH SVCS
COM
INTEL CORP COM      Equity  458140100       1,496.25             36   X          1                                          36
                                       33,270,781.25        800,500   X          2          795,500
                                                                      X          2                                       5,000
                                        7,202,781.25        173,300   X          3          148,400
                                                                      X          3                         24,900
                                       71,751,671.25      1,726,356   X          5        1,726,356
                                       55,958,087.50      1,346,360   X          6          804,110
                                                                      X          6                                     542,250
INTERFACE INC       Equity  458665106     141,076.97         17,701   X          5           17,701
CL A
INTERDIGITAL        Equity  45866A105     157,472.00         11,248   X          5           11,248
COMMUNCTN
COM
INTERMET CORP       Equity  45881K104   3,822,200.00        527,200   X          3          260,700
COM
                                                                      X          3                        266,500
                                           32,298.75          4,455   X          5            4,455
INTERNATIONAL       Equity  459200101  28,404,025.00        252,200   X          1          246,200
BUS MACH                                                              X          1                                       6,000
                                       48,765,611.38        432,991   X          5          432,991
                                       62,450,562.50        554,500   X          6          482,100
                                                                      X          6                                      72,400
INTERNATIONAL       Equity  459506101     196,735.00         10,780   X          5           10,780
FLAV&FRA COM
INTERNATIONAL       Equity  459902102   7,535,362.50        224,100   X          1          224,100
GAME TEC COM
                                       10,050,512.50        298,900   X          2          298,900
                                          872,400.63         25,945   X          5           25,945
INTERNATIONAL       Equity  460043102     212,504.58         12,234   X          5           12,234
MULTIFDS COM
INTL PAPER CO       Equity  460146103   3,122,332.70        108,830   X          5          108,830
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 40            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
INTERNATL           Equity  460254105     677,760.50         13,421   X          5           13,421
RECTIFIER CP
COM
INTERNET            Equity  46059C106     219,116.16         12,564   X          5           12,564
CAPITAL GROUP
INTERNET            Equity  46059S101      55,509.76         10,204   X          5           10,204
PICTURES CORP
COM
INTERNET            Equity  46060X107   6,701,150.00         89,200   X          1           86,400
SECURITY
SYSTEMS
                                                                      X          1                                       2,800
                                          304,782.13          4,057   X          5            4,057
INTERPOOL INC       Equity  46062R108      54,042.56          4,724   X          5            4,724
                                        2,536,076.40        221,685   X          6          221,685
INTERPUBLIC         Equity  460690100   1,543,394.84         45,314   X          5           45,314
GROUP COS COM
INTERSTATE          Equity  46072H108     247,282.68         16,914   X          5           16,914
BAKERIES COM
INTERTRUST          Equity  46113Q109     157,925.70         13,095   X          5           13,095
TECH CORP COM
INTERVOICE INC      Equity  461142101     148,522.50         14,145   X          5           14,145
COM
INTERWOVEN          Equity  46114T102     940,659.20          8,320   X          5            8,320
INC COM
INTIMATE            Equity  461156101  26,151,127.55      1,399,354   X          1        1,365,854
BRANDS INC CL A
                                                                      X          1                                      33,500
                                           45,617.41          2,441   X          5            2,441
INTUIT COM          Equity  461202103   2,747,913.00         48,209   X          5           48,209
INVACARE CORP       Equity  461203101   7,941,300.00        247,200   X          3          111,700
COM
                                                                      X          3                        135,500
                                           98,463.13          3,065   X          5            3,065
INVESTMENT          Equity  46145F105   6,741,534.40        168,800   X          1          156,300
TEC GRP NEW
COM
                                                                      X          1                                      12,500
                                          496,868.66         12,441   X          5           12,441
INVITROGEN          Equity  46185R100  61,366,650.00        862,800   X          1          834,100
CORP COM
                                                                      X          1                                      28,700
                                           71,836.25          1,010   X          5            1,010
INVESTORS FINL      Equity  461915100     620,658.96          9,833   X          5            9,833
SERVICE COM
IOMEGA CORP         Equity  462030107     188,685.00         37,737   X          5           37,737
IPALCO              Equity  462613100     524,409.10         22,930   X          5           22,930
ENTERPRISES
INC COM
I2                  Equity  465754109   9,933,045.30         53,100   X          1           53,100
TECHNOLOGIES
INC COM
                                      284,148,697.00      1,519,000   X          2        1,519,000
                                        3,511,546.64         18,772   X          5           18,772
                                          216,993.08          1,160   X          6            1,160
IVAX CORP COM       Equity  465823102   1,851,546.00         40,251   X          5           40,251
IVEX PACKAGING      Equity  465855104     113,923.53         11,613   X          5           11,613
CORP
IVILLAGE INC COM    Equity  46588H105      39,048.30         10,090   X          5           10,090
JDN RLTY CORP       Equity  465917102     226,923.84         20,064   X          5           20,064
COM
JDS UNIPHASE        Equity  46612J101  17,972,729.28        189,810   X          1          185,300
CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 41            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                                       4,510
                                      285,404,782.08      3,014,160   X          2        3,007,660
                                                                      X          2                                       6,500
                                       16,508,474.05        174,346   X          5          174,346
                                          381,971.39          4,034   X          6            4,034
JLG INDS INC        Equity  466210101     239,484.74         19,646   X          5           19,646
JNI CORPCOM         Equity  46622G105   8,784,300.00         98,700   X          1           91,400
                                                                      X          1                                       7,300
JABIL CIRCUIT       Equity  466313103  92,990,550.00      1,638,600   X          2        1,636,600
INC COM
                                                                      X          2                                       2,000
                                        2,040,957.00         35,964   X          5           35,964
JACK IN THE BOX     Equity  466367109   7,153,860.60        333,700   X          1          308,700
INC COM
                                                                      X          1                                      25,000
                                          412,853.00         19,258   X          5           19,258
JACOBS ENGR         Equity  469814107     269,069.25          6,675   X          5            6,675
GROUP DEL COM
JEFFERSON           Equity  475070108   1,916,648.80         28,240   X          5           28,240
PILOT CORP COM
JOHN NUVEEN         Equity  478035108   2,491,312.50         51,500   X          1           51,500
COMPANY
                                          102,796.88          2,125   X          5            2,125
JOHNSON &           Equity  478160104  53,104,282.00        565,300   X          2          560,300
JOHNSON COM
                                                                      X          2                                       5,000
                                       35,530,268.62        378,223   X          5          378,223
JOHNSON CTLS        Equity  478366107   1,546,286.49         29,071   X          5           29,071
INC COM
JONES APPAREL       Equity  480074103     379,135.50         14,307   X          5           14,307
GROUP COM
JONES LANG          Equity  48020Q107     141,518.00         10,886   X          5           10,886
LASALLE INC COM
JOSTENS INC CL      Equity  481088300     217,177.50         12,590   X          5           12,590
A
JOURNAL             Equity  481138105     229,871.22         13,831   X          5           13,831
REGISTER CO
COM
JUNIPER             Equity  48203R104     503,557.40          2,300   X          1            2,300
NETWORKS INC
                                      253,814,823.40      1,159,300   X          2        1,159,300
                                        5,715,595.43         26,106   X          5           26,106
KLA-TENCOR          Equity  482480100   1,505,370.93         36,547   X          5           36,547
K MART CORP         Equity  482584109     474,570.00         79,095   X          5           79,095
COM
KAISER              Equity  483007100      81,567.60         13,460   X          5           13,460
ALUMINUM CORP
KAMAN CORP CL       Equity  483548103   5,868,100.00        464,800   X          3          228,300
A
                                                                      X          3                        236,500
                                          187,380.25         14,842   X          5           14,842
KANA                Equity  483600102   5,931,850.00        266,600   X          2          266,600
COMMUNICATION
COM
                                          185,342.50          8,330   X          5            8,330
KANSAS CITY         Equity  485134100     479,299.02         17,958   X          5           17,958
PWR< CO COM
KANSAS CITY         Equity  485170302     254,243.33         29,257   X          5           29,257
SOUTHN IND COM
KAUFMAN&BROA        Equity  486168107   8,272,659.80        307,100   X          1          284,400
HOME CP COM
                                                                      X          1                                      22,700
                                          213,995.47          7,944   X          5            7,944
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 42            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
KAYDON CORP         Equity  486587108     117,461.00          5,107   X          5            5,107
COM
                                        5,440,190.00        236,530   X          6          236,530
KEEBLER FOODS       Equity  487256109   1,694,826.00         40,353   X          5           40,353
CO COM
KELLOGG CO COM      Equity  487836108     997,039.23         41,217   X          5           41,217
KELLWOOD CO         Equity  488044108   6,522,550.00        357,400   X          3          154,700
COM
                                                                      X          3                        202,700
                                          105,539.75          5,783   X          5            5,783
KELLY SVCS INC      Equity  488152208   6,251,175.00        264,600   X          3          124,500
CL A
                                                                      X          3                        140,100
                                           61,283.25          2,594   X          5            2,594
KEMET CORP          Equity  488360108     503,125.92         18,216   X          5           18,216
COM
KERR MCGEE          Equity  492386107  40,220,375.00        607,100   X          1          591,500
CORP COM
                                                                      X          1                                      15,600
                                       39,822,875.00        601,100   X          3          346,400
                                                                      X          3                        254,700
                                        3,592,737.50         54,230   X          5           54,230
Kerr-McGee Corp.    Equity  492386305   7,004,426.00        128,900   X          4          128,900
Conv. Pfd.
KEY ENERGY          Equity  492914106     144,373.77         14,717   X          5           14,717
SERVICES
KEYCORP NEW         Equity  493267108  11,974,078.13        473,050   X          3           66,500
COM
                                                                      X          3                        406,550
                                        2,349,734.06         92,829   X          5           92,829
KEYSPAN CORP        Equity   49337W10  14,281,405.88        355,750   X          3           52,700
COM
                                                                      X          3                        303,050
                                        1,966,438.19         48,984   X          5           48,984
KEYSTONE            Equity  493482103     362,224.50         16,654   X          5           16,654
FINANCIAL INC
COM
KIMBALL INTL        Equity  494274103   6,731,725.00        376,600   X          3          185,900
INC CL B
                                                                      X          3                        190,700
                                           48,995.38          2,741   X          5            2,741
KIMBERLY CLARK      Equity  494368103   5,786,938.90        103,690   X          5          103,690
CORP COM
KIMCO REALTY        Equity  49446R109     519,083.50         12,286   X          5           12,286
CORP COM
KINDER MORGAN       Equity  494550106      28,848.33            609   X          5              609
ENERGY UT LTD
PART
                                          795,816.00         16,800   X          6           14,800
                                                                      X          6                                       2,000
KINDER MORGAN       Equity  49455P101   1,552,731.38         37,927   X          5           37,927
INC KANS COM
KING                Equity  495582108   3,404,192.00        101,800   X          2          101,800
PHARMACEUTICA
COM
                                          741,699.20         22,180   X          5           22,180
KIRBY CORP COM      Equity  497266106     179,209.08          9,134   X          5            9,134
                                        1,984,563.00        101,150   X          6          101,150
KNIGHT RIDDER       Equity  499040103   2,691,913.80         52,980   X          5           52,980
INC COM
KNIGHT              Equity  499063105     315,432.00          8,762   X          5            8,762
TRADING GROUP
INC
KOALA CORP          Equity  499866101   3,639,875.80        226,600   X          1          226,600
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 43            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
KOHLS CORP          Equity  500255104  12,888,191.46        223,412   X          1          218,100
COM
                                                                      X          1                                       5,312
                                       46,819,580.80        811,600   X          2          806,600
                                                                      X          2                                       5,000
                                        8,117,393.86        140,712   X          5          140,712
KORN FERRY          Equity  500643200  13,621,052.50        360,250   X          2          360,250
INTL COM NEW
                                          261,947.68          6,928   X          5            6,928
KROGER CO COM       Equity  501044101  35,387,380.50      1,568,381   X          1        1,530,900
                                                                      X          1                                      37,481
                                        3,458,907.90        153,300   X          2          153,300
                                        5,822,946.22        258,075   X          5          258,075
                                    1,015,689,306.79     45,015,703   X          6       39,295,740
                                                                      X          6                                   5,719,963
KULICKE & SOFFA     Equity  501242101     139,315.77         10,467   X          5           10,467
INDS COM
LG&E ENERGY         Equity  501917108   1,652,008.80         67,600   X          4           67,600
CORP COM
                                          584,410.33         23,914   X          5           23,914
LTV CORP NEW        Equity  501921100      55,474.57         42,347   X          5           42,347
COM
LSI LOGIC CORP      Equity  502161102   1,736,572.50         59,370   X          5           59,370
COM
LTC PPTYS INC       Equity  502175102     137,182.50         39,195   X          5           39,195
COM
L-3                 Equity  502424104   7,418,450.00        131,300   X          1          131,300
COMMUNICATNS
HLDGS COM
                                        9,384,650.00        166,100   X          2          166,100
                                          711,674.00         12,596   X          5           12,596
LABORATORY          Equity  50540R409     207,766.25          1,735   X          5            1,735
CORP OF AMER
HLDGS CO
LACLEDE GAS CO      Equity  505588103     394,327.18         18,239   X          5           18,239
LAM RESH CORP       Equity  512807108     329,323.38         15,727   X          5           15,727
COM
LAMAR               Equity  512815101     155,456.35          4,105   X          5            4,105
ADVERTISING CO
CL A
                                       18,482,453.50        488,050   X          6          427,150
                                                                      X          6                                      60,900
LANCASTER           Equity  513847103   7,061,718.75        287,500   X          3          129,600
COLONY CORP
COM
                                                                      X          3                        157,900
                                          197,728.13          8,050   X          5            8,050
LANCE INC COM       Equity  514606102     181,647.36         18,688   X          5           18,688
LANDAMERICA         Equity  514936103     331,267.44         11,599   X          5           11,599
FINL GROUP COM
LANDRYS             Equity  51508L103      90,395.94         13,274   X          5           13,274
SEAFOOD
RESTRN COM
LASON INC COM       Equity  51808R107      20,384.00         10,192   X          5           10,192
LATTICE             Equity  518415104     586,735.00         10,916   X          5           10,916
SEMICONDUCTOR
COM
LAUDER ESTEE        Equity  518439104     488,144.60         13,330   X          5           13,330
COS INC CL A
LEAP WIRELESS       Equity  521863100      21,520.64            344   X          4              344
INTL INC COM
                                          421,404.16          6,736   X          5            6,736
LEAR CORP COM       Equity  521865105     363,418.56         17,676   X          5           17,676
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 44            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
LEARNING TREE       Equity  522015106   3,448,050.00         72,400   X          1           66,900
INTL INC COM
                                                                      X          1                                       5,500
                                           18,859.50            396   X          5              396
LEE                 Equity  523768109     561,319.41         19,443   X          5           19,443
ENTERPRISES
INC COM
LEGATO SYS INC      Equity  524651106     579,828.48         43,142   X          5           43,142
COM
LEGGETT &           Equity  524660107     268,026.93         16,953   X          5           16,953
PLATT INC COM
LEGG MASON INC      Equity  524901105     835,242.52         14,371   X          5           14,371
COM
LEHMAN BROS         Equity  524908100  42,670,237.50        287,100   X          1          281,100
HLDGS INC COM
                                                                      X          1                                       6,000
                                        8,705,858.00         58,576   X          5           58,576
LENNAR CORP         Equity  526057104  48,070,050.00      1,615,800   X          1        1,560,800
COM
                                                                      X          1                                      55,000
                                          607,614.00         20,424   X          5           20,424
LEVEL 3             Equity  52729N100   3,217,600.64         41,722   X          5           41,722
COMMUNICATION
INC
LEXINGTON CP        Equity  529043101     124,863.75         11,099   X          5           11,099
PPTYS TR COM
LEXMARK INTL        Equity  529771107     958,762.50         25,567   X          5           25,567
GROUP INC CL A
LIBERTY PPTY        Equity  531172104  29,100,500.00      1,058,200   X          1        1,031,600
TR SH BEN INT
                                                                      X          1                                      26,600
                                          245,630.00          8,932   X          5            8,932
LIFEPOINT           Equity  53219L109      35,500.00          1,000   X          2            1,000
                                          274,983.00          7,746   X          5            7,746
LIGAND              Equity  53220K207     138,629.82         10,822   X          5           10,822
PHARMACEUTICA
CL B
LIGHTBRIDGE         Equity  532226107   1,395,000.00        120,000   X          1          120,000
INC COM
                                           25,981.88          2,235   X          5            2,235
LILLY ELI & CO      Equity  532457108      24,336.00            300   X          2              300
COM
                                       17,329,097.76        213,623   X          5          213,623
LILLY               Equity  532491107     248,213.00          8,414   X          5            8,414
INDUSTRIES INC
CL A
LIMITED INC COM     Equity  532716107  13,476,080.40        610,800   X          1          596,200
                                                                      X          1                                      14,600
                                        3,177,027.87        143,998   X          5          143,998
LINCARE HLDGS       Equity  532791100     416,234.52         14,508   X          5           14,508
INC COM
LINCOLN NATL        Equity  534187109  57,284,438.75      1,190,326   X          1        1,160,800
CORP IND COM
                                                                      X          1                                      29,526
                                        4,527,215.00         94,072   X          5           94,072
LINDSAY MFG CO      Equity  535555106     197,316.14         10,597   X          5           10,597
COM
                                        5,111,096.90        274,495   X          6          274,495
LINEAR              Equity  535678106   5,409,409.25         83,543   X          5           83,543
TECHNOLOGY
CORP COM
LINENS N            Equity  535679104     400,069.50         15,689   X          5           15,689
THINGS INC COM
LITTELFUSE INC      Equity  537008104     240,696.83          8,107   X          5            8,107
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 45            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
LITTON INDS INC     Equity  538021106   6,109,123.00        136,700   X          2          136,700
COM
                                          334,459.96          7,484   X          5            7,484
LIZ CLAIBORNE       Equity  539320101  13,313,300.00        345,800   X          3          262,200
COM
                                                                      X          3                         83,600
                                        1,199,121.00         31,146   X          5           31,146
LOCKHEED            Equity  539830109   2,521,802.56         76,511   X          5           76,511
MARTIN CORP
COM
                                          463,417.60         14,060   X          6            5,730
                                                                      X          6                                       8,330
LOEWS CORP          Equity  540424108  24,535,791.00        294,300   X          2          294,300
COM
                                        1,257,136.23         15,079   X          5           15,079
                                        1,333,920.00         16,000   X          6                                      16,000
LONE STAR           Equity  542307103     110,527.89         14,997   X          5           14,997
STEAKHOUSE
COM
LONGS DRUG          Equity  543162101     205,444.40         10,745   X          5           10,745
STORES CORP
COM
