PIMCO ADVISORS L P /
13F-HR, 2000-11-14
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:           [_]  Amendment No.____________
         This Amendment                     [_]  is a restatement
                                            [_]  adds new holdings entries

--------------------------------------------------------------------------------
Name of Institutional Investment Manager Filing this Report:

         PIMCO Advisors L.P.
--------------------------------------------------------------------------------
Address:

         800 Newport Center Drive, Suite 600, Newport Beach, California 92660
--------------------------------------------------------------------------------

         Form 13-F File No.  28-2701

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

                  Pursuant to the requirements of Securities Exchange Act of
         1934, the undersigned institutional investment manager has caused this
         report to be signed on its behalf in the City of Newport Beach and the
         State of California on the 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:    4,373
         Form 13-F Information Table Value Total:    $66,095,066,046

--------------------------------------------------------------------------------

         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 14Equity  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
                                   1,259,040,470.88     19,482,251   X          6       16,627,745
                                                                     X          6                                   2,854,506
   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
   AMFM INC COM    Equity  001693100 875,751,466.50     14,415,662   X          6       12,043,054
                                                                     X          6                                   2,372,608
   AMR CORP COM    Equity  001765106      31,055.50            950   X          2              950
                                         606,301.43         18,547   X          5           18,547
                                     502,374,297.32     15,367,828   X          6       12,131,454
                                                                     X          6                                   3,236,374
   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
                                      40,227,094.38      1,369,433   X          6        1,046,322
                                                                     X          6                                     323,111
   AT&T CORP COM   Equity  001957208   6,634,026.00        368,557   X          5          368,557
   LIB GRP A
                                       3,560,400.00        197,800   X          6          197,800
   AT&T CORP COM   Equity  001957406   1,246,252.05         59,715   X          5           59,715
   WIRLES GRP
   AXA FINL INC COMEquity  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
                                          80,142.81          1,685   X          6            1,685
   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 PetroleuEquity  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
</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>
                                         467,116.00         13,520   X          5           13,520
   ACTUANT CORP    Equity  00508X104      74,481.76         18,904   X          5           18,904
   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
                                       2,325,700.00        116,285   X          6          104,740
                                                                     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
                                          37,739.00            650   X          6              650
   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
   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 EXPRESS     Equity  009104100  32,115,925.88      1,415,578   X          6        1,217,763
   INTL CORP COM
</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>
                                                                     X          6                                     197,815
   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
   ALBANY INTL     Equity  012348108     169,392.00         14,116   X          5           14,116
   CORP CL A
                                       5,577,588.00        464,799   X          6          444,569
                                                                     X          6                                      20,230
   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
                                     179,617,831.34      7,096,714   X          6        5,609,942
                                                                     X          6                                   1,486,772
   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  017415100   5,070,937.50        300,500   X          6          230,700
   TELEDYNE INC
                                                                     X          6                                      69,800
   ALLEGHENY       Equity  01741R102     407,283.24         22,477   X          5           22,477
   TECHNOLOGIES
   COM
   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
   ALLIED CAP      Equity  01903Q108     201,959.75          9,733   X          5            9,733
   CORP NEW COM
   ALLIEDSIGNAL    Equity  019512102   9,588,201.88        159,970   X          6          117,145
   INC
</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>
                                                                     X          6                                      42,825
   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
   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
                                          17,953.36            344   X          6              344
   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
                                          54,195.00            500   X          6              500
   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 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
                                         137,005.75          3,500   X          6            3,500
   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
                                       8,432,100.00        138,800   X          6           95,300
                                                                     X          6                                      43,500
</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>
   AMERICAN        Equity  026351106      15,600.00            200   X          2              200
   GENERAL CORP
   COM
                                       3,976,362.00         50,979   X          5           50,979
                                       1,233,180.00         15,810   X          6           15,010
                                                                     X          6                                         800
   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
                                         159,250.00          9,100   X          6              600
                                                                     X          6                                       8,500
   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
                                   1,624,005,017.60     28,712,960   X          6       23,544,206
                                                                     X          6                                   5,168,754
   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
                                      39,470,498.27        412,483   X          6          363,874
                                                                     X          6                                      48,609
   AMERICAN MED    Equity  02744P101   7,192,965.00      1,106,610   X          6        1,060,655
   SEC GROUP COM
                                                                     X          6                                      45,955
   AMERICAN        Equity  027714104   1,825,553.13        115,450   X          6          115,450
   NATIONAL CAN
   GROUP
   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
                                      35,931,265.00        764,495   X          6          744,290
                                                                     X          6                                      20,205
   AMERUS GROUP    Equity  03072M108   7,445,071.75        289,129   X          3          129,829
   COMPANY
</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>
                                                                     X          3                        159,300
   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
                                         754,164.00         10,800   X          6           10,800
   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
                                      83,394,140.92      1,254,802   X          6          876,102
                                                                     X          6                                     378,700
   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
                                       1,758,358.80        243,540   X          6          234,205
                                                                     X          6                                       9,335
   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
                                       4,762,878.22        112,563   X          6          106,063
                                                                     X          6                                       6,500
   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.
</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>
   APARTMENT       Equity  03748R101  41,852,841.80        908,600   X          1          884,900
   INVT & MGMT CL
   A
                                                                     X          1                                      23,700
                                         302,357.53          6,564   X          5            6,564
   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
                                       4,483,843.92        259,032   X          6          218,766
                                                                     X          6                                      40,266
   APPLIED MATLS   Equity  038222105  12,528,032.55        211,219   X          1          206,200
   INC COM
                                                                     X          1                                       5,019
                                          23,725.20            400   X          2              400
                                      10,285,170.77        173,405   X          5          173,405
   APPLIED PWR     Equity  038225108   9,189,196.88        302,525   X          6          247,125
   INC CL A
                                                                     X          6                                      55,400
   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
   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
                                          48,875.40          5,670   X          6            5,670
   ARCHSTONE       Equity  039581103      67,859.28          2,763   X          5            2,763
   CMNTYS TR SH
   BEN INT
                                      10,176,534.24        414,354   X          6          345,229
                                                                     X          6                                      69,125
   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
   ARMSTRONG       Equity  042384107   7,068,790.63        592,150   X          3           88,500
   HOLDINGS INC.
</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>
                                                                     X          3                        503,650
                                         536,351.88         44,930   X          5           44,930
   ARMSTRONG       Equity  042476101   3,500,631.25         77,900   X          6           57,500
   WORLD INDS
   COM
                                                                     X          6                                      20,400
   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
                                     224,366,333.10      6,587,385   X          6        5,566,250
                                                                     X          6                                   1,021,135
   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
                                         152,006.40          5,220   X          6            5,220
   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
   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
                                           6,460.00            170   X          6              170
   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
   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
</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>
   DATA PROCESS
   COM
                                         122,037.75          1,825   X          6            1,825
   AUTONATION INC  Equity   05329W10     242,340.00         40,390   X          5           40,390
   COM
                                          12,000.00          2,000   X          6            2,000
   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
                                      59,131,024.00      1,275,200   X          6        1,275,200
   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
                                      51,269,327.79      1,807,167   X          6        1,605,962
                                                                     X          6                                     201,205
   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
                                     461,593,790.52     11,294,196   X          6        9,543,050
                                                                     X          6                                   1,751,146
   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
   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
                                         478,548.90          6,190   X          6            6,190
   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
   BMC INDS INC    Equity  055607105      33,498.12          4,876   X          5            4,876
   MINN COM
                                      10,161,135.33      1,479,059   X          6        1,428,964
                                                                     X          6                                      50,095
   BRE             Equity  05564E106     393,792.00         12,306   X          5           12,306
   PROPERTIES INC
</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>
   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
                                      10,521,225.00        283,400   X          6          131,400
                                                                     X          6                                     152,000
   BALDOR ELEC CO  Equity  057741100     108,435.09          5,339   X          5            5,339
   COM
                                      10,329,401.97        508,587   X          6          488,817
                                                                     X          6                                      19,770
   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
                                       1,025,607.25         19,582   X          6            4,490
                                                                     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