LONGVIEW FIBRE      Equity  543213102     204,360.00         17,030   X          5           17,030
CO COM
LOOKSMART LTD       Equity  543442107     115,760.55         10,345   X          5           10,345
COM
LOUIS DREYFUS       Equity  546011107  10,330,237.50        260,700   X          1          241,400
NAT GAS COM
                                                                      X          1                                      19,300
                                          313,513.00          7,912   X          5            7,912
LOUISIANA PAC       Equity  546347105     395,243.52         43,008   X          5           43,008
CORP COM
LOWES COS INC       Equity  548661107   2,486,964.62         55,426   X          5           55,426
COM
LUBRIZOL CORP       Equity  549271104     212,120.37         10,773   X          5           10,773
COM
LUBYS               Equity  549282101   4,234,062.50        797,000   X          3          500,000
CAFETERIAS INC
COM
                                                                      X          3                        297,000
                                          192,540.94         36,243   X          5           36,243
LUCENT              Equity  549463107  17,585,965.92        575,457   X          5          575,457
TECHNOLOGIES
COM
LYCOS INC COM       Equity  550818108     774,212.66         11,258   X          5           11,258
LYONDELL            Equity  552078107     423,069.63         35,823   X          5           35,823
PETROCHEMICAL
COM
M & T BK CORP       Equity  55261F104     178,500.00            350   X          2              350
COM
                                          451,860.00            886   X          5              886
                                      175,366,050.00        343,855   X          6          333,855
                                                                      X          6                                      10,000
MBIA INC COM        Equity  55262C100     670,377.12          9,426   X          5            9,426
MBNA CORP COM       Equity  55262L100  34,705,748.00        901,448   X          1          879,700
                                                                      X          1                                      21,748
                                        8,290,166.50        215,329   X          5          215,329
M D C HLDGS INC     Equity  552676108   6,903,000.00        265,500   X          3          131,200
COM
                                                                      X          3                        134,300
                                          183,716.00          7,066   X          5            7,066
MCN ENERGY          Equity  55267J100  77,305,500.00      3,016,800   X          4        3,016,800
GROUP INC COM
                                          338,275.63         13,201   X          5           13,201
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 46            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
MDU RES GROUP       Equity  552690109   5,845,875.00        196,500   X          1          180,700
INC COM
                                                                      X          1                                      15,800
                                          552,963.25         18,587   X          5           18,587
MGIC INVT CORP      Equity  552848103  39,335,893.50        643,532   X          1          628,100
WIS COM
                                                                      X          1                                      15,432
                                        7,037,199.00        115,128   X          5          115,128
MGI PPTYS INC       Equity  552885105     179,807.16         75,868   X          5           75,868
COM
MMC NETWORKS        Equity  55308N102     972,532.00          7,688   X          5            7,688
INC COM
MRV                 Equity  553477100     535,156.41         11,811   X          5           11,811
COMMUNICATION
INC COM
MSC INDL            Equity  553530106   6,798,450.00        445,800   X          2          445,800
DIRECT INC CL A
                                           43,935.25          2,881   X          5            2,881
MTS SYS CORP        Equity  553777103   4,621,400.00        660,200   X          3          354,100
COM
                                                                      X          3                        306,100
MTI                 Equity  553903105      42,580.56         11,176   X          5           11,176
TECHNOLOGY
CORP COM
MACK CALI           Equity  554489104     421,806.97         14,963   X          5           14,963
REALTY CORP
COM
MACROVISION         Equity  555904101  13,008,600.00        160,600   X          1          154,400
CORP COM
                                                                      X          1                                       6,200
                                          272,403.00          3,363   X          5            3,363
MACROMEDIA INC      Equity  556100105   7,863,104.90         97,300   X          1           97,300
                                        1,626,200.00         20,123   X          5           20,123
MADISON GAS &       Equity  557497104     522,135.25         22,951   X          5           22,951
ELEC CO COM
MAGNETEK INC        Equity  559424106     111,223.26         10,473   X          5           10,473
COM
MAIL COM INC CL     Equity  560311102      77,141.16         14,778   X          5           14,778
A
MALLINCKRODT        Equity  561232109   2,422,741.34         53,107   X          5           53,107
INC NEW COM
MANDALAY            Equity  562567107     429,596.16         16,768   X          5           16,768
RESORT GROUP
MANDALAY
MANOR CARE INC      Equity  564055101     460,815.30         29,370   X          5           29,370
MANPOWER INC        Equity  56418H100  10,545,762.50        330,200   X          3          253,900
COM
                                                                      X          3                         76,300
                                        1,745,065.00         54,640   X          5           54,640
MANUGISTICS         Equity  565011103     483,241.00          4,925   X          5            4,925
GROUP INC COM
MARCHFIRST INC      Equity  566244109     327,732.72         20,888   X          5           20,888
COM
MARKEL CORP         Equity  570535104     299,402.75          1,973   X          5            1,973
COM
MARSH &             Equity  571748102  31,967,660.25        240,811   X          1          235,000
MCLENNAN COS
COM
                                                                      X          1                                       5,811
                                        9,113,420.25         68,651   X          5           68,651
MARSHALL &          Equity  571834100     431,382.84          8,607   X          5            8,607
ILSLEY CORP
COM
MARRIOTT INTL       Equity  571903202   2,350,780.84         64,511   X          5           64,511
INC NEW CL A
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 47            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
MARTHA              Equity  573083102   3,270,750.00        124,600   X          1          115,200
STEWART LIVING
OMNIMECL A
                                                                      X          1                                       9,400
MASCO CORP          Equity  574599106   1,035,793.36         55,628   X          5           55,628
COM
                                            9,384.48            504   X          6              504
MASTEC INC COM      Equity  576323109     236,593.75          7,571   X          5            7,571
MATTEL INC COM      Equity  577081102     464,396.19         41,501   X          5           41,501
                                       53,969,146.20      4,822,980   X          6        4,233,530
                                                                      X          6                                     589,450
MAXIM               Equity  57772K101  40,348,704.00        501,600   X          2          500,600
INTEGRATED
PRODS COM
                                                                      X          2                                       1,000
                                        6,004,846.00         74,650   X          5           74,650
MAY DEPT            Equity  577778103     687,611.00         33,542   X          5           33,542
STORES CO COM
                                       98,781,833.00      4,818,626   X          6        3,738,476
                                                                      X          6                                   1,080,150
MAXIMUS INC         Equity  577933104      46,009.60          2,080   X          5            2,080
COM
                                        4,544,664.60        205,455   X          6          205,455
MAYTAG CORP         Equity  578592107     528,051.06         17,001   X          5           17,001
COM
MCCORMICK & CO      Equity  579780206  35,838,932.50      1,204,670   X          1        1,173,570
INC COM NON
VTG
                                                                      X          1                                      31,100
                                          934,983.00         31,428   X          5           31,428
MCDATA              Equity  580031102  62,514,460.94        508,700   X          2          508,700
CORPORATION
MCDERMOTT           Equity  580037109     172,612.00         15,692   X          5           15,692
INTL INC COM
MCDONALDS           Equity  580135101     229,444.00          7,600   X          2            7,600
CORP COM
                                        7,073,849.09        234,311   X          5          234,311
                                      924,407,867.49     30,619,671   X          6       25,948,606
                                                                      X          6                                   4,671,065
MCGRATH             Equity  580589109   6,475,200.00        340,800   X          3          166,300
RENTCORP COM
                                                                      X          3                        174,500
                                          189,677.00          9,983   X          5            9,983
MCGRAW HILL         Equity  580645109  27,956,405.79        439,822   X          1          429,300
COS INC COM
                                                                      X          1                                      10,522
                                        1,732,409.57         27,255   X          5           27,255
MCKESSON            Equity  58155Q103   1,311,512.96         42,916   X          5           42,916
HBOC INC
MCLEODUSA INC       Equity  582266102     779,480.01         54,471   X          5           54,471
COM
MEAD CORP COM       Equity  582834107     199,275.99          8,527   X          5            8,527
                                        2,624,030.34        112,282   X          6           86,616
                                                                      X          6                                      25,666
MEDAREX INC         Equity  583916101     433,695.07          3,697   X          5            3,697
MEDIA GEN INC       Equity  584404107     266,901.00          6,207   X          5            6,207
CL A
Mediaone Group      Equity  58440J401   1,207,995.00         14,500   X          4           14,500
Conv. Pfd.
MEDICIS             Equity  584690309   5,516,550.00         89,700   X          2           89,700
PHARMACEUTICA
CL A NEW
                                          746,487.00         12,138   X          5           12,138
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 48            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
MEDIMMUNE INC       Equity  584699102 174,415,050.00      2,257,800   X          2        2,256,600
COM
                                                                      X          2                                       1,200
                                        4,883,281.50         63,214   X          5           63,214
MEDITRUST           Equity  58501T306      44,279.34         15,061   X          5           15,061
CORP PAIRED
CTF NEW
MEDTRONIC INC       Equity  585055106  28,018,848.00        540,800   X          2          535,800
COM
                                                                      X          2                                       5,000
                                       16,771,933.20        323,720   X          5          323,720
MELLON FINL         Equity  58551A108   7,575,976.97        163,381   X          5          163,381
CORP COM
MENS                Equity  587118100   3,737,316.00        132,000   X          1          122,000
WEARHOUSE INC
COM
                                                                      X          1                                      10,000
                                          242,302.65          8,558   X          5            8,558
MENTOR              Equity  587200106     611,994.56         25,976   X          5           25,976
GRAPHICS CORP
COM
MERCANTILE          Equity  587405101     788,581.20         21,724   X          5           21,724
BANKSHARES
COM
MERCER              Equity  588056101   1,072,362.50        141,800   X          2          141,800
INTERNATIONAL
INC
MERCK & CO INC      Equity  589331107  33,223,391.47        446,323   X          1          435,900
COM
                                                                      X          1                                      10,423
                                       38,980,054.20        523,658   X          5          523,658
                                       84,721,088.63      1,138,143   X          6          963,548
                                                                      X          6                                     174,595
MERCURY             Equity  589378108     119,638.62          4,302   X          5            4,302
COMPUTER SYS
COM
                                        5,130,249.75        184,475   X          6          184,475
MERCURY GENL        Equity  589400100   1,450,689.33         51,243   X          5           51,243
CORP NEW COM
MERCURY             Equity  589405109  31,726,200.00        202,400   X          2          202,400
INTERACTIVE CP
COM
                                        3,996,341.25         25,495   X          5           25,495
MEREDITH CORP       Equity  589433101     225,911.00          7,658   X          5            7,658
COM
MERIDIAN            Equity  58977Q109      96,585.33         14,059   X          5           14,059
RESOURCE
CORP COM
MERISTAR            Equity  58984Y103  12,726,537.75        628,471   X          2          628,471
HOSPITALITY
CORPORATION
                                          336,291.75         16,607   X          5           16,607
MERIX CORP COM      Equity  590049102  12,965,840.65        200,050   X          1          200,050
                                            5,314.67             82   X          5               82
MERRILL LYNCH       Equity  590188108  17,473,500.00        264,750   X          5          264,750
& CO INC COM
MESA AIR            Equity  590479101     182,572.19         33,377   X          5           33,377
GROUP INC COM
METALS USA INC      Equity  591324108     122,642.10         41,715   X          5           41,715
COM
METHODE             Equity  591520200     473,629.59         10,689   X          5           10,689
ELECTRS INC CL
A
METLIFE INC COM     Equity  59156R108     368,021.88         14,052   X          5           14,052
Metlife Capital     Equity  59156R207   7,076,250.00         85,000   X          4           85,000
Trust I Conv Pfd
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 49            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
METRICOM INC        Equity  591596101   3,090,000.00        120,000   X          2          120,000
COM
                                          123,368.25          4,791   X          5            4,791
METRIS COS INC      Equity  591598107   9,878,950.00        250,100   X          1          231,650
COM
                                                                      X          1                                      18,450
                                       16,560,375.00        419,250   X          2          419,250
                                          699,742.50         17,715   X          5           17,715
METROMEDIA          Equity  591689104     679,440.19         27,949   X          5           27,949
FIBER NETWK CL
A
METROMEDIA          Equity  591695101      68,973.08         18,442   X          5           18,442
INTL GROUP COM
METTLER             Equity  592688105     498,300.00         11,325   X          5           11,325
TOLEDO INTL
COM
MICHAEL FOOD        Equity  594079105   6,386,050.00        273,200   X          3          119,700
INC NEW COM
                                                                      X          3                        153,500
                                           56,240.25          2,406   X          5            2,406
MICHAELS            Equity  594087108     366,800.00          9,170   X          5            9,170
STORES INC COM
MICREL INC COM      Equity  594793101   1,601,233.00         23,899   X          5           23,899
MICROSOFT           Equity  594918104      54,279.00            900   X          2              900
CORP COM
                                       62,249,448.98      1,032,158   X          5        1,032,158
                                      171,988,379.09      2,851,739   X          6        2,535,666
                                                                      X          6                                     316,073
MICROSTRATEGY       Equity  594972101     230,414.47          8,437   X          5            8,437
INC
MICROCHIP           Equity  595017104      24,797.25            750   X          1                                         750
TECHNOLOGY
COM
                                        1,179,919.28         35,687   X          5           35,687
MICROMUSE INC       Equity  595094103   7,716,019.20         38,400   X          1           35,600
COM
                                                                      X          1                                       2,800
                                       16,497,009.80         82,100   X          2           82,100
                                        1,282,788.19          6,384   X          5            6,384
MICRON              Equity  595112103   1,518,000.00         33,000   X          2           33,000
TECHNOLOGY
INC COM
                                        6,108,662.00        132,797   X          5          132,797
MIDAS GROUP         Equity  595626102   5,607,000.00        400,500   X          3          183,800
INC COM
                                                                      X          3                        216,700
                                           10,276.00            734   X          5              734
MIDWEST             Equity  597911106      80,178.20          3,985   X          5            3,985
EXPRESS
HOLDINGS
                                        2,316,214.40        115,120   X          6          115,120
MILACRON INC        Equity  598709103   5,810,906.25        436,500   X          3          195,400
COM
                                                                      X          3                        241,100
                                          151,908.94         11,411   X          5           11,411
MILLENNIUM          Equity  599902103  99,306,194.00        679,900   X          2          679,900
PHARMACEUTC
COM
                                        3,620,827.40         24,790   X          5           24,790
MILLER HERMAN       Equity  600544100     729,044.40         22,740   X          5           22,740
INC COM
MILLIPORE CORP      Equity  601073109  26,821,228.00        553,700   X          2          553,700
COM
                                          523,200.44         10,801   X          5           10,801
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 50            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
MINERALS            Equity  603158106     279,680.00          6,080   X          5            6,080
TECHNOLOGIES
COM
MINIMED INC COM     Equity  60365K108 108,030,456.00      1,208,800   X          2        1,207,200
                                                                      X          2                                       1,600
                                        1,171,551.33         13,109   X          5           13,109
MINNESOTA MNG       Equity  604059105     132,124.00          1,450   X          2            1,450
& MFG CO COM
                                       11,397,198.48        125,079   X          5          125,079
                                      757,534,958.64      8,313,597   X          6        6,984,597
                                                                      X          6                                   1,329,000
MIPS                Equity  604567107     456,090.00          9,915   X          5            9,915
TECHNOLOGIES
INC CL A
MITCHELL            Equity  606592202  11,632,937.50        249,500   X          1          231,100
ENERGY & DEV
CL A
                                                                      X          1                                      18,400
                                        7,075,343.75        151,750   X          3           63,100
                                                                      X          3                         88,650
                                          325,209.38          6,975   X          5            6,975
MODINE MFG CO       Equity  607828100     432,578.52         15,356   X          5           15,356
COM
MODIS               Equity  607830106      71,736.18         13,822   X          5           13,822
PROFESSIONAL
SERVICES
MOHAWK INDS         Equity  608190104     415,894.89         19,069   X          5           19,069
INC COM
MOLECULAR           Equity  60851C107     243,954.75          2,483   X          5            2,483
DEVICES CORP
COM
MOLEX INC COM       Equity  608554101   2,355,346.60         43,265   X          5           43,265
MOLEX INC - CL A    Equity  608554200  11,445,037.50        276,200   X          6          233,075
                                                                      X          6                                      43,125
MONTANA             Equity  612085100     924,382.37         27,701   X          5           27,701
POWER CO COM
MORGAN J P &        Equity  616880100  36,706,278.13        224,675   X          3          125,300
CO INC COM
                                                                      X          3                         99,375
                                       10,438,682.25         63,894   X          5           63,894
MORGAN STAN         Equity  617446448  22,970,505.73        251,214   X          1          245,200
DEAN WITTR
COM NEW
                                                                      X          1                                       6,014
                                      147,004,872.60      1,607,700   X          2        1,601,200
                                                                      X          2                                       6,500
                                       33,453,598.12        365,861   X          5          365,861
                                       52,776,184.84        577,180   X          6          285,200
                                                                      X          6                                     291,980
MOTIENT CORP        Equity  619908106  18,677,936.00      1,322,800   X          2        1,322,800
COM
                                          127,221.20          9,010   X          5            9,010
MOTOROLA INC        Equity  620076109  12,067,863.25        427,181   X          5          427,181
COM
                                       78,142,099.00      2,766,092   X          6        2,408,461
                                                                      X          6                                     357,631
MUELLER INDS        Equity  624756102     258,598.56         11,524   X          5           11,524
INC COM
MURPHY OIL          Equity  626717102     791,978.20         12,220   X          5           12,220
CORP COM
MYLAN LABS INC      Equity  628530107     269,375.00         10,000   X          2           10,000
COM
                                       12,208,075.00        453,200   X          3          357,800
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 51            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                         95,400
                                          577,755.50         21,448   X          5           21,448
MYND CORP COM       Equity  628551103     225,261.00         16,686   X          5           16,686
MYRIAD              Equity  62855J104     259,973.70          3,010   X          5            3,010
GENETICS INC
COM
NBT BANCORP         Equity  628778102     225,672.00         18,806   X          5           18,806
INC COM
NCH CORP COM        Equity  628850109     331,914.00          9,400   X          5            9,400
NCR CORP NEW        Equity  62886E108     430,655.90         11,390   X          5           11,390
COM
NPS                 Equity  62936P103   2,562,168.00         45,300   X          2           45,300
PHARMACEUTICA
COM
                                          147,508.48          2,608   X          5            2,608
NRG ENERGY          Equity  629377102     422,086.00         11,564   X          5           11,564
INC COM
NTL INC COM         Equity  629407107     630,371.72         13,612   X          5           13,612
NABISCO GROUP       Equity  62952P102   2,641,522.50         92,685   X          5           92,685
HLDG CP COM
NABORS INDS         Equity  629568106  43,030,880.00        821,200   X          1          804,900
INC COM
                                                                      X          1                                      16,300