                                         594,236.00         10,600   X          6            4,750
                                                                     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
   BANKBOSTON      Equity  06605R106 955,037,906.88     22,018,165   X          6       17,147,890
   CORPORATION
                                                                     X          6                                   4,870,275
   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
   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
</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>
                                                                     X          1                                      17,900
                                         353,712.63          9,401   X          5            9,401
   BASIN EXPL INC  Equity  070107107      92,176.50          4,727   X          5            4,727
   COM
                                         210,931.50         10,817   X          6           10,817
   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
                                     568,095,524.60     21,486,215   X          6       17,760,708
                                                                     X          6                                   3,725,507
   BED BATH &      Equity  075896100   1,461,570.75         59,925   X          5           59,925
   BEYOND INC COM
   BELL ATLANTIC   Equity  077853109 636,112,077.56      9,450,133   X          6        7,259,488
   CORP COM
                                                                     X          6                                   2,190,645
   BELLSOUTH       Equity  079860102  17,852,002.00        443,528   X          5          443,528
   CORP COM
                                         206,321.50          5,126   X          6            5,126
   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
   BERKSHIRE       Equity  084670207     186,300.00             90   X          5               90
   HATHAWAY INC
   CL B
                                      13,920,750.00          6,725   X          6            5,710
                                                                     X          6                                       1,015
   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
</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>
   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
                                           6,291.00          2,097   X          6                                       2,097
   BEVERLY         Equity  087851309     188,612.82         31,753   X          5           31,753
   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
   BIRMINGHAM      Equity  091270108     280,830.00         12,144   X          6           12,144
   UTILITIES 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 TargetEquity  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
   BLANCH E W      Equity  093210102      63,495.00          3,060   X          5            3,060
   HLDGS INC COM
                                       2,520,274.25        121,459   X          6          118,079
                                                                     X          6                                       3,380
   BLOCK H & R INC Equity  093671105     455,986.24         12,304   X          5           12,304
   COM
                                      22,021,052.00        594,200   X          6          593,600
                                                                     X          6                                         600
   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
                                   1,601,949,069.00     25,427,763   X          6       22,172,332
                                                                     X          6                                   3,255,431
   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
</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>
                                                                     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
                                          32,880.00          2,000   X          6            2,000
   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
   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
                                       5,187,924.00         90,825   X          6           86,325
                                                                     X          6                                       4,500
   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
   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
</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>
                                          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
   BRYN MAWR       Equity  117665109     201,000.00          8,000   X          6                                       8,000
   BANK CORP
   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
                                     143,018,281.56      6,633,501   X          6        5,015,776
                                                                     X          6                                   1,617,725
   BURLINGTON      Equity  122014103   1,182,558.06         32,126   X          5           32,126
   RES INC COM
                                         546,996.60         14,860   X          6           14,163
                                                                     X          6                                         697
   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
   COM
   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
                                         109,620.00          1,050   X          6            1,050
   CIT GROUP INC   Equity  125577106     287,122.50         16,407   X          5           16,407
</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>
   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
   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
                                         532,522.40         10,520   X          6           10,520
   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
                                       6,982,842.58        150,775   X          6          138,550
                                                                     X          6                                      12,225
   CABLEVISION     Equity  12686C109     696,918.10         10,510   X          5           10,510
   SYS CORP CL A
   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
                                      12,172,921.50        597,444   X          6          572,974
                                                                     X          6                                      24,470
   CADENCE         Equity  127387108   1,707,203.26         66,454   X          5           66,454
   DESIGN SYS INC
   COM
                                       5,970,356.00        232,400   X          6          212,800
                                                                     X          6                                      19,600
   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
</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>
                                                                     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 3Equity  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
                                      24,638,670.00        665,910   X          6          642,635
                                                                     X          6                                      23,275
   CAMBRIDGE       Equity  132524109     129,378.22         29,606   X          5           29,606
   TECH PTNR MA
   COM
                                           1,420.25            325   X          6                                         325