                                        1,915,115.20         36,548   X          5           36,548
NATIONAL CITY       Equity  635405103   2,850,670.76        128,873   X          5          128,873
CORP COM
NATIONAL COMM       Equity  635449101     570,024.78         28,587   X          5           28,587
BANCORP COM
NATIONAL DATA       Equity  635621105     311,399.71          9,491   X          5            9,491
CORP COM
NATIONAL FUEL       Equity  636180101   6,679,366.20        119,100   X          3           54,200
GAS N J COM
                                                                      X          3                         64,900
                                          459,872.40          8,200   X          5            8,200
NATIONAL GOLF       Equity  63623G109   6,129,750.00        297,200   X          3          134,300
PPTYS COM
                                                                      X          3                        162,900
                                           33,515.63          1,625   X          5            1,625
NATIONAL            Equity  63633D104     335,326.50         49,678   X          5           49,678
HEALTH INVS
COM
NATIONAL            Equity  636518102     434,758.48          9,854   X          5            9,854
INSTRS CORP
COM
NATIONAL-           Equity  637071101     211,031.25          6,753   X          5            6,753
OILWELL INC COM
NATIONAL            Equity  637215104     274,789.32          9,178   X          5            9,178
PRESTO INDS
COM
NATIONAL            Equity  637229105   2,524,171.80        181,100   X          1          181,100
PROCESSING
COM
                                          150,265.58         10,781   X          5           10,781
NATIONAL            Equity  637640103   1,816,200.75         45,123   X          5           45,123
SEMICONDUCTOR
COM
NATIONAL SVC        Equity  637657107     396,226.92         20,257   X          5           20,257
INDS INC COM
NATIONAL STEEL      Equity  637844309      30,366.00         10,122   X          5           10,122
CORP B
NATIONWIDE          Equity  638620104     186,657.40         11,710   X          5           11,710
HEALTH PPTY
COM
NATURAL             Equity  638882100   5,342,042.10         99,300   X          1           91,800
MICROSYSTEMS
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 52            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                                       7,500
                                          372,221.44          6,919   X          5            6,919
NAVISTAR INTL       Equity  63934E108     397,363.68         13,272   X          5           13,272
CORP NEW COM
NAVIGANT            Equity  63935N107     174,628.16         50,764   X          5           50,764
CONSULTING
COM
NEIMAN MARCUS       Equity  640204202     622,296.52         19,183   X          5           19,183
GROUP CL A
NETWORKS            Equity  640938106  34,822,137.50      1,539,100   X          1        1,500,200
ASSOCS INC COM
                                                                      X          1                                      38,900
                                          910,384.75         40,238   X          5           40,238
NETEGRITY INC       Equity  64110P107     319,270.00          4,561   X          5            4,561
COM
NETRO CORP          Equity  64114R109  11,974,425.00        202,100   X          2          202,100
                                          467,482.50          7,890   X          5            7,890
NETIQ CORP          Equity  64115P102  17,381,574.00        264,600   X          2          264,600
                                          267,949.51          4,079   X          5            4,079
NETWORK             Equity  64120L104     433,075.00          3,400   X          1            3,400
APPLIANCE INC
COM
                                      347,721,012.50      2,729,900   X          2        2,727,400
                                                                      X          2                                       2,500
                                       11,409,870.38         89,577   X          5           89,577
                                          505,041.88          3,965   X          6            3,965
NEW CENTURY         Equity  64352D101     139,358.66         11,993   X          5           11,993
FINANCIAL COM
NEW PLAN RLTY       Equity  648053106   5,301,442.50        387,320   X          3          182,700
TR SH BEN INT
                                                                      X          3                        204,620
                                          346,896.00         25,344   X          5           25,344
NEW YORK            Equity  650111107   2,557,312.05         65,055   X          5           65,055
TIMES CO CL A
NEWELL              Equity  651229106   1,155,121.21         50,641   X          5           50,641
RUBBERMAID
INC COM
                                          180,199.00          7,900   X          6            7,500
                                                                      X          6                                         400
NEWFIELD EXPL       Equity  651290108     636,991.67         13,643   X          5           13,643
CO COM
NEWMONT             Equity  651639106     419,407.00         24,671   X          5           24,671
MINING CORP
COM
NEWPARK RES         Equity  651718504  14,812,950.00      1,601,400   X          2        1,601,400
INC COM PAR
$.01NEW
                                          260,026.75         28,111   X          5           28,111
NEWPORT CORP        Equity  651824104   3,806,457.40         23,900   X          1           23,900
                                       32,243,401.70        202,450   X          2          201,950
                                                                      X          2                                         500
                                          482,894.51          3,032   X          5            3,032
NEWPORT NEWS        Equity  652228107   7,408,450.00        170,800   X          3           72,700
SHIPBLDG COM
                                                                      X          3                         98,100
                                          655,830.00         15,120   X          5           15,120
NEWS CORP LTD       Equity  652487802 105,822,849.56      3,965,259   X          6        3,178,419
SP ADR PFD
                                                                      X          6                                     786,840
NEXTEL              Equity  65332V103   6,490,676.50        138,838   X          5          138,838
COMMUNICATION
NEXTLINK            Equity  65333H707  21,142,152.00        600,800   X          2          600,800
COMMUNICATION
CL A
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 53            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                        1,721,635.56         48,924   X          5           48,924
NIAGARA             Equity  653520106  22,522,500.00      1,430,000   X          2        1,430,000
MOHAWK
HOLDINGS INC
                                        1,888,488.00        119,904   X          5          119,904
NICOR INC COM       Equity  654086107  34,405,701.75        950,250   X          3          556,950
                                                                      X          3                        393,300
                                          241,102.41          6,659   X          5            6,659
NIKE INC CL B       Equity  654106103     883,323.00         22,050   X          5           22,050
NIKU CORP COM       Equity  654113109   9,777,244.00        401,200   X          2          401,200
                                           12,185.00            500   X          5              500
NISOURCE INC        Equity  65473P105     693,229.02         28,446   X          5           28,446
COM
NOBLE               Equity  654894104  36,363,937.50        979,500   X          1          960,500
AFFILIATES INC
COM
                                                                      X          1                                      19,000
                                          576,736.88         15,535   X          5           15,535
NOKIA CORP          Equity  654902204 107,820,212.50      2,708,200   X          2        2,698,200
SPON ADR
                                                                      X          2                                      10,000
                                       58,468,279.19      1,468,591   X          6          465,391
                                                                      X          6                                   1,003,200
NOBLE DRILLING      Equity  655042109  37,223,550.00        737,100   X          1          722,600
CORP COM
                                                                      X          1                                      14,500
                                        1,787,700.00         35,400   X          5           35,400
NORDSON CORP        Equity  655663102     343,441.44         12,076   X          5           12,076
COM
NORDSTROM INC       Equity  655664100     266,433.88         17,123   X          5           17,123
COM
NORFOLK             Equity  655844108   1,527,015.14        104,447   X          5          104,447
SOUTHERN
CORP COM
NORTEL              Equity  656568102  32,709,054.00        549,732   X          1          535,000
NETWORKS
CORP NEW SCOM
                                                                      X          1                                      14,732
                                      207,861,822.00      3,493,476   X          2        3,483,476
                                                                      X          2                                      10,000
                                       17,955,434.00        301,772   X          5          301,772
                                          377,527.50          6,345   X          6            6,345
NORTH FORK          Equity  659424105     319,694.94         14,787   X          5           14,787
BANCORP NY
COM
                                           64,860.00          3,000   X          6                                       3,000
NORTHEAST           Equity  664397106  38,656,691.20      1,782,400   X          4        1,782,400
UTILS COM
                                        2,686,774.50        123,883   X          5          123,883
NORTHERN TR         Equity  665859104  47,678,755.00        536,500   X          2          531,500
CORP COM
                                                                      X          2                                       5,000
                                        4,129,344.55         46,465   X          5           46,465
NORTHPOINT          Equity  666610100     126,636.99         14,277   X          5           14,277
COMMUN HLDG
COM
NORTHROP            Equity  666807102  38,758,187.50        426,500   X          1          416,000
GRUMMAN CORP
COM
                                                                      X          1                                      10,500
                                        1,817,500.00         20,000   X          2           20,000
                                       25,463,175.00        280,200   X          3          136,150
                                                                      X          3                        144,050
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 54            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                        1,406,563.25         15,478   X          5           15,478
NORTHWEST           Equity  667655104   6,397,133.60        281,000   X          3          124,800
NAT GAS CO COM
                                                                      X          3                        156,200
                                          207,622.27          9,120   X          5            9,120
NUANCE              Equity  669967101     216,243.13          1,777   X          5            1,777
COMMUNICATION
COM
NOVELL INC COM      Equity  670006105     739,893.84         74,436   X          5           74,436
NOVELLUS SYS        Equity  670008101  16,562,459.10        355,700   X          1          347,900
INC COM
                                                                      X          1                                       7,800
                                        2,729,895.56         58,628   X          5           58,628
NOVEN               Equity  670009109  11,123,550.00        260,200   X          2          260,200
PHARMACEUTICA
COM
                                           80,156.25          1,875   X          5            1,875
NOVOSTE CORP        Equity  67010C100     888,250.00         20,900   X          2           20,900
COM
                                          126,990.00          2,988   X          5            2,988
NU SKIN ASIA INC    Equity  67018T105     104,000.20         15,710   X          5           15,710
CL A
NSTAR COM           Equity  67019E107     491,009.75         12,199   X          5           12,199
NUCOR CORP          Equity  670346105     488,275.32         16,211   X          5           16,211
COM
NVIDIA CORP         Equity  67066G104   5,935,937.50         72,500   X          1           67,100
COM
                                                                      X          1                                       5,400
                                        1,116,120.00         13,632   X          5           13,632
OGE ENERGY          Equity  670837103   6,928,633.60        324,800   X          3          154,900
CORP COM
                                                                      X          3                        169,900
                                          594,565.50         27,872   X          5           27,872
OM GROUP INC        Equity  670872100     315,198.12          7,226   X          5            7,226
COM
OSI                 Equity  671040103      77,000.00          1,100   X          2            1,100
PHARMACEUTICA
COM
                                          311,150.00          4,445   X          5            4,445
OAK                 Equity  671802106   3,980,845.13        145,419   X          1          145,419
TECHNOLOGY
INC COM
                                          159,432.00          5,824   X          5            5,824
OAKLEY INC COM      Equity  673662102   5,247,824.40        298,800   X          1          276,700
                                                                      X          1                                      22,100
                                          242,861.16         13,828   X          5           13,828
OCCIDENTAL          Equity  674599105   2,375,087.19        108,899   X          5          108,899
PETE CP DEL
COM
OCEAN ENERGY        Equity  67481E106  42,307,250.00      2,729,500   X          1        2,643,500
INC COM NEW
                                                                      X          1                                      86,000
                                          750,990.50         48,451   X          5           48,451
OFFICE DEPOT        Equity  676220106     359,869.18         46,078   X          5           46,078
INC COM
OFFICEMAX INC       Equity  67622M108      45,115.88         12,673   X          5           12,673
COM
OFFSHORE            Equity  676255102     319,122.46         17,858   X          5           17,858
LOGISTICS INC
COM
OGDEN CORP          Equity  676346109  10,591,716.00        781,100   X          2          781,100
COM
                                          351,339.60         25,910   X          5           25,910
OHIO CAS CORP       Equity  677240103      81,297.82         12,823   X          5           12,823
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 55            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
OLD KENT FINL       Equity  679833103     401,079.46         13,859   X          5           13,859
CORP COM
OLD REP INTL        Equity  680223104  30,959,455.80      1,286,600   X          1        1,253,800
CORP COM
                                                                      X          1                                      32,800
                                          965,985.07         40,144   X          5           40,144
OLIN CORP COM       Equity  680665205   6,151,250.00        380,000   X          3          164,300
PAR $1
                                                                      X          3                        215,700
                                          198,507.31         12,263   X          5           12,263
OMNICARE INC        Equity  681904108     542,695.92         33,666   X          5           33,666
COM
                                        7,892,110.20        489,585   X          6          489,585
OMNICOM             Equity  681919106  78,096,858.00      1,070,700   X          2        1,065,700
GROUP INC COM
                                                                      X          2                                       5,000
                                        2,444,875.86         33,519   X          5           33,519
                                       12,668,948.60        173,690   X          6          149,640
                                                                      X          6                                      24,050
OMEGA               Equity  681936100     444,615.32         71,828   X          5           71,828
HEALTHCARE
INVS COM
OMEGA FINL          Equity  682092101     283,049.25          9,357   X          5            9,357
CORP COM
OMNOVA              Equity  682129101   4,947,843.75        889,500   X          3          465,300
SOLUTIONS INC
COM
                                                                      X          3                        424,200
                                            2,931.44            527   X          5              527
ON ASSIGNMENT       Equity  682159108     213,880.66          6,818   X          5            6,818
INC COM
ONEOK INC COM       Equity  682680103   3,006,309.60         75,600   X          1           69,500
                                                                      X          1                                       6,100
                                          505,624.69         12,715   X          5           12,715
ONI SYSTEMS         Equity  68273F103   2,589,375.00         30,000   X          2           30,000
CORP
ON2 COM INC         Equity  68338A107      25,163.94         10,106   X          5           10,106
COM
OPEN MKT INC        Equity  68370M100      81,709.08         13,011   X          5           13,011
COM
OPTIMAL             Equity  68388R208  16,774,187.50        416,750   X          2          416,750
ROBOTICS CORP
ORACLE CORP         Equity  68389X105  27,563,917.50        350,018   X          1          341,700
COM
                                                                      X          1                                       8,318
                                      196,993,125.00      2,501,500   X          2        2,496,500
                                                                      X          2                                       5,000
                                       50,832,337.50        645,490   X          5          645,490
                                          333,900.00          4,240   X          6            4,240
ORBITAL             Equity  685564106  11,091,924.00      1,325,200   X          2        1,325,200
SCIENCES CORP
COM
                                          119,958.84         14,332   X          5           14,332
ORTHODONTIC         Equity  68750P103     424,569.26         12,746   X          5           12,746
CTRS AMER COM
OSHKOSH             Equity  688239201   7,676,375.00        198,100   X          1          183,500
TRUCK CORP
COM
                                                                      X          1                                      14,600
                                          142,716.25          3,683   X          5            3,683
O2WIRELESS          Equity  689803104  14,320,218.75        741,500   X          2          741,500
SOLUTIONS INC
OUTBACK             Equity  689899102     332,436.96         12,258   X          5           12,258
STEAKHOUSE
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 56            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
OVERSEAS            Equity  690368105     272,057.80          9,940   X          5            9,940
SHIPHOLDNG GP
COM
OWENS & MINOR       Equity  690732102   6,128,325.00        389,100   X          3          168,600
INC
                                                                      X          3                        220,500
                                          235,478.25         14,951   X          5           14,951
OWENS               Equity  69073F103     148,797.66         56,793   X          5           56,793
CORNING COM
OWENS ILL INC       Equity  690768403     272,209.00         29,428   X          5           29,428
COM NEW
OXFORD HEALTH       Equity  691471106     993,931.12         32,344   X          5           32,344
PLANS COM
P-COM INC COM       Equity  693262107     128,103.62         19,351   X          5           19,351
PECO ENERGY         Equity  693304107  34,979,493.96        577,429   X          1          563,500
CO COM
                                                                      X          1                                      13,929
                                        1,665,895.00         27,500   X          2           27,500
                                        4,842,181.27         79,933   X          5           79,933
PG&E CORP COM       Equity  69331C108  10,522,650.00        435,000   X          2          435,000
                                        2,659,037.37        109,923   X          5          109,923
PE CORP COM PE      Equity  69332S102 158,929,300.00      1,364,200   X          2        1,364,200
BIO GRP
                                        6,397,597.50         54,915   X          5           54,915
PE CORP CELERA      Equity  69332S201     996,200.00         10,000   X          2           10,000
GEN GRP
                                          848,762.40          8,520   X          5            8,520
PMC-SIERRA INC      Equity  69344F106 224,591,850.00      1,043,400   X          2        1,042,500
COM
                                                                      X          2                                         900
                                        7,018,441.50         32,606   X          5           32,606
                                          419,737.50          1,950   X          6            1,950
PMI GROUP INC       Equity  69344M101  36,205,600.00        534,400   X          1          520,600
COM
                                                                      X          1                                      13,800
                                          557,311.50          8,226   X          5            8,226
PNC BK CORP         Equity  693475105      13,000.00            200   X          2              200
COM
                                       27,881,750.00        428,950   X          3          205,500
                                                                      X          3                        223,450
                                        3,220,490.00         49,546   X          5           49,546
                                       21,417,500.00        329,500   X          6          329,500
PPG INDS INC        Equity  693506107     688,145.22         17,338   X          5           17,338
COM
PPL CORP            Equity  69351T106  37,125,797.40        888,900   X          1          865,800
                                                                      X          1                                      23,100
                                        1,164,477.85         27,881   X          5           27,881
PS BUSINESS         Equity  69360J107     234,295.50          8,598   X          5            8,598
PKS INC CA COM
PSS WORLD MED       Equity  69366A100      85,413.90         23,595   X          5           23,595
PACCAR INC COM      Equity  693718108   4,738,751.02        127,867   X          5          127,867
PACIFIC CENTY       Equity  694058108   7,233,600.00        422,400   X          3          177,400
FINL CP COM
                                                                      X          3                        245,000
                                           92,594.88          5,407   X          5            5,407
PACIFIC             Equity  694873100     258,018.75         13,761   X          5           13,761
SUNWEAR CA
INC COM
PACIFICARE HLT      Equity  695112102   7,435,950.00        213,600   X          3          167,200
SYS DEL COM
                                                                      X          3                         46,400
                                          911,460.88         26,182   X          5           26,182
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 57            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
PACKETEER INC       Equity  695210104  16,126,397.00        425,050   X          2          425,050
COM
                                          174,865.46          4,609   X          5            4,609
PACTIV CORP         Equity  695257105   5,251,412.50        469,400   X          3           63,300
COM
                                                                      X          3                        406,100
                                          844,141.63         75,454   X          5           75,454
PAGING              Equity  695542100       2,663.43         12,683   X          5           12,683
NETWORK INC
COM
PAINE WEBBER        Equity  695629105   2,627,524.64         38,572   X          5           38,572
GROUP INC COM
PAIN                Equity  69562K100   4,447,906.25        224,500   X          2          224,500
THERAPEUTICS
INC.
PALL CORP COM       Equity  696429307     683,303.92         34,268   X          5           34,268
PALM INC COM        Equity  696642107  11,720,473.20        221,400   X          1          221,400
                                       71,619,820.20      1,352,900   X          2        1,352,900
                                        7,175,904.71        135,553   X          5          135,553
PARAMETRIC          Equity  699173100     721,121.04         65,916   X          5           65,916
TECH CORP COM
PARK NATL           Equity  700658107     365,856.00          3,811   X          5            3,811
CORP COM
PARK PL ENTMT       Equity  700690100     572,004.72         37,831   X          5           37,831
CORP COM
PARKER              Equity  701094104  11,525,625.00        341,500   X          3          251,500
HANNIFIN CORP
COM
                                                                      X          3                         90,000
                                        1,453,477.50         43,066   X          5           43,066
                                       30,305,812.50        897,950   X          6          781,450
                                                                      X          6                                     116,500
PARKWAY PPTYS       Equity  70159Q104   7,179,700.00        235,400   X          1          218,100
INC SHS
                                                                      X          1                                      17,300
                                           45,597.50          1,495   X          5            1,495
PATINA OIL &        Equity  703224105   6,500,000.00        325,000   X          1          325,000
GAS CORP
COM
                                            9,160.00            458   X          5              458
Pathmark Stores     Equity  70322A101   1,797,082.35        145,950   X          4          145,950
Inc.
PATTERSON           Equity  703412106     618,682.50         27,497   X          5           27,497
DENTAL CO COM
PATTERSON           Equity  703414102  38,891,875.00      1,131,400   X          1        1,088,300
ENERGY INC COM
                                                                      X          1                                      43,100
                                          162,800.00          4,736   X          5            4,736
PAYCHEX INC         Equity  704326107   9,208,500.00        175,400   X          1          175,400
COM
                                        8,718,150.00        166,060   X          5          166,060
PAYLESS             Equity  704379106     466,648.00          8,333   X          5            8,333
SHOESOURCE
INC COM
PEGASUS             Equity  705904100  29,256,536.00        605,600   X          2          605,600
COMMUNICATION
CORP
                                          121,209.79          2,509   X          5            2,509
PEGASUS             Equity  705906105     308,598.12         15,777   X          5           15,777
SYSTEMS INC
COM
PENN TREATY         Equity  707874103     309,139.05         16,995   X          5           16,995
AMERN CORP
COM
PENNEY J C INC      Equity  708160106     590,625.00         50,000   X          2           50,000
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 58            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                        9,271,631.25        784,900   X          3          116,700
                                                                      X          3                        668,200
                                          456,139.69         38,615   X          5           38,615
PENNSYLVANIA        Equity  709102107     293,497.76         16,829   X          5           16,829
RL EST TR SH
BEN IN
PENNZOIL-           Equity  709323109     107,100.00         10,200   X          3                         10,200
QUAKER ST CO
NEW
                                          340,441.50         32,423   X          5           32,423
PEOPLES             Equity  711030106   6,784,969.92        203,200   X          3           95,900
ENERGY CORP
COM
                                                                      X          3                        107,300
                                          290,164.31          8,690   X          5            8,690
PEOPLESOFT INC      Equity  712713106   1,766,813.84         63,236   X          5           63,236
COM
PEPSI BOTTLING      Equity  713409100  43,091,587.50      1,433,400   X          1        1,404,300
GROUP COM
                                                                      X          1                                      29,100
                                          601,250.00         20,000   X          2           20,000
                                       13,155,350.00        437,600   X          3          332,000
                                                                      X          3                        105,600
                                          746,391.75         24,828   X          5           24,828
PEPSIAMERICAS       Equity  71343P101     104,041.00         29,726   X          5           29,726
INC CL B
PEPSICO INC COM     Equity  713448108     220,800.00          4,800   X          1            4,800
                                       35,834,000.00        779,000   X          2          779,000
                                       17,479,724.00        379,994   X          5          379,994
                                        3,472,218.00         75,483   X          6           52,317
                                                                      X          6                                      23,166
PEREGRINE           Equity  71366Q101     354,821.96         18,734   X          5           18,734
SYSTEMS INC
COM
PERICOM             Equity  713831105   4,507,560.00        120,000   X          1          120,000
SEMICONDUCTOR
CORP COM
                                           21,260.66            566   X          5              566
PERKINELMER         Equity  714046109  66,299,000.00        635,200   X          1          612,200
INC COM
                                                                      X          1                                      23,000
                                        1,902,756.25         18,230   X          5           18,230
PERRIGO CO COM      Equity  714290103     112,948.92         16,513   X          5           16,513
PETSMART INC        Equity  716768106     199,024.84         42,436   X          5           42,436
COM
PFIZER INC COM      Equity  717081103      40,446.00            900   X          2              900
                                       68,996,786.46      1,535,309   X          5        1,535,309
                                          592,444.02         13,183   X          6           10,270
                                                                      X          6                                       2,913
PHARMACOPEIA        Equity  71713B104   2,787,150.00        109,300   X          2          109,300
INC COM
                                           67,779.00          2,658   X          5            2,658
PHARMACIA           Equity  71713U102  33,502,326.06        556,628   X          1          543,400
CORP
                                                                      X          1                                      13,228
                                          866,707.20         14,400   X          2           14,400
                                       20,229,487.74        336,105   X          5          336,105
                                      188,516,339.50      3,132,125   X          6        2,451,715
                                                                      X          6                                     680,410
PHELPS DODGE        Equity  717265102     453,363.25         10,859   X          5           10,859
CORP COM
PHILIP MORRIS       Equity  718154107   8,166,656.00        277,400   X          2          277,400
COS INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 59            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
                                       18,192,448.00        617,950   X          5          617,950
                                        4,358,886.40        148,060   X          6           58,750
                                                                      X          6                                      89,310
PHILLIPS PETE       Equity  718507106   3,722,141.75         59,317   X          5           59,317
CO COM
PHOENIX             Equity  719085102     165,819.00         10,698   X          5           10,698
INVESTMENT
PARTNERS LTD
PHONE.COM INC       Equity  71920Q100 182,110,136.00      1,602,800   X          2        1,602,800
                                          108,620.72            956   X          5              956
PHOTON              Equity  719364101   3,873,150.00        102,600   X          1           98,700
DYNAMICS INC
COM
                                                                      X          1                                       3,900
                                           43,639.00          1,156   X          5            1,156
PIEDMONT NAT        Equity  720186105     142,934.16          4,668   X          5            4,668
GAS INC COM
                                        5,846,889.00        190,950   X          6          190,950
PIER 1 IMPORTS      Equity  720279108   7,108,368.30        524,100   X          1          485,400
INC COM
                                                                      X          1                                      38,700
                                          485,609.65         35,804   X          5           35,804
PILLOWTEX           Equity  721501104      34,153.00         11,900   X          5           11,900
CORP COM
PINNACLE            Equity  723481107     160,470.00         14,264   X          5           14,264
SYSTEMS INC
PINNACLE WEST       Equity  723484101  28,651,070.00        563,000   X          1          549,400
CAP CORP COM
                                                                      X          1                                      13,600
                                          544,879.23         10,707   X          5           10,707
PIONEER GROUP       Equity  723684106     390,321.69          8,877   X          5            8,877
INC COM
PIONEER NAT         Equity  723787107     602,039.13         42,427   X          5           42,427
RES CO COM
PIONEER STD         Equity  723877106      37,479.84          2,764   X          5            2,764
ELECTRS COM
                                        2,957,503.80        218,105   X          6          218,105
PITNEY BOWES        Equity  724479100   1,118,952.24         28,371   X          5           28,371
INC COM
PITTSTON CO         Equity  725701106     372,527.00         24,034   X          5           24,034
COM BRINKS GRP
PLACER DOME         Equity  725906101     485,083.84         51,386   X          5           51,386
INC COM
PLAINS RES INC      Equity  726540503     488,393.34         25,882   X          5           25,882
COM PAR $0.10
PLANTRONICS         Equity  727493108   6,604,400.00        173,800   X          2          173,800
INC
                                          704,026.00         18,527   X          5           18,527
PLEXUS CORP         Equity  729132100   1,205,832.00         17,104   X          5           17,104
COM
POGO                Equity  730448107     410,207.53         16,169   X          5           16,169
PRODUCING CO
COM
POLARIS INDS        Equity  731068102     365,789.25         10,377   X          5           10,377
INC COM
POLO RALPH          Equity  731572103     226,453.76         14,048   X          5           14,048
LAUREN CORP
CL A
POLYCOM INC         Equity  73172K104  10,554,314.40        157,600   X          1          146,000
COM
                                                                      X          1                                      11,600
                                       33,772,466.70        504,300   X          2          504,300
                                          957,723.67         14,301   X          5           14,301
POLYONE CORP.       Equity  73179P106   5,259,150.00        719,200   X          3          349,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 60            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                        370,200
                                          151,083.56         20,661   X          5           20,661
POPE & TALBOT       Equity  732827100   5,102,406.25        356,500   X          3          150,900
INC COM
                                                                      X          3                        205,600
                                           22,971.56          1,605   X          5            1,605
PORTAL              Equity  736126103   2,872,000.00         71,800   X          1           71,800
SOFTWARE INC
COM
                                          252,160.00          6,304   X          5            6,304
POST PPTYS INC      Equity  737464107     460,342.08         10,568   X          5           10,568
COM
POTOMAC ELEC        Equity  737679100     494,907.93         19,647   X          5           19,647
PWR CO COM
POWER-ONE INC       Equity  739308104  33,223,223.48        548,999   X          1          531,199
COM
                                                                      X          1                                      17,800
                                          512,752.07          8,473   X          5            8,473
POWERWAVE           Equity  739363109     706,393.88         18,604   X          5           18,604
TECHNOLOGIES
COM
POWERTEL INC        Equity  73936C109     235,481.76          3,096   X          5            3,096
COM
PRAXAIR INC COM     Equity  74005P104     894,787.28         23,944   X          5           23,944
PRE PAID LEGAL      Equity  740065107     104,328.99          3,229   X          5            3,229
SVCS COM
                                        3,748,929.30        116,030   X          6          116,030
PRECISION           Equity  740189105   6,270,475.00        163,400   X          3           77,200
CASTPARTS CP
COM
                                                                      X          3                         86,200
                                        1,140,812.00         29,728   X          5           29,728
                                        4,505,992.50        117,420   X          6          117,420
PRENTISS PPTYS      Equity  740706106   8,072,625.00        309,000   X          1          286,200
TR SH BEN INT
                                                                      X          1                                      22,800
                                          300,960.00         11,520   X          5           11,520
PRESIDENTIAL        Equity  740884101   5,997,406.25        401,500   X          3          176,500
LIFE CORP COM
                                                                      X          3                        225,000
                                           21,226.19          1,421   X          5            1,421
PRICE               Equity  741437305     244,695.60         12,510   X          5           12,510
COMMUNICATION
COM NEW
PRICE T ROWE &      Equity  741477103   2,774,060.12         59,098   X          5           59,098
ASSOC COM
PRIMEDIA INC        Equity  74157K101     246,712.27         15,071   X          5           15,071
COM
PRIMEX              Equity  741597108   4,385,531.25        150,900   X          1          150,900
TECHNOLOGIES
COM
                                        7,966,031.25        274,100   X          3          119,600
                                                                      X          3                        154,500
                                              581.25             20   X          5               20
PRIMA ENERGY        Equity  741901201   7,987,500.00        150,000   X          1          150,000
CORP COM
                                           56,817.75          1,067   X          5            1,067
PRIME               Equity  741917108     112,200.44         11,087   X          5           11,087
HOSPITALITY
CORP COM
PRIDE INTL INC      Equity  741932107     248,411.00          9,374   X          5            9,374
COM
PRISON REALTY       Equity  74264N105      17,821.44         14,976   X          5           14,976
TR COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 61            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
PRIORITY            Equity  74264T102     317,505.00          4,164   X          5            4,164
HEALTHCARE CL
B
PROBUSINESS         Equity  742674104   6,107,475.00        201,900   X          2          201,900
SERVICES COM
                                           20,116.25            665   X          5              665
PROCTER &           Equity  742718109  15,942,315.00        237,945   X          5          237,945
GAMBLE CO COM
                                        2,686,030.00         40,090   X          6           29,090
                                                                      X          6                                      11,000
PROGRESS            Equity  743312100     153,647.22         11,281   X          5           11,281
SOFTWARE
CORP COM
PROGRESSIVE         Equity  743315103   2,456,100.00         30,000   X          2           30,000
CORP OHIO COM
                                        1,000,697.01         12,223   X          5           12,223
PROLOGIS TR SH      Equity  743410102      59,873.75          2,521   X          5            2,521
BEN INT
                                       20,586,001.25        866,779   X          6          668,743
                                                                      X          6                                     198,036
PROTECTIVE          Equity  743674103     289,051.99          9,677   X          5            9,677
LIFE CORP COM
                                        9,952,684.00        333,200   X          6          264,700
                                                                      X          6                                      68,500
PROTEIN DESIGN      Equity  74369L103   1,113,179.00          9,238   X          5            9,238
LABS COM
PROTON              Equity  74371K101   1,145,000.00         40,000   X          2           40,000
ENERGY
SYSTEMS
PROVIDENCE &        Equity  743737108   1,496,962.50        210,100   X          1          210,100
WORCESTER RR
COCOM
PROVIDENT           Equity  743859100     174,267.00         10,404   X          5           10,404
BANKSHARES
COM
PROVINCE            Equity  743977100     295,755.70          7,405   X          5            7,405
HEALTHCARE CO
COM
PROVIDIAN FINL      Equity  74406A102  52,035,583.00        409,729   X          1          400,979
CORP COM
                                                                      X          1                                       8,750
                                        4,855,464.00         38,232   X          5           38,232
PROXIM INC COM      Equity  744284100     412,114.50          9,261   X          5            9,261
PUBLIC SVC CO N     Equity  744499104   7,285,446.00        281,400   X          1          260,600
MEX COM
                                                                      X          1                                      20,800
                                        7,220,721.00        278,900   X          3          121,300
                                                                      X          3                        157,600
                                          454,757.85         17,565   X          5           17,565
PUBLIC SVC          Equity  744573106   3,947,283.73         88,300   X          2           88,300
ENTERPRISE
COM
                                       27,002,907.55        604,050   X          3          276,000
                                                                      X          3                        328,050
                                        3,210,889.56         71,827   X          5           71,827
PUGET SOUND         Equity  745332106   1,346,563.49         53,077   X          5           53,077
ENERGY INC COM
PULTE CORP COM      Equity  745867101     484,077.00         14,669   X          5           14,669
PURCHASEPRO         Equity  746144104   5,368,857.00         61,100   X          2           61,100
COM COM
                                           81,279.75            925   X          5              925
PURE RES INC        Equity  74622E102     229,402.94         10,826   X          5           10,826
COM
QLOGIC CORP         Equity  747277101  69,854,400.00        793,800   X          2          793,800
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 62            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                        2,533,256.00         28,787   X          5           28,787
QUAKER OATS         Equity  747402105  31,430,111.63        397,221   X          1          387,700
CO COM
                                                                      X          1                                       9,521
                                        4,523,259.75         57,166   X          5           57,166
QUALCOMM INC        Equity  747525103  11,121,412.50        156,090   X          5          156,090
COM
QUANEX CORP         Equity  747620102     209,469.40         10,990   X          5           10,990
COM
QUANTA SVCS         Equity  74762E102   3,744,900.00        131,400   X          1          121,750
INC COM
                                                                      X          1                                       9,650
                                          224,665.50          7,883   X          5            7,883
QUANTUM CORP        Equity  747906204     567,716.82         37,697   X          5           37,697
COM DSSG
QUANTUM CORP        Equity  747906303     169,198.68         17,022   X          5           17,022
COM HDDG
QUEST               Equity  74834L100  17,478,861.80        152,300   X          1          147,000
DIAGNOSTICS
INC COM
                                                                      X          1                                       5,300
                                       43,461,884.20        378,700   X          2          378,000
                                                                      X          2                                         700
                                          955,426.95          8,325   X          5            8,325
                                           28,691.50            250   X          6              250