   CAMPBELL SOUP   Equity  134429109     717,349.23         27,729   X          5           27,729
   CO COM
   CANADIAN PAC    Equity  135923100 597,161,124.38     26,176,926   X          6       22,558,702
   LTD NEW COM
                                                                     X          6                                   3,618,224
   CANDELA LASER   Equity  136907102   1,760,000.00        160,000   X          1          160,000
   CORP          COM
   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
                                      25,439,640.16        288,464   X          6          274,264
                                                                     X          6                                      14,200
   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
                                       8,746,540.00        210,760   X          6          182,255
                                                                     X          6                                      28,505
   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
                                      62,817,930.00      2,551,500   X          6        1,531,500
                                                                     X          6                                   1,020,000
   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
   CASE CORP       Equity  14743R103     712,318.75         14,300   X          6            5,300
                                                                     X          6                                       9,000
</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>
   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
                                     629,435,780.00     20,304,380   X          6       17,973,932
                                                                     X          6                                   2,330,448
   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
   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
   COM
   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
   CHAMPION INTL   Equity  158525105 150,891,457.50      2,937,060   X          6        2,626,260
   CORP COM
                                                                     X          6                                     310,800
   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
   CHARTWELL RE    Equity   16139W10   7,019,671.31        486,211   X          6          466,686
   CORP
</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                                      19,525
   CHASE           Equity  16161A108  15,584,506.00        337,400   X          5          337,400
   MANHATTAN
   NEW COM
                                     194,504,150.02      4,210,958   X          6        3,149,643
                                                                     X          6                                   1,061,315
   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
   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
                                       3,426,197.50         40,190   X          6           38,365
                                                                     X          6                                       1,825
   CHICAGO TITLE   Equity  168228104     300,130.31          7,515   X          6            7,515
   CORP COM
   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
   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
                                          70,396.50          1,983   X          6            1,983
   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
</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>
   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
                                         450,177.00          8,148   X          6            7,948
                                                                     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
                                   2,486,852,533.02     45,999,159   X          6       39,653,649
                                                                     X          6                                   6,345,510
   CITICORP        Equity  17306K209     314,125.00         14,000   X          6           14,000
   CAPITAL PFD
   TRUPS 7%
   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
                                       3,852,848.00         68,192   X          6           58,700
                                                                     X          6                                       9,492
   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
</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>
                                       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
                                          66,695.20          1,210   X          6            1,210
   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
   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
                                         198,696.00          3,400   X          6            3,400
   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
   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
   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
</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>
   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
                                     996,322,769.28     36,203,589   X          6       30,719,723
                                                                     X          6                                   5,483,866
   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
                                     945,021,465.41     37,515,739   X          6       30,629,501
                                                                     X          6                                   6,886,238
   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
                                       2,047,569.84        244,632   X          6          221,291
                                                                     X          6                                      23,341
   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
                                          33,103.13          1,650   X          6            1,650
   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: 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>
   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
                                             711.79             17   X          6               17
   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
                                         130,673.81          4,851   X          6            4,851
   CONSECO INC     Equity  208464107     697,793.88         91,574   X          5           91,574
   COM
                                     164,496,239.46     21,587,433   X          6       17,626,167
                                                                     X          6                                   3,961,266
   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
   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
                                      23,653,848.00        321,000   X          6          312,000
                                                                     X          6                                       9,000
   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
</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>
                                                                     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
   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
                                      15,701,136.66        564,586   X          6          545,246
                                                                     X          6                                      19,340
   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