QUESTAR CORP        Equity  748356102     481,641.39         17,319   X          5           17,319
COM
QUIKSILVER INC      Equity  74838C106     199,353.00         10,356   X          5           10,356
COM
QUINTILES           Equity  748767100     299,751.70         18,805   X          5           18,805
TRANSNATIONL
COM
QUIXOTE CORP        Equity  749056107   5,572,725.00        332,700   X          1          332,700
QUORUM              Equity  749084109     445,783.00         34,291   X          5           34,291
HEALTH GRP INC
COM
QWEST               Equity  749121109  13,904,094.42        289,307   X          5          289,307
COMMUNICATION
COM
R & B FALCON        Equity  74912E101   1,532,850.00         55,000   X          2           55,000
CORP
                                          573,090.81         20,563   X          5           20,563
Quest Trends        Equity  74912L105   1,968,750.00         25,000   X          4           25,000
Conv. Pfd. 144A
R H DONNELLEY       Equity   74955W30     277,411.20         13,135   X          5           13,135
CORP COM
R G S ENERGY        Equity  74956K104   6,872,952.83        244,100   X          3          108,200
GROUP INC COM
                                                                      X          3                        135,900
                                          278,691.06          9,898   X          5            9,898
RPM INC OHIO        Equity  749685103     233,467.14         25,769   X          5           25,769
COM
RSA SEC INC COM     Equity  749719100     512,783.04         11,892   X          5           11,892
RF                  Equity  749941100  22,720,000.00        710,000   X          2          707,600
MICRODEVICES
INC COM
                                                                      X          2                                       2,400
                                          422,848.00         13,214   X          5           13,214
                                          207,680.00          6,490   X          6            6,490
RADIAN GROUP        Equity  750236101   8,579,250.00        127,100   X          1          117,700
INC COM
                                                                      X          1                                       9,400
                                        2,121,997.50         31,437   X          5           31,437
RADIANT             Equity  75025N102  12,610,181.25        589,950   X          1          568,550
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 63            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
SYSTEMS INC
COM
                                                                      X          1                                      21,400
                                           31,528.13          1,475   X          5            1,475
RADIO ONE INC       Equity  75040P108     184,216.08         22,168   X          5           22,168
CL A
RADIOSHACK          Equity  750438103   3,720,108.78         57,569   X          5           57,569
CORP COM
RADISYS CORP        Equity  750459109     225,800.96          4,466   X          5            4,466
COM
RAMBUS INC DEL      Equity  750917106   1,306,930.64         16,556   X          5           16,556
COM
RALCORP HLDGS       Equity  751028101     325,635.44         23,062   X          5           23,062
INC NEW COM
RALSTON             Equity  751277302   2,888,734.91        121,939   X          5          121,939
PURINA CO COM
RAL-PUR GP
RARE                Equity  753820109   4,278,750.00        210,000   X          1          210,000
HOSPITALITY
INTL INC   COM
                                       10,261,359.38        503,625   X          2          503,625
                                            8,374.13            411   X          5              411
RATIONAL            Equity  75409P202 224,051,226.00      3,229,800   X          2        3,226,800
SOFTWARE
CORP COM NEW
                                                                      X          2                                       3,000
                                        4,978,546.16         71,768   X          5           71,768
                                          532,414.75          7,675   X          6            7,675
RAYMOND             Equity  754730109   7,661,262.50        232,600   X          3          118,100
JAMES FINL INC
COM
                                                                      X          3                        114,500
                                          369,262.31         11,211   X          5           11,211
RAYTHEON CO         Equity  755111309  29,573,285.00      1,080,500   X          2        1,080,500
CL A
                                           32,296.60          1,180   X          5            1,180
RAYTHEON CO         Equity  755111408     113,760.00          4,000   X          2            4,000
CL B
                                        2,389,415.04         84,016   X          5           84,016
                                          139,356.00          4,900   X          6              400
                                                                      X          6                                       4,500
READERS             Equity  755267101  31,410,913.50        889,500   X          1          866,600
DIGEST ASSN CL
A NON VTG
                                                                      X          1                                      22,900
                                          722,927.74         20,472   X          5           20,472
REALNETWORKS        Equity  75605L104     284,610.00          7,160   X          5            7,160
INC COM
RECKSON ASSOC       Equity  75621K106     351,211.50         13,773   X          5           13,773
REALTY CORP
REDBACK             Equity  757209101  36,621,200.00        223,300   X          1          219,300
NETWORKS INC
COM
                                                                      X          1                                       4,000
                                      202,572,800.00      1,235,200   X          2        1,235,200
                                        1,895,840.00         11,560   X          5           11,560
                                          489,540.00          2,985   X          6            2,985
REEBOK INTL         Equity  758110100     631,583.37         33,577   X          5           33,577
LTD COM
REGAL BELOIT        Equity  758750103   6,175,136.00        364,100   X          3          165,800
CORP COM
                                                                      X          3                        198,300
                                          105,304.64          6,209   X          5            6,209
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 64            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
REGIS CORP          Equity  758932107     162,765.00         10,851   X          5           10,851
MINN COM
REGIONS FINL        Equity  758940100     780,331.79         34,391   X          5           34,391
CORP COM
RELIANCE            Equity  759464100      41,070.00        205,350   X          5          205,350
GROUP HLDGS
COM
RELIANT ENERGY      Equity  75952J108  33,918,820.50        729,437   X          1          712,000
                                                                      X          1                                      17,437
                                        3,234,168.00         69,552   X          5           69,552
REPLIGEN CORP       Equity  759916109   2,478,260.25        347,826   X          2          347,826
RENAL CARE          Equity  759930100     238,280.14         12,797   X          5           12,797
GROUP INC COM
RENT WAY INC        Equity  76009U104     356,270.47         11,731   X          5           11,731
COM
REPSOL SA ADR       Equity  76026T205  20,475,206.25      1,118,100   X          3          509,000
                                                                      X          3                        609,100
REPUBLIC SEC        Equity  760758102      98,587.58         19,957   X          5           19,957
FINL CORP COM
REPUBLIC SVCS       Equity  760759100   1,525,856.00        116,300   X          2          116,300
INC CL A
                                          190,292.48         14,504   X          5           14,504
RESEARCH IN         Equity  760975102     985,625.00         10,000   X          2           10,000
MOTION
RESMED INC COM      Equity  761152107     366,062.50         11,714   X          5           11,714
RESOURCE            Equity  761197102     140,047.97         24,613   X          5           24,613
BANCSHARS
MTG COM
RESPIRONICS         Equity  761230101     233,960.42         14,018   X          5           14,018
INC COM
REYNOLDS R J        Equity  76182K105   7,780,248.00        241,248   X          3           35,582
TOB HLDGS COM
                                                                      X          3                        205,666
                                        2,895,663.00         89,788   X          5           89,788
RHYTHMS             Equity  762430205     101,057.44         13,712   X          5           13,712
NETCONNECTION
INC
RIO TINTO PLC       Equity  767204100   1,362,550.00         22,900   X          6           21,900
ADR SPO
                                                                      X          6                                       1,000
RITE AID CORP       Equity  767754104      40,960.00         10,240   X          5           10,240
COM
RIVIANA FOODS       Equity  769536103     679,181.25         40,700   X          3                         40,700
INC
                                           70,004.06          4,195   X          5            4,195
ROBERT HALF         Equity  770323103  35,078,528.00      1,011,200   X          2        1,011,200
INTL INC COM
                                        3,517,115.03        101,387   X          5          101,387
ROCKWELL INTL       Equity  773903109   1,240,068.50         40,994   X          5           40,994
CORP NEW COM
                                      123,246,818.75      4,074,275   X          6        3,446,915
                                                                      X          6                                     627,360
ROHM & HAAS CO      Equity  775371107     904,405.32         31,122   X          5           31,122
COM
ROLLINS INC COM     Equity  775711104     312,653.91         21,111   X          5           21,111
ROLLINS TRUCK       Equity  775741101   4,594,868.75        727,900   X          3          384,900
LEASING COM
                                                                      X          3                        343,000
                                           22,655.56          3,589   X          5            3,589
ROPER INDS INC      Equity  776696106     330,174.12          9,948   X          5            9,948
NEW COM
                                       19,995,912.92        602,468   X          6          558,468
                                                                      X          6                                      44,000
ROSS STORES         Equity  778296103     245,583.30         17,090   X          5           17,090
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 65            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ROWAN COS INC       Equity  779382100   1,039,070.00         35,830   X          5           35,830
COM
ROYAL DUTCH         Equity  780257804  23,473,039.44        391,622   X          1          381,000
PETE CO NY REG
GLD1.
                                                                      X          1                                      10,622
                                       10,315,030.11        172,095   X          5          172,095
                                          305,683.80          5,100   X          6            1,600
                                                                      X          6                                       3,500
RUBY TUESDAY        Equity  781182100   5,625,000.00        500,000   X          1          462,700
INC COM
                                                                      X          1                                      37,300
                                          273,375.00         24,300   X          5           24,300
RUDDICK CORP        Equity  781258108     231,601.26         16,698   X          5           16,698
COM
RUSS BERRIE &       Equity  782233100   6,454,497.50        326,810   X          3          150,100
CO COM
                                                                      X          3                        176,710
                                          138,427.75          7,009   X          5            7,009
RUSSELL CORP        Equity  782352108   1,255,712.50         79,100   X          1           75,100
COM
                                                                      X          1                                       4,000
                                          174,942.50         11,020   X          5           11,020
RYANS FAMILY        Equity  783519101      81,137.19         10,551   X          5           10,551
STK HSE COM
RYDER SYS INC       Equity  783549108     296,293.92         16,068   X          5           16,068
COM
SBC                 Equity  78387G103     675,000.00         13,500   X          2           13,500
COMMUNICATION
INC COM
                                       38,473,250.00        769,465   X          5          769,465
                                          107,200.00          2,144   X          6            2,144
SBS                 Equity  78387P103   5,674,395.00        244,060   X          6          244,060
TECHNOLOGIES
INC COM
SCI SYS INC COM     Equity  783890106      65,600.00          1,600   X          2            1,600
                                        1,757,629.00         42,869   X          5           42,869
SDL INC COM         Equity  784076101  41,356,385.35        133,704   X          1          130,700
                                                                      X          1                                       3,004
                                      207,456,229.10        670,700   X          2          668,850
                                                                      X          2                                       1,850
                                        4,873,226.31         15,755   X          5           15,755
                                          303,126.74            980   X          6              980
SEI                 Equity  784117103   9,996,975.00        141,300   X          1          130,900
INVESTMENTS
CO COM
                                                                      X          1                                      10,400
                                       14,241,975.00        201,300   X          2          201,300
                                        1,489,782.75         21,057   X          5           21,057
SEI Trust I Conv    Equity  78411Y104   2,009,340.00         30,500   X          2           30,500
Pfd.
                                        3,623,400.00         55,000   X          4           55,000
SEMCO ENERGY        Equity  78412D109     165,919.15         10,795   X          5           10,795
INC COM
SJW CORP COM        Equity  784305104     443,175.00          3,732   X          5            3,732
SK TELECOM CO       Equity  78440P108   4,253,750.00        166,000   X          2          166,000
LTD ADR
SPS                 Equity  784626103     135,266.50          2,789   X          5            2,789
TECHNOLOGIES
INC COM
                                        8,467,615.00        174,590   X          6          174,590
SPX CORP COM        Equity  784635104   1,556,655.98         10,967   X          5           10,967
S3 INC COM          Equity  784849101     291,422.46         28,266   X          5           28,266
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 66            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
SABRE HLDGS         Equity  785905100          28.94              1   X          2                1
CORP CL A
                                          884,869.44         30,576   X          5           30,576
                                      325,937,357.74     11,262,521   X          6        9,340,106
                                                                      X          6                                   1,922,415
SAFECO CORP         Equity  786429100   5,872,811.00        215,516   X          5          215,516
COM
SAFEGUARD           Equity  786449108     281,433.16         14,114   X          5           14,114
SCIENTIFICS COM
SAFEWAY INC         Equity  786514208  39,126,364.83        838,039   X          1          818,400
COM NEW
                                                                      X          1                                      19,639
                                        6,459,238.11        138,349   X          5          138,349
ST JUDE MED         Equity  790849103     500,055.00          9,805   X          5            9,805
INC COM
ST MARY LD &        Equity  792228108  17,010,900.00        737,600   X          1          709,000
EXPL CO COM
                                                                      X          1                                      28,600
                                        7,405,368.75        321,100   X          3          138,300
                                                                      X          3                        182,800
                                          302,211.00         13,104   X          5           13,104
                                        4,903,894.69        212,635   X          6          212,635
ST PAUL COS INC     Equity  792860108   2,112,933.50         42,850   X          5           42,850
COM
SAKS HLDGS INC      Equity   79377W10     244,568.73         24,779   X          5           24,779
COM
SANDISK CORP        Equity  80004C101   7,769,700.00        116,400   X          1          112,900
COM
                                                                      X          1                                       3,500
                                           46,725.00            700   X          2              700
                                          458,172.00          6,864   X          5            6,864
SANMINA CORP        Equity  800907107  34,903,400.00        372,800   X          1          363,800
COM
                                                                      X          1                                       9,000
                                       94,158,662.50      1,005,700   X          2        1,004,900
                                                                      X          2                                         800
                                        4,357,588.38         46,543   X          5           46,543
SAPIENT CORP        Equity  803062108     954,953.61         23,469   X          5           23,469
COM
SARA LEE CORP       Equity  803111103   3,395,832.00        167,200   X          2          167,200
COM
                                        2,743,271.70        135,070   X          5          135,070
                                        2,364,084.00        116,400   X          6           80,600
                                                                      X          6                                      35,800
SATCON              Equity  803893106  10,807,225.00        302,300   X          2          302,300
TECHNOLOGY
CORP
SAWTEC INC          Equity  805468105      38,520.00          1,000   X          2            1,000
                                          257,852.88          6,694   X          5            6,694
SCANA CORP          Equity  80589M102   1,024,266.60         33,180   X          5           33,180
COM
SCHERING            Equity  806605101  35,915,857.86        771,339   X          1          753,000
PLOUGH CORP
COM
                                                                      X          1                                      18,339
                                          647,225.70         13,900   X          2           13,900
                                       12,365,363.41        265,562   X          5          265,562
                                        3,789,017.56         81,374   X          6           57,591
                                                                      X          6                                      23,783
SCHLUMBERGER        Equity  806857108     971,258.00         11,800   X          2           11,800
LTD COM
                                        8,583,862.97        104,287   X          5          104,287
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 67            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
SCHOLASTIC          Equity  807066105     342,585.36          4,306   X          5            4,306
CORP COM
SCHULMAN A INC      Equity  808194104     203,423.00         18,493   X          5           18,493
COM
SCHWAB              Equity  808513105   9,884,265.00        278,430   X          5          278,430
CHARLES CP
NEW COM
SCHWEITZER-         Equity  808541106     192,755.29         14,417   X          5           14,417
MAUDUIT COM
SCIENTIFIC          Equity  808655104  73,272,140.63      1,151,625   X          1        1,126,300
ATLANTA INC
COM
                                                                      X          1                                      25,325
                                      114,849,487.50      1,805,100   X          2        1,801,100
                                                                      X          2                                       4,000
                                        3,106,999.63         48,833   X          5           48,833
SEA                 Equity  811371707   5,669,600.00        243,200   X          3          110,700
CONTAINERS
LTD CL A
                                                                      X          3                        132,500
SEACHANGE           Equity  811699107   5,006,250.00        150,000   X          1          150,000
INTL INC
COM
                                           68,018.25          2,038   X          5            2,038
SEACOAST FINL       Equity  81170Q106     195,976.00         17,816   X          5           17,816
SVCS COM
SEAGATE             Equity  811804103   3,848,682.00         55,778   X          5           55,778
TECHNOLOGY
COM
SEAGRAM LTD         Equity  811850106   1,990,640.64         34,656   X          5           34,656
COM
SEALED AIR          Equity  81211K100     544,176.50         12,026   X          5           12,026
CORP COM
Sealed Air Corp.    Equity  81211K209   1,350,000.00         30,000   X          4           30,000
Conv. Pfd.
SEARS ROEBUCK       Equity  812387108  12,618,577.24        389,222   X          1          379,900
& CO COM
                                                                      X          1                                       9,322
                                       26,104,584.00        805,200   X          3          588,700
                                                                      X          3                        216,500
                                        2,986,692.50         92,125   X          5           92,125
SECURITY CAP        Equity  81413P204      65,286.18          3,447   X          5            3,447
GROUP INC CL B
                                        2,409,168.00        127,200   X          6           17,200
                                                                      X          6                                     110,000
SEMTECH CORP        Equity  816850101   1,347,710.49         32,577   X          5           32,577
COM
SEMPRA              Equity  816851109   2,152,856.93        103,453   X          5          103,453
ENERGY COM
SEMITOOL INC        Equity  816909105   2,562,600.00        200,000   X          1          200,000
COM
                                           11,531.70            900   X          5              900
SENIOR HSG          Equity  81721M109     173,408.06         18,626   X          5           18,626
PPTYS TR SH
BEN INT
SENSORMATIC         Equity  817265101     428,025.00         28,535   X          5           28,535
ELECTRS CP COM
SEPRACOR INC        Equity  817315104  30,991,494.00        252,600   X          2          252,600
COM
                                        2,797,332.00         22,800   X          5           22,800
SERENA              Equity  817492101   7,261,831.95        157,650   X          1          145,850
SOFTWARE INC
COM
                                                                      X          1                                      11,800
                                           40,581.50            881   X          5              881
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 68            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
SERVICE CORP        Equity  817565104      89,164.92         36,543   X          5           36,543
INTL COM
SERVICEMASTER       Equity  81760N109     123,345.39         12,497   X          5           12,497
COMPANY
SHAW GROUP          Equity  820280105  10,307,100.00        146,200   X          1          135,400
INC COM
                                                                      X          1                                      10,800
                                          219,043.50          3,107   X          5            3,107
SHAW INDS INC       Equity  820286102     299,404.00         16,184   X          5           16,184
COM
                                          652,587.50         35,275   X          6           26,025
                                                                      X          6                                       9,250
SHERWIN             Equity  824348106   1,564,818.25         73,225   X          5           73,225
WILLIAMS CO
COM
SHURGARD            Equity  82567D104   5,924,912.50        262,600   X          3          124,000
STORAGE CTRS
COM
                                                                      X          3                        138,600
                                           48,509.38          2,150   X          5            2,150
SIEBEL              Equity  826170102  41,733,358.65        374,919   X          1          366,100
                                                                      X          1                                       8,819
                                      267,396,088.60      2,402,200   X          2        2,402,200
                                       10,191,373.03         91,556   X          5           91,556
                                          573,261.95          5,150   X          6            5,150
SIERRA PAC RES      Equity  826428104     444,168.00         24,676   X          5           24,676
COM
SILICON             Equity  827056102     242,383.72         58,831   X          5           58,831
GRAPHICS INC
COM
SILICON VY          Equity  827064106   1,324,965.42         22,754   X          5           22,754
BANCSHARES
COM
SILVERSTREAM        Equity  827907106   3,012,000.00        100,000   X          2          100,000
SOFTWARE COM
                                            9,789.00            325   X          5              325
SIMON               Equity  828806109     282,194.16         12,039   X          5           12,039
PROPERTY
GROUP INC
                                          124,232.00          5,300   X          6                                       5,300
SINCLAIR            Equity  829226109     134,452.60         12,290   X          5           12,290
BROADCAST
GROUP-A
SIRIUS              Equity  82966U103  41,270,322.00        780,600   X          2          779,100
SATELLITE
RADIO COM
                                                                      X          2                                       1,500
                                          366,177.62          6,926   X          5            6,926
SKY FINL GROUP      Equity  83080P103     348,539.00         19,636   X          5           19,636
INC COM
SKYLINE CORP        Equity  830830105     246,258.36         11,556   X          5           11,556
COM
SKYWEST INC         Equity  830879102     435,266.25          8,493   X          5            8,493
SMITH INTL INC      Equity  832110100   1,356,424.36         16,631   X          5           16,631
COM
SMITH CHARLES       Equity  832197107     442,130.65          9,745   X          5            9,745
RESIDNTL COM
SMITHFIELD          Equity  832248108     701,137.50         26,710   X          5           26,710
FOODS INC COM
SMTC CORP           Equity  832682108  11,306,850.00        525,900   X          2          525,900
SMUCKER J M CO      Equity  832696306     377,801.71         15,541   X          5           15,541
SMURFIT-STONE       Equity  832727101     336,492.00         28,041   X          5           28,041
CONTAINR COM
SNAP ON INC         Equity  833034101     445,307.56         18,901   X          5           18,901
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 69            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
SOFTWARE COM        Equity  83402P104   9,598,070.20         52,900   X          1           52,900
INC COM
                                          829,715.97          4,573   X          5            4,573
SOLECTRON           Equity  834182107   7,734,462.36        167,703   X          5          167,703
CORP COM
                                       73,537,140.88      1,594,474   X          6        1,526,548
                                                                      X          6                                      67,926
SOLUTIA INC COM     Equity  834376105     479,302.35         42,155   X          5           42,155
SONOCO PRODS        Equity  835495102     489,931.68         27,128   X          5           27,128
CO COM
SOTHEBYS            Equity  835898107     500,906.67         20,141   X          5           20,141
HLDGS INC CL A
SOUTH JERSEY        Equity  838518108     300,481.86         10,294   X          5           10,294
INDS INC COM
SOUTHDOWN           Equity  841297104     601,777.50          8,446   X          5            8,446
INC COM
SOUTHERN CO         Equity  842587107   4,253,922.08        131,132   X          5          131,132
COM
SOUTHERN            Equity  842816100  14,554,862.50        463,900   X          2          463,900
ENERGY
SOUTHERN UN         Equity  844030106     269,178.28         13,588   X          5           13,588
CO NEW COM
SOUTHTRUST          Equity  844730101     597,297.12         18,998   X          5           18,998
CORP COM
SOUTHWEST           Equity  844741108   3,494,473.50        144,102   X          5          144,102
AIRLS CO COM
                                          266,386.25         10,985   X          6           10,985
SOUTHWESTERN        Equity  845467109      97,860.00         11,184   X          5           11,184
ENERGY CO COM
SOVEREIGN           Equity  845905108   9,990,000.00      1,080,000   X          2        1,080,000
BANCORP INC
COM
                                          585,460.25         63,293   X          5           63,293
SOVRAN SELF         Equity  84610H108     562,725.00         27,450   X          5           27,450
STORAGE COM
SPECIALTY           Equity  847497203     246,529.65          9,985   X          5            9,985
EQUIP CO INC
COM NEW
SPEECHWORKS         Equity  84764M101   6,082,200.00         98,100   X          2           98,100
INTERNATIONAL
SPIEGEL INC CL A    Equity  848457107      73,710.00         10,530   X          5           10,530
SPIEKER PPTYS       Equity  848497103   1,870,700.00         32,500   X          2           32,500
INC COM
                                          394,804.04          6,859   X          5            6,859
SPRINGS INDS        Equity  851783100   8,474,571.88        300,650   X          3           46,100
INC CL A
                                                                      X          3                        254,550
                                           78,361.25          2,780   X          5            2,780
SPRINT CORP         Equity  852061100   5,501,164.59        187,689   X          5          187,689
COM
                                      227,040,858.21      7,746,191   X          6        6,041,039
                                                                      X          6                                   1,705,152
SPRINT              Equity  852061506   5,310,993.98        151,483   X          5          151,483
CORP.(PCS
GROUP)
                                        1,043,666.08         29,768   X          6            9,902
                                                                      X          6                                      19,866
STANDARD            Equity  853887107     363,712.00         22,732   X          5           22,732
REGISTER CO
COM
STANLEY             Equity  854305208   3,346,500.00        138,000   X          1          138,000
FURNITURE INC
    COM
STANLEY WKS         Equity  854616109     491,570.02         21,317   X          5           21,317
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 70            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
STAPLES INC         Equity  855030102     943,762.71         66,509   X          5           66,509
COM
                                        9,504,462.00        669,800   X          6          656,800
                                                                      X          6                                      13,000
STAR SCIENTIFIC     Equity  85517P101      70,500.00         17,625   X          5           17,625
INC COM
STARBUCKS           Equity  855244109   2,075,628.78         51,813   X          5           51,813
CORP COM
STARWOOD            Equity  85590A203     557,843.75         17,851   X          5           17,851
HOTELS &
RESORTS
WORLDW
STATE STREET        Equity  857477103   8,138,000.00         62,600   X          5           62,600
CORP COM
STATEN IS           Equity  857550107     259,820.00         12,991   X          5           12,991
BANCORP INC
COM
STEEL               Equity  858119100     172,514.68         18,772   X          5           18,772
DYNAMICS INC
COM
STEIN MART          Equity  858375108     262,358.70         24,270   X          5           24,270
STERIS CORP         Equity  859152100     304,452.00         25,371   X          5           25,371
COM
STEWART&STEV        Equity  860342104   3,147,559.00        180,500   X          1          180,500
SVCS COM
                                          239,074.98         13,710   X          5           13,710
STEWART             Equity  860370105      54,215.24         27,946   X          5           27,946
ENTERPRISES CL
A
                                              271.60            140   X          6                                         140
STILLWATER          Equity  86074Q102     334,964.18         12,374   X          5           12,374
MNG CO COM
STILWELL FINL       Equity  860831106  26,317,500.00        605,000   X          2          605,000
INC COM
                                        4,089,957.00         94,022   X          5           94,022
STONE ENERGY        Equity  861642106     849,915.00         15,453   X          5           15,453
CORP COM
STORAGE             Equity  862111200     462,545.16         34,111   X          5           34,111
TECHNOLOGY CP
COM PAR $0
STRATOS             Equity  863100103  12,059,887.50        373,950   X          2          373,950
LIGHTWAVE INC
STRUCTURAL          Equity  863555108     308,639.98         18,854   X          5           18,854
DYNAMIC RES
COM
STRYKER CORP        Equity  863667101   4,221,431.40         98,310   X          5           98,310
COM
STURM RUGER &       Equity  864159108   5,872,075.00        717,200   X          3          332,300
CO INC COM
                                                                      X          3                        384,900
                                          134,209.50         16,392   X          5           16,392
SUIZA FOODS         Equity  865077101  13,351,746.00        263,400   X          2          263,400
CORP COM
                                        1,112,290.67         21,943   X          5           21,943
SUMMIT              Equity  866005101     887,788.50         25,733   X          5           25,733
BANCORP COM
SUN                 Equity  866810104  35,797,301.25        306,615   X          1          299,400
MICROSYSTEMS
INC COM
                                                                      X          1                                       7,215
                                      287,578,600.00      2,463,200   X          2        2,458,200
                                                                      X          2                                       5,000
                                       45,916,140.50        393,286   X          5          393,286
                                          434,893.75          3,725   X          6            3,725
SUNGARD DATA        Equity  867363103   1,459,007.61         34,081   X          5           34,081
SYS INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 71            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
SUNGLASS HUT        Equity  86736F106      83,812.55         12,835   X          5           12,835
INTL INC COM
SUNOCO INC COM      Equity  86764P109     568,757.28         21,112   X          5           21,112
                                           26,940.00          1,000   X          6            1,000
SUNRISE TECH        Equity  86769L103      91,694.07         12,753   X          5           12,753
INTL INC COM
SUNTRUST BKS        Equity  867914103   1,433,382.37         28,777   X          5           28,777
INC COM
SUPERVALU INC       Equity  868536103  26,056,950.13      1,729,922   X          1        1,685,722
COM
                                                                      X          1                                      44,200
                                        1,506,250.00        100,000   X          2          100,000
                                       31,725,390.63      2,106,250   X          3        1,283,650
                                                                      X          3                        822,600
                                          474,619.38         31,510   X          5           31,510
SUSQUEHANNA         Equity  869099101   7,071,425.00        463,700   X          3          213,600
BKSHS PA COM
                                                                      X          3                        250,100
                                          163,159.75         10,699   X          5           10,699
SWIFT ENERGY        Equity  870738101  15,889,534.90        382,300   X          1          368,600
CO COM
                                                                      X          1                                      13,700
                                          322,445.75          7,758   X          5            7,758
SWIFT TRANSN        Equity  870756103     214,379.90         16,415   X          5           16,415
CO COM
SYBASE INC COM      Equity  871130100     514,740.00         22,380   X          5           22,380
SYCAMORE            Equity  871206108 138,693,600.00      1,284,200   X          2        1,284,200
NETWORKS INC
COM
                                          736,668.00          6,821   X          5            6,821
                                          333,180.00          3,085   X          6            3,085
SYKES               Equity  871237103     132,467.16         24,668   X          5           24,668
ENTERPRISES
INC COM
SYLVAN              Equity  871399101     198,113.37         13,377   X          5           13,377
LEARNING SYS
COM
SYMANTEC CORP       Equity  871503108     607,860.00         13,815   X          5           13,815
COM
SYMBOL              Equity  871508107  36,343,272.83      1,011,277   X          1          985,552
TECHNOLOGIES
COM
                                                                      X          1                                      25,725
                                        1,439,568.47         40,057   X          5           40,057
SYMYX               Equity  87155S108   8,114,527.00        187,100   X          2          187,100
TECHNOLOGIES
COM
                                          186,491.00          4,300   X          5            4,300
SYNOPSYS INC        Equity  871607107     409,298.96         10,808   X          5           10,808
COM
SYNOVUS FINL        Equity  87161C105     422,740.50         19,950   X          5           19,950
CORP COM
SYNTROLEUM          Equity  871630109  10,858,228.50        533,050   X          2          533,050
CORP COM
                                           62,739.60          3,080   X          5            3,080
SYSCO CORP          Equity  871829107     435,342.20          9,400   X          1            9,400
COM
                                        3,352,922.26         72,397   X          5           72,397
SYSTEMS &           Equity  871873105     224,381.68         12,778   X          5           12,778
COMPTR TECH
COM
                                          279,204.00         15,900   X          6           15,900
TCF FINL CORP       Equity  872275102  10,672,794.00        283,700   X          2          283,700
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 72            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                        2,874,468.96         76,408   X          5           76,408
TECO ENERGY         Equity  872375100     398,733.75         13,869   X          5           13,869
INC COM
TJX COS INC         Equity  872540109   1,455,367.50         64,683   X          5           64,683
NEW COM
TRW INC COM         Equity  872649108     591,874.02         14,571   X          5           14,571
TMP                 Equity  872941109   4,153,800.00         51,600   X          1           51,600
WORLDWIDE INC
COM
                                          764,911.00          9,502   X          5            9,502
TTM                 Equity  87305R109   9,172,050.00        390,300   X          2          390,300
TECHNOLOGIES
TXU                 Equity  873168108   2,576,639.00         65,000   X          2           65,000
CORPORATION
                                       12,472,914.79        314,650   X          3           49,600
                                                                      X          3                        265,050
                                        2,259,712.40         57,005   X          5           57,005
TALBOTS INC         Equity  874161102  21,113,875.00        318,700   X          1          312,400
COM
                                                                      X          1                                       6,300
                                          106,198.75          1,603   X          5            1,603
TALK.COM INC        Equity  874264104     177,749.46         40,306   X          5           40,306
TARGET CORP         Equity  87612E106   5,739,597.36        224,028   X          5          224,028
TATE & LYLE PLC     Equity  876570607     417,810.00         30,000   X          2           30,000
SPONSORED ADR
TECH DATA           Equity  878237106     706,914.00         16,536   X          5           16,536
CORP COM
TECHNE CORP         Equity  878377100     946,512.00          8,451   X          5            8,451
COM
TECHNITROL INC      Equity  878555101     739,926.00          7,326   X          5            7,326
COM
TECHNOLOGY          Equity  87872T108      25,967.50         10,387   X          5           10,387
SOLUTIONS COM
TECUMSEH            Equity  878895200   6,561,812.50        156,700   X          3           81,600
PRODUCTS CO
CL A
                                                                      X          3                         75,100
                                           91,036.25          2,174   X          5            2,174
TEKTRONIX INC       Equity  879131100  35,510,649.90        462,300   X          1          446,400
COM
                                                                      X          1                                      15,900
                                        2,002,054.03         26,064   X          5           26,064
                                        4,608,780.00         60,000   X          6           60,000
TELEDYNE            Equity  879360105     300,372.80         10,315   X          5           10,315
TECHNOLOGIES
COM
TELEFLEX INC        Equity  879369106     513,762.76         14,948   X          5           14,948
COM
                                        7,794,600.45        226,785   X          6          226,785
TELEPHONE &         Equity  879433100   3,071,814.30         27,749   X          5           27,749
DATA SYS COM
TELLABS INC COM     Equity  879664100   4,509,175.75         94,433   X          5           94,433
                                      100,081,182.75      2,095,941   X          6        1,875,391
                                                                      X          6                                     220,550
TELETECH            Equity  879939106  12,169,575.00        491,700   X          2          491,700
HLDGS INC COM
                                           35,244.00          1,424   X          5            1,424
TENET               Equity  88033G100  68,628,968.91      1,883,445   X          1        1,836,200
HEALTHCARE
CORP COM
                                                                      X          1                                      47,245
                                       25,029,262.20        686,900   X          2          686,900
                                        4,300,048.38        118,010   X          5          118,010
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 73            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                      277,754,047.82      7,622,648   X          6        5,625,210
                                                                      X          6                                   1,997,438
TENNANT CO          Equity  880345103     414,489.75          9,367   X          5            9,367
COM
TENNECO             Equity  880349105     236,238.75         45,540   X          3                         45,540
AUTOMOTIVE INC
                                          178,143.94         34,341   X          5           34,341
TERADYNE INC        Equity  880770102   1,461,740.00         41,764   X          5           41,764
COM
TERREMARK           Equity  881448104      87,992.85         34,507   X          5           34,507
WORLDWIDE
COM
TEVA                Equity  881624209   2,232,218.75         30,500   X          2           30,500
PHARMACEUTICA
INDUSTRIES
                                        9,276,515.63        126,750   X          6          126,750
TETRA TECH INC      Equity  88162G103     258,096.72          9,037   X          5            9,037
NEW COM
TEXACO INC COM      Equity  881694103   4,434,307.50         84,463   X          5           84,463
                                      292,788,877.50      5,576,931   X          6        4,526,756
                                                                      X          6                                   1,050,175
TEXAS INSTRS        Equity  882508104  38,393,784.00        813,600   X          2          807,600
INC COM
                                                                      X          2                                       6,000
                                       20,361,399.63        431,477   X          5          431,477
                                            1,887.60             40   X          6                                          40
TEXTRON INC         Equity  883203101     110,688.00          2,400   X          2            2,400
COM
                                        1,451,857.60         31,480   X          5           31,480
                                      312,636,780.16      6,778,768   X          6        5,578,288
                                                                      X          6                                   1,200,480
THERMO              Equity  883556102   1,063,608.00         40,908   X          5           40,908
ELECTRON CORP
COM
                                           87,750.00          3,375   X          6                                       3,375
THOMAS &            Equity  884315102  23,343,581.25      1,338,700   X          3          459,200
BETTS CORP COM
                                                                      X          3                        879,500
                                          328,539.94         18,841   X          5           18,841
THOR INDS INC       Equity  885160101   1,387,500.00         60,000   X          3                         60,000
COM
                                           49,233.13          2,129   X          5            2,129
3COM CORP COM       Equity  885535104   2,254,306.87        117,473   X          5          117,473
3DO CO  COM         Equity   88553W10     106,558.32         15,928   X          5           15,928
TIBCO               Equity  88632Q103   5,665,789.80         67,100   X          1           67,100
SOFTWARE INC
                                       47,530,150.20        562,900   X          2          562,900
                                          756,142.29          8,955   X          5            8,955
TICKETMASTER        Equity  88633P203   5,112,492.00        301,800   X          2          301,800
ONLINE CL B
                                           66,625.02          3,933   X          5            3,933
TIDEWATER INC       Equity  886423102   2,593,500.00         57,000   X          2           57,000
COM
                                          661,479.00         14,538   X          5           14,538
TIFFANY & CO        Equity  886547108  39,160,726.50      1,015,500   X          1          994,200
NEW COM
                                                                      X          1                                      21,300
                                       23,322,902.40        604,800   X          2          604,800
                                        1,707,184.01         44,270   X          5           44,270
TIMBERLAND CO       Equity  887100105     376,749.00          9,189   X          5            9,189
CL A
TIME WARNER         Equity  887315109   2,327,937.50         29,750   X          4           29,750
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 74            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                       20,150,392.25        257,513   X          5          257,513
                                          672,950.00          8,600   X          6                                       8,600
TIME WARNER         Equity  887319101     243,434.09          5,039   X          5            5,039
TELECOM CL A
TITAN               Equity  888314101  20,865,000.00        321,000   X          2          321,000
PHARMACEUTICA
COM
                                          209,430.00          3,222   X          5            3,222
TOLL BROTHERS       Equity  889478103     275,303.70          8,010   X          5            8,010
INC COM
TOLLGRADE           Equity  889542106     293,721.96          2,116   X          5            2,116
COMMUNICATNS
COM
TOO INC COM         Equity  890333107     307,800.00         12,960   X          5           12,960
TOPPS INC COM       Equity  890786106     144,733.31         15,749   X          5           15,749
TORCHMARK           Equity  891027104     351,017.82         12,622   X          5           12,622
CORP COM
TOSCO CORP          Equity  891490302      37,428.00          1,200   X          2            1,200
COM NEW
                                        1,753,938.46         56,234   X          5           56,234
                                       24,800,728.50        795,150   X          6          795,150
TOTAL RENAL         Equity  89151A107     247,717.50         33,029   X          5           33,029
CARE HLDGS
COM
TOWN & CTRY         Equity  892081100     250,686.00         13,927   X          5           13,927
TR SH BEN INT
TOYS R US INC       Equity  892335100   8,048,625.00        495,300   X          3          379,600
COM
                                                                      X          3                        115,700
                                          774,345.00         47,652   X          5           47,652
TRANSACTION         Equity  893416107     196,446.25         12,089   X          5           12,089
SYS ARCHIT CL A
TRANSATLANTIC       Equity  893521104     507,177.50          5,483   X          5            5,483
HLDGS COM
TRANSWITCH          Equity  894065101  44,347,687.50        695,650   X          1          672,100
CORP COM
                                                                      X          1                                      23,550
                                       66,755,812.50      1,047,150   X          2        1,047,150
                                        1,651,890.00         25,912   X          5           25,912
TRIAD               Equity  89579K109   8,877,125.00        302,200   X          1          279,900
HOSPITALS INC
COM
                                                                      X          1                                      22,300
                                          357,376.25         12,166   X          5           12,166
TRIAD GTY INC       Equity  895925105     216,133.75          7,265   X          5            7,265
COM
TRICON GLOBAL       Equity  895953107   1,437,088.46         46,933   X          5           46,933
REST COM
TRIBUNE CO          Equity  896047107   1,646,218.80         37,740   X          5           37,740
NEW COM
                                       83,763,704.10      1,920,305   X          6        1,596,555
                                                                      X          6                                     323,750
Tribune/AOL         Equity  896047305   5,711,875.00         48,100   X          4           48,100
Conv. Pfd.
Tribune Co Conv.    Equity  896047404     338,752.00          4,000   X          4            4,000
Pfd.
TRIGON              Equity  89618L100     474,248.88          9,023   X          5            9,023
HEALTHCARE
INC COM
                                        1,702,313.28         32,388   X          6           32,388
TRINITY INDS        Equity  896522109   6,488,900.00        277,600   X          3          131,100
INC COM
                                                                      X          3                        146,500
                                          196,069.50          8,388   X          5            8,388
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 75            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
TRIQUINT            Equity  89674K103      40,084.00          1,100   X          2            1,100
SEMICONDUCTOR
COM
                                          438,045.24         12,021   X          5           12,021
TRUE NORTH          Equity  897844106   9,757,962.50        272,950   X          2          272,950
COMM COM
                                          265,944.25          7,439   X          5            7,439
TUMBLEWEED          Equity  899690101   9,396,750.00        184,250   X          2          184,250
COMMUNICTNS
COM
                                           93,993.00          1,843   X          5            1,843
TUPPERWARE          Equity  899896104  26,852,400.00      1,491,800   X          2        1,491,800
CORP COM
                                       16,543,800.00        919,100   X          3          591,700
                                                                      X          3                        327,400
                                          492,804.00         27,378   X          5           27,378
TURNSTONE           Equity  900423104  23,491,042.00        506,600   X          2          505,200
SYSTEMS INC
COM
                                                                      X          2                                       1,400
                                          129,279.56          2,788   X          5            2,788
TUT SYSTEMS         Equity  901103101     356,460.30          4,130   X          5            4,130
COM
TYCO INTL LTD       Equity  902124106  33,279,680.00        641,536   X          1          624,500
NEW COM
                                                                      X          1                                      17,036
                                       82,745,812.50      1,595,100   X          2        1,587,600
                                                                      X          2                                       7,500
                                       11,470,029.38        221,109   X          5          221,109
                                          103,750.00          2,000   X          6                                       2,000
TYSON FOODS         Equity  902494103  13,965,000.00      1,396,500   X          2        1,396,500
INC CL A
                                          267,680.00         26,768   X          5           26,768
UCAR INTL INC       Equity  90262K109     301,552.47         23,763   X          5           23,763
COM
                                        2,609,444.70        205,630   X          6          205,630
UGI CORP NEW        Equity  902681105   7,272,575.00        299,900   X          3          147,300
COM
                                                                      X          3                        152,600
                                          168,877.00          6,964   X          5            6,964
UIL HOLDINGS        Equity  902748102     543,360.72         10,563   X          5           10,563
CORPORATION
USX MARATHON        Equity  902905827  30,865,048.13      1,087,755   X          1        1,061,800
GROUP COM NEW
                                                                      X          1                                      25,955
                                       12,965,956.25        456,950   X          3           88,550
                                                                      X          3                        368,400
                                        1,303,292.13         45,931   X          5           45,931
                                          454,000.00         16,000   X          6                                      16,000
UST INC COM         Equity  902911106  27,889,200.00      1,219,200   X          3          634,800
                                                                      X          3                        584,400
                                        2,632,340.63        115,075   X          5          115,075
                                        1,629,432.00         71,232   X          6           50,216
                                                                      X          6                                      21,016
U S                 Equity  902971100     110,076.50         11,587   X          5           11,587
RESTAURANT
PPTYS COM
US BANCORP          Equity  902973106   2,632,971.25        115,735   X          5          115,735
DEL COM
USA NETWORKS        Equity  902984103     370,237.50         16,875   X          5           16,875
INC COM
USEC INC COM        Equity  90333E108     301,809.50         71,014   X          5           71,014
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 76            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
USX-U S STL COM     Equity  90337T101  22,996,153.13      1,514,150   X          3          575,350
                                                                      X          3                        938,800
                                          206,261.44         13,581   X          5           13,581
US ONCOLOGY         Equity   90338W10      55,506.09         12,253   X          5           12,253
INC COM
ULTICOM INC         Equity  903844108  37,721,916.00        800,550   X          2          798,050
                                                                      X          2                                       2,500
                                            4,664.88             99   X          5               99
USA EDUCATION       Equity  90390U102     632,445.56         13,124   X          5           13,124
INC
ULTRAMAR            Equity  904000106  42,151,376.75      1,661,138   X          3          788,550
DIAMOND
SHMRK COM
                                                                      X          3                        872,588
                                        1,860,545.75         73,322   X          5           73,322
UNIFI INC COM       Equity  904677101     342,424.76         33,604   X          5           33,604
UNILEVER N V N      Equity  904784709   1,439,731.75         29,839   X          5           29,839
Y SHS NEW
UNICOM CORP         Equity  904911104   3,590,428.62         63,898   X          5           63,898
COM
UNIGRAPHICS         Equity  904928108     981,250.00         50,000   X          1           50,000
SOLUTIONS CL A
                                            1,923.25             98   X          5               98
UNION CARBIDE       Equity  905581104     585,880.00         15,520   X          5           15,520
CORP COM
UNION PACIFIC       Equity  907818108   1,174,806.88         30,224   X          5           30,224
CORP COM
UNION               Equity  908068109  34,720,584.38      1,050,150   X          3          412,000
PLANTERS CORP
COM
                                                                      X          3                        638,150
                                          944,595.63         28,570   X          5           28,570
UNIONBANCAL         Equity  908906100   2,670,370.29        114,559   X          5          114,559
CORP COM
UNISOURCE           Equity  909205106     522,203.00         31,900   X          5           31,900
ENERGY CORP
COM
UNISYS CORP         Equity  909214108     474,671.25         42,193   X          5           42,193
COM
                                          171,562.50         15,250   X          6           15,000
                                                                      X          6                                         250
UNITED ASSET        Equity  909420101     282,775.00         11,311   X          5           11,311
MGMT CORP COM
UNITED CMNTY        Equity  909839102      77,624.48         11,833   X          5           11,833
FINL OHIO COM
UNITED              Equity  909907107     200,634.12         10,226   X          5           10,226
BANKSHS INC
WVA COM
UNITED              Equity  910197102   5,932,323.38        545,501   X          3          249,091
DOMINION
RLTYTR COM
                                                                      X          3                        296,410
                                           80,148.75          7,370   X          5            7,370
UNITED PARCEL       Equity  911312106     215,107.92          3,816   X          5            3,816
SERVICE
                                           11,274.00            200   X          6              100
                                                                      X          6                                         100
UNITED STATES       Equity  911684108     350,280.00          5,004   X          5            5,004
CELLULAR COM
US AIRWAYS          Equity  911905107     356,848.12         11,723   X          5           11,723
GROUP INC COM
U S INDS INC        Equity  912080108     133,653.24         13,446   X          5           13,446
NEW COM
UNITED              Equity  913004107     325,207.61         12,103   X          5           12,103
STATIONERS INC
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 77            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
UNITED              Equity  913017109  29,180,443.13        420,619   X          1          410,600
TECHNOLOGIES
CP COM
                                                                      X          1                                      10,019
                                        9,538,160.63        137,487   X          5          137,487
UNITED              Equity  913066106     398,664.00          2,712   X          5            2,712
TELEVISION INC
COM
UNITEDHEALTH        Equity  91324P102      59,250.00            600   X          2              600
GROUP INC
                                        6,794,691.25         68,807   X          5           68,807
UNIVERSAL           Equity  913456109   7,514,125.00        255,800   X          3          109,400
CORP VA COM
                                                                      X          3                        146,400
                                          751,588.75         25,586   X          5           25,586
UNIVERSAL           Equity  913538104   6,917,312.50        339,500   X          3          150,700
FOODS CORP
COM
                                                                      X          3                        188,800
                                          226,162.50         11,100   X          5           11,100
UNIVERSAL FST       Equity  913543104   5,405,985.27        473,300   X          3          207,400
PRODS COM
                                                                      X          3                        265,900
                                            2,855.48            250   X          5              250
UNIVERSAL           Equity  913903100     355,836.72          4,156   X          5            4,156
HLTH SVCS CL B
UNIVISION           Equity  914906102   1,862,259.21         49,833   X          5           49,833
COMMUNICATION
- A
UNOCAL CORP         Equity  915289102      60,248.00          1,700   X          2            1,700
COM
                                        1,008,586.96         28,459   X          5           28,459
                                      241,850,852.96      6,824,234   X          6        5,822,299
                                                                      X          6                                   1,001,935
UNUMPROVIDEN        Equity  91529Y106  12,191,650.00        447,400   X          2          447,400
CORP COM
                                          820,988.00         30,128   X          5           30,128
USFREIGHTWAYS       Equity  916906100   5,086,537.50        224,200   X          3           92,300
CORP COM
                                                                      X          3                        131,900
                                          152,074.31          6,703   X          5            6,703
UTILICORP UTD       Equity  918005109     713,028.94         27,562   X          5           27,562
INC COM
Utilicorp United    Equity  918005877   1,738,125.00         61,800   X          2           61,800
Conv. Pfd.
V F CORP COM        Equity  918204108     348,054.93         14,097   X          5           14,097
Valero Energy       Equity  91821D107   4,847,700.00        165,000   X          4          165,000
Conv. Pfd.
VALASSIS            Equity  918866104     287,915.00         12,940   X          5           12,940
COMMUNICATNS
COM
VALENCE             Equity  918914102     279,846.75         16,223   X          5           16,223
TECHNOLOGY
INC COM
VALERO ENERGY       Equity  91913Y100  14,500,974.80        412,100   X          1          401,700
CORP NEW COM
                                                                      X          1                                      10,400
                                       12,044,852.40        342,300   X          2          342,300
                                          545,167.68         15,493   X          5           15,493
VARCO INTL INC      Equity  922122106     441,380.10         21,210   X          5           21,210
DEL COM
VARIAN INC COM      Equity  922206107  12,768,179.50        296,500   X          1          280,300
                                                                      X          1                                      16,200
                                          345,365.26          8,020   X          5            8,020
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 78            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
VARIAN              Equity  922207105   6,933,888.00        185,200   X          2          185,200
SEMICONDUCTOR
                                          155,862.72          4,163   X          5            4,163
VARIAN MEDICAL      Equity  92220P105     495,734.30         10,970   X          5           10,970
SYSTEMS INC
VECTREN CORP        Equity  92240G101     623,110.80         30,680   X          5           30,680
COM
VECTOR GROUP        Equity  92240M108     219,661.02         12,646   X          5           12,646
LTD COM
VEECO INSTRS        Equity  922417100     484,697.47          4,561   X          5            4,561
INC DEL COM
VENTIV HEALTH       Equity  922793104     154,834.78         12,269   X          5           12,269
INC COM
VENATOR             Equity  922944103   5,315,062.50        429,500   X          1          397,800
GROUP INC COM
                                                                      X          1                                      31,700
                                          367,166.25         29,670   X          5           29,670
VERITAS             Equity  923436109  39,882,688.00        280,864   X          1          274,200
SOFTWARE CO
COM
                                                                      X          1                                       6,664
                                      216,017,500.00      1,521,250   X          2        1,521,250
                                       12,601,364.00         88,742   X          5           88,742
                                          424,296.00          2,988   X          6            2,988
VERITY INC COM      Equity  92343C106     260,073.03          7,287   X          5            7,287
VERISIGN INC        Equity  92343E102   9,489,873.99         46,849   X          1           46,849
COM
                                       97,878,441.60        483,200   X          2          483,200
                                        6,375,670.42         31,475   X          5           31,475
                                          455,766.75          2,250   X          6            2,250
VERITAS DGC         Equity  92343P107  17,025,402.00        588,300   X          2          588,300
INC COM
                                          208,020.72          7,188   X          5            7,188
VERIZON             Equity  92343V104   2,743,984.38         56,650   X          2           56,650
COMMUNICATION
COM
                                       43,310,342.19        894,149   X          3          479,942
                                                                      X          3                        414,207
                                       27,138,950.00        560,288   X          5          560,288
                                      819,782,939.06     16,924,551   X          6       14,351,334
                                                                      X          6                                   2,573,217
VERTEX              Equity  92532F100   1,080,417.00         12,786   X          5           12,786
PHARMACEUTICA
COM
VERTICALNET         Equity  92532L107     481,530.32         13,711   X          5           13,711
INC COM
VIACOM INC CL B     Equity  925524308  26,881,276.50        459,509   X          1          448,464
                                                                      X          1                                      11,045
                                       22,466,925.00        384,050   X          5          384,050
VIAD CORP COM       Equity  92552R109     627,533.12         23,627   X          5           23,627
VIASYSTEMS GP       Equity  92553H100      70,720.00          4,160   X          5            4,160
INC COM
                                        7,821,700.00        460,100   X          6          410,300
                                                                      X          6                                      49,800
VICOR CORP COM      Equity  925815102     408,719.50          7,534   X          5            7,534
VIGNETTE CORP       Equity  926734104     753,948.67         25,241   X          5           25,241
COM
VINTAGE PETE        Equity  927460105   7,396,025.00        325,100   X          1          301,100
INC COM
                                                                      X          1                                      24,000
                                        7,603,050.00        334,200   X          3          155,300
                                                                      X          3                        178,900
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 79            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
                                          486,122.00         21,368   X          5           21,368
VIRATA CORP         Equity  927646109  14,992,710.00        226,750   X          2          226,750
COM
                                           34,117.92            516   X          5              516
VISHAY              Equity  928298108   2,231,896.50         72,582   X          5           72,582
INTERTECHNOLO
COM
VISTEON CORP        Equity  92839U107     179,413.94         11,862   X          3            2,139
                                                                      X          3                          9,723
                                          667,122.79         44,107   X          5           44,107
VISX INC DEL        Equity  92844S105     710,946.60         26,390   X          5           26,390
COM
VITESSE             Equity  928497106 120,549,276.00      1,355,400   X          2        1,355,400
SEMICONDUCTOR
COM
                                        4,657,787.80         52,370   X          5           52,370
VITRIA              Equity  92849Q104      46,620.00          1,000   X          2            1,000
TECHNOLOGY
COM
                                          162,517.32          3,486   X          5            3,486
VIVUS INC COM       Equity  928551100      68,637.50         16,150   X          5           16,150
VODAFONE            Equity   92857W10   1,021,200.00         27,600   X          2           27,600
GROUP PLC ADR
                                           18,500.00            500   X          6              500
VOICESTREAM         Equity  928615103   3,668,540.54         31,609   X          5           31,609
WIRELESS COM
VULCAN MATLS        Equity  929160109     504,464.88         12,552   X          5           12,552
CO COM
WFS FINL INC        Equity  92923B106   3,236,851.80        191,100   X          1          191,100
COM
                                              694.46             41   X          5               41
WPP GROUP PLC-      Equity  929309300   9,141,900.00         98,300   X          6           69,800
SPONSORED ADR
                                                                      X          6                                      28,500
WPS                 Equity  92931B106     303,035.75          9,253   X          5            9,253
RESOURCES
CORP COM
WABASH NATL         Equity  929566107   5,201,043.75        566,100   X          3          244,700
CORP COM
                                                                      X          3                        321,400
                                           73,150.88          7,962   X          5            7,962
WABTEC              Equity  929740108   5,149,011.87        512,100   X          3          253,200
                                                                      X          3                        258,900
                                           70,222.02          6,984   X          5            6,984
WACHOVIA CORP       Equity  929771103   1,473,769.93         25,997   X          5           25,997
COM
WACKENHUT           Equity  929794105     219,823.21         14,783   X          5           14,783
CORP COM SER A
WADDELL &           Equity  930059100  29,563,150.00        953,650   X          1          929,000
REED FINL CL A
                                                                      X          1                                      24,650
                                          807,891.00         26,061   X          5           26,061
WAL MART            Equity  931142103  28,901,468.75        600,550   X          1          586,350
STORES INC COM
                                                                      X          1                                      14,200
                                       53,352,241.25      1,108,618   X          2        1,101,118
                                                                      X          2                                       7,500
                                       39,401,044.38        818,723   X          5          818,723
                                        1,053,937.50         21,900   X          6           21,900
WALGREEN CO         Equity  931422109  11,020,393.86        290,469   X          5          290,469
COM
WALLACE             Equity  932270101   7,641,775.00        501,100   X          3          239,600
COMPUTER SVCS
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 80            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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                        261,500
                                          207,522.00         13,608   X          5           13,608
WARNACO             Equity  934390105     153,328.00         38,332   X          5           38,332
GROUP INC CL A
WASHINGTON          Equity  938824109   7,262,710.00        319,240   X          3          156,250
FED INC COM
                                                                      X          3                        162,990
                                          174,629.00          7,676   X          5            7,676
WASHINGTON          Equity  938837101   6,530,625.00        243,000   X          3          113,900
GAS LT CO COM
                                                                      X          3                        129,100
                                          204,465.00          7,608   X          5            7,608
WASHINGTON          Equity  939322103  34,649,253.90        870,300   X          1          849,400
MUTUAL INC.
                                                                      X          1                                      20,900
                                       33,785,311.80        848,600   X          2          848,600
                                        5,632,066.42        141,463   X          5          141,463
                                          280,920.53          7,056   X          6            7,056
WASHINGTON          Equity  939640108     882,070.77          1,671   X          5            1,671
POST CO CL B
WASHINGTON R        Equity  939653101     334,580.74         16,679   X          5           16,679
EST IN TR SH
BEN IN
WASTE               Equity  941053100  16,956,597.00        661,850   X          2          661,850
CONNECTIONS
                                           92,693.16          3,618   X          5            3,618
WASTE MGMT          Equity  94106L109   2,333,472.00        133,800   X          2          133,800
INC DEL COM
                                        3,293,142.88        188,827   X          5          188,827
                                      309,635,323.36     17,754,319   X          6       14,465,854
                                                                      X          6                                   3,288,465
WATERS CORP         Equity  941848103 119,601,493.00      1,343,837   X          1        1,313,012
COM
                                                                      X          1                                      30,825
                                       75,792,400.00        851,600   X          2          851,600
                                        3,563,916.00         40,044   X          5           40,044
WATSON              Equity  942683103      32,435.00            500   X          2              500
PHARMACEUTICA
COM
                                        2,605,892.77         40,171   X          5           40,171
WAUSAU-             Equity  943315101   5,061,432.00        653,088   X          3          300,988
MOSINEE PAPER
COM
                                                                      X          3                        352,100
                                          119,125.25         15,371   X          5           15,371
WAVE SYSTEMS        Equity  943526103     249,608.50         14,902   X          5           14,902
CORP CL A
WEATHERFORD         Equity  947074100  18,081,500.00        420,500   X          2          420,500
INTL INC COM
                                        1,251,343.00         29,101   X          5           29,101
WEBMETHODS          Equity  94768C108   2,878,125.00         25,000   X          1           25,000
INC
                                           12,203.25            106   X          2              106
                                          237,502.88          2,063   X          5            2,063
WEBLINK             Equity  94769A101     103,069.07         13,403   X          5           13,403
WIRELESS INC
CL A
WEBMD CORP          Equity  94769M105     414,525.50         27,182   X          5           27,182
WEBTRENDS           Equity  94844D104   7,329,237.50        196,100   X          1          181,400
CORP COM
                                                                      X          1                                      14,700
                                          113,171.50          3,028   X          5            3,028
WEBVAN GROUP        Equity  94845V103      26,167.68         11,328   X          5           11,328
INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 81            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
WEINGARTEN          Equity  948741103     225,062.25          5,523   X          5            5,523
RLTY INVS SH
BEN INT
WELLPOINT HLT       Equity  94973H108      38,400.00            400   X          2              400
NETW NEW COM
                                        3,305,568.00         34,433   X          5           34,433
WELLS FARGO &       Equity  949746101     284,828.00          6,200   X          2            6,200
CO DEL COM
                                       23,425,541.04        509,916   X          5          509,916
                                    1,020,106,612.36     22,205,194   X          6       18,397,631
                                                                      X          6                                   3,807,563
WENDYS INTL         Equity  950590109     246,196.38         12,273   X          5           12,273
INC COM
WESCO FINL          Equity  950817106     373,739.00          1,489   X          5            1,489
CORP COM
WESTAMERICA         Equity  957090103   8,275,905.00        247,500   X          1          229,200
BANCORP COM
                                                                      X          1                                      18,300
                                          452,048.32         13,519   X          5           13,519
WESTCORP INC        Equity  957907108   3,595,500.00        239,700   X          1          239,700
COM
                                           27,540.00          1,836   X          5            1,836
WESTERN             Equity  958102105     125,377.33         21,359   X          5           21,359
DIGITAL CORP
COM
WESTERN INVT        Equity  959261108     359,488.93         29,203   X          5           29,203
RL EST TR SH
BEN IN
WESTERN RES         Equity  959425109  11,663,990.00        539,500   X          2          539,500
INC COM
                                        1,562,996.28         72,294   X          5           72,294
WESTERN             Equity  95988E204     529,455.68         14,864   X          5           14,864
WIRELESS CORP
CL A
WESTVACO            Equity  961548104  33,692,968.75      1,262,500   X          3          763,900
CORP COM
                                                                      X          3                        498,600
                                          445,441.06         16,691   X          5           16,691
WESTWOOD            Equity  961815107     554,845.76         25,879   X          5           25,879
ONE INC COM
WEYERHAEUSER        Equity  962166104     944,698.37         23,401   X          5           23,401
CO COM
                                       14,861,004.40        368,120   X          6          316,610
                                                                      X          6                                      51,510
WHIRLPOOL           Equity  963320106  31,039,743.75        798,450   X          3          519,400
CORP COM
                                                                      X          3                        279,050
                                          891,170.50         22,924   X          5           22,924
WHITMAN CORP        Equity  96647R107     161,539.44         13,974   X          5           13,974
COM
                                        2,147,848.00        185,800   X          6          150,000
                                                                      X          6                                      35,800
WHOLE FOODS         Equity  966837106     322,784.28          6,012   X          5            6,012
MKT INC COM
WILEY JOHN &        Equity  968223206     290,213.94         12,651   X          5           12,651
SONS INC CL A
WILLAMETTE          Equity  969133107   1,287,692.00         45,989   X          5           45,989
INDS INC COM
WILLIAMS COS        Equity  969457100   3,286,965.50         77,798   X          5           77,798
INC DEL COM
                                           42,250.00          1,000   X          6                                       1,000
WILLIAMS-           Equity  969904101     637,280.25         18,339   X          5           18,339
SONOMA INC
WILMINGTON          Equity  971807102     204,184.96          3,808   X          5            3,808
TRUST CORP
COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 82            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    Item 6 Inv.
                                                                    Discretion  Item 7                    Item 8
    Item 1           Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
    Name of          Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
    Issuer            of      Number      Market        Principal   L R   R             --------------------------------------
                     Class                Value          Amount     E D.V D.Othr            Sole        Shared       None
------------------------------------------------------------------------------------------------------------------------------
<S>                 <C>     <C>         <C>             <C>        <C><C><C>    <C>     <C>             <C>          <C>
                                        5,204,625.30         97,065   X          6           97,065
WIND RIVER          Equity  973149107     394,833.84          8,236   X          5            8,236
SYSTEMS INC
COM
WINN DIXIE          Equity  974280109     314,156.94         21,862   X          5           21,862
STORES INC COM
WINSTAR             Equity  975515107   8,387,825.00        541,150   X          2          541,150
COMMUNICATION
COM
                                          241,490.00         15,580   X          5           15,580
WISCONSIN           Equity  976592105     229,563.84         21,739   X          5           21,739
CENT TRANSN
COM
WISCONSIN           Equity  976657106   1,794,600.00         90,000   X          2           90,000
ENERGY CORP
COM
                                          672,835.42         33,743   X          5           33,743
WIT SOUNDVIEW       Equity  977383108     195,705.00         21,745   X          5           21,745
GROUP COM
WITNESS             Equity  977424100   3,287,466.00        182,000   X          1          182,000
SYSTEMS INC
WOLVERINE           Equity  978093102     244,388.45         16,435   X          5           16,435
TUBE INC COM
WORLD ACCESS        Equity  98141A101      69,161.44         12,784   X          5           12,784
INC COM
WORLD FUEL          Equity  981475106   5,334,875.00        656,600   X          3          358,200
SVCS CORP
                                                                      X          3                        298,400
WORLDGATE           Equity  98156L307  30,828,000.00      1,468,000   X          2        1,466,800
COMM INC COM
                                                                      X          2                                       1,200
                                           57,393.00          2,733   X          5            2,733
WORLDCOM INC        Equity  98157D106   6,195,480.00        204,000   X          2          204,000
                                       16,722,967.17        550,641   X          5          550,641
                                      587,653,668.96     19,349,808   X          6       16,279,364
                                                                      X          6                                   3,070,444
WORTHINGTON         Equity  981811102     349,013.76         37,248   X          5           37,248
INDS INC COM
WRIGLEY WM JR       Equity  982526105   1,132,708.23         15,129   X          5           15,129
CO COM
                                        1,242,842.00         16,600   X          6            5,900
                                                                      X          6                                      10,700
XCEL ENERGY         Equity  98389B100  64,423,210.80      2,341,300   X          1        2,282,500
INC
                                                                      X          1                                      58,800
                                        2,575,139.89         93,587   X          5           93,587
XILINX INC COM      Equity  983919101  48,101,316.00        561,800   X          2          561,800
                                        8,400,178.20         98,110   X          5           98,110
XEROX CORP          Equity  984121103   1,506,000.00        100,000   X          2          100,000
COM
                                          982,408.98         65,233   X          5           65,233
YAHOO INC COM       Equity  984332106   6,287,281.00         69,091   X          5           69,091
YORK INTL CORP      Equity  986670107     504,686.91         20,293   X          5           20,293
NEW COM
YOUNG &             Equity  987425105     477,229.50          9,641   X          5            9,641
RUBICAM INC
COM
                                       17,772,975.00        359,050   X          6          309,050
                                                                      X          6                                      50,000
ZALE CORP NEW       Equity  988858106   5,572,848.40        171,800   X          1          159,100
COM
                                                                      X          1                                      12,700
                                          276,339.32          8,519   X          5            8,519
                                        3,101,397.18         95,610   X          6           95,610
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
    Page: 83            Form 13F             Reporting Manager:  Pimco Advisors L.P.     I.D. # 28-2701             Qtr 3 2000
------------------------------------------------------------------------------------------------------------------------------
                                                                    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>
ZEBRA               Equity  989207105     455,801.04          9,484   X          5            9,484
TECHNOLOGIES
CP CL A
                                        7,804,944.00        162,400   X          6          130,400
                                                                      X          6                                      32,000
ZENITH NATL INS     Equity  989390109     389,067.30         17,790   X          5           17,790
CORP COM
ZIONS               Equity  989701107     795,073.58         15,547   X          5           15,547
BANCORPORATIO
COM
ZORAN CORP          Equity  98975F101   9,988,875.00        204,900   X          1          193,800
          COM
                                                                      X          1                                      11,100
                                           58,695.00          1,204   X          5            1,204
ACE LTD ORD         Equity  G0070K103  50,542,225.00      1,287,700   X          1        1,254,200
                                                                      X          1                                      33,500
                                       68,714,975.00      1,750,700   X          2        1,750,700
                                       85,936,501.25      2,189,465   X          6        1,558,125
                                                                      X          6                                     631,340
AMDOCS LTD          Equity  G02602103  65,526,496.88      1,050,525   X          1        1,023,800
                                                                      X          1                                      26,725
                                       32,971,425.00        528,600   X          2          528,600
ANNUITY AND         Equity  G03910109   6,580,954.88        264,561   X          6          256,461
LIFE RE HLDGS
                                                                      X          6                                       8,100
EVEREST RE          Equity   G3223R10  17,295,300.00        349,400   X          2          349,400
GROUP LTD
                                       17,273,025.00        348,950   X          6          293,950
                                                                      X          6                                      55,000
RENAISSANCERE       Equity   G7496G10   3,375,787.50         97,320   X          6           96,920
HOLDINGS LTD
                                                                      X          6                                         400
TRITON ENERGY       Equity  G90751101   8,314,800.00        213,200   X          1          197,300
LTD-ORD CL A
                                                                      X          1                                      15,900
TYCOM LTD           Equity  G9144B106  35,393,262.50        922,300   X          1          896,200
                                                                      X          1                                      26,100
                                        1,918,750.00         50,000   X          2           50,000
XL CAPITAL          Equity  G98255105   8,518,650.00        115,900   X          2          115,900
LIMITED CL A
                                      420,797,496.00      5,725,136   X          6        4,667,701
                                                                      X          6                                   1,057,435
MILLICOM INTL       Equity  L6388F102   7,075,159.38        198,950   X          2          198,950
CELLULAR S.A.
CHECK POINT         Equity  M22465104 238,927,500.00      1,517,000   X          2        1,517,000
SOFTWARE TECH
                                          463,050.00          2,940   X          6            2,940
ORBOTECH LTD        Equity  M75253100  24,814,453.13        453,750   X          2          453,750
CNH GLOBAL N.V.     Equity  N20935107  20,695,000.00      2,069,500   X          2        2,069,500
CORE LABS           Equity  N22717107  12,940,753.13        526,850   X          2          526,850
FLEXTRONICS         Equity  Y2573F102 181,570,162.50      2,210,900   X          2        2,205,900
INTERNATIONAL
LTD
                                                                      X          2                                       5,000
TEEKAY              Equity   Y8564W10  10,772,156.25        229,500   X          2          229,500
SHIPPING CORP
------------------------------------------------------------------------------------------------------------------------------
                             Total Market Value  50,320,588,536.49
</TABLE>



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