                                     480,712,501.50     12,734,106   X          6       10,619,414
                                                                     X          6                                   2,114,692
   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
                                       2,794,142.25        122,175   X          6          122,175
   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
</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>
   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
                                                                     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
</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>
   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
                                           9,950.00            200   X          6              200
   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
   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
                                       4,017,879.48        649,092   X          6          632,722
                                                                     X          6                                      16,370
   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
                                           9,243.90            300   X          6              300
   DELPHI AUTO     Equity  247126105     690,938.64         45,697   X          5           45,697
   SYS CORP COM
                                           4,853.52            321   X          6              321
   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
</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>
                                      25,190,391.69        721,013   X          6          695,368
                                                                     X          6                                      25,645
   DEVELOPERS      Equity  251591103     171,917.46         13,358   X          5           13,358
   DIVERS RLTY
   COM
                                          64,350.00          5,000   X          6                                       5,000
   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  25243Q201,049,849,684.81     25,335,739   X          6       22,426,019
   SPONSORED
   ADR NEW
                                                                     X          6                                   2,909,720
   DIAL CORP NEW   Equity  25247D101     344,486.52         29,646   X          5           29,646
   COM
                                           2,324.00            200   X          6                                         200
   DIAMOND         Equity  25271C102  22,345,000.00        545,000   X          2          545,000
   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
   DIGITAL INSIGHT Equity  25385P106     107,610.00          3,000   X          5            3,000
                                         179,350.00          5,000   X          6            5,000
   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
   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
                                     468,197,862.75     12,240,467   X          6       10,563,727
                                                                     X          6                                   1,676,740
   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
   DOLE FOOD INC   Equity  256605106      66,390.00          4,426   X          5            4,426
   COM
                                       6,955,500.00        463,700   X          6          179,700
                                                                     X          6                                     284,000
</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>
   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
   COM
   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
                                     270,345,747.28     11,007,563   X          6        9,508,290
                                                                     X          6                                   1,499,273
   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
                                     471,731,134.28     10,049,662   X          6        8,121,080
                                                                     X          6                                   1,928,582
   DOW CHEM CO     Equity  260543103   4,823,844.92        193,418   X          5          193,418
   COM
                                           2,743.40            110   X          6              110
   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
                                                                     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
                                     872,406,110.24     21,052,271   X          6       17,542,008
                                                                     X          6                                   3,510,263
   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
   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
</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>
                                       4,615,654.96         80,948   X          5           80,948
   ENSERCH         Equity  26842V207     143,357.24         29,804   X          5           29,804
   EXPLORATION
   COM
   EG & G INC COM  Equity  268457108   3,786,187.50         95,250   X          6           87,250
                                                                     X          6                                       8,000
   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
   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 IntlEquity  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
                                       7,436,759.80        403,295   X          6          389,680
                                                                     X          6                                      13,615
   EASTERN         Equity  27637F100   1,340,073.00         21,000   X          4           21,000
   ENTERPRISES
   COM
                                         457,347.77          7,167   X          5            7,167
                                       5,489,513.33         86,025   X          6           85,860
                                                                     X          6                                         165
   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
</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>
   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
   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
                                     102,177,667.80      1,658,190   X          6          978,354
                                                                     X          6                                     679,836
   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
   ELECTRO         Equity  285229100     328,266.64          9,347   X          5            9,347
   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
                                       1,116,350.00         26,900   X          6           13,700
                                                                     X          6                                      13,200
   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
                                     765,166,934.00     11,420,402   X          6        9,238,383
                                                                     X          6                                   2,182,019
   EMISPHERE       Equity  291345106   7,693,083.00        256,950   X          2          256,950
   TECHNOLOGIES
   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>
                                          19,371.18            647   X          5              647
   EMMIS           Equity  291525103      75,858.75          3,065   X          5            3,065
   BROADCASTING
   CP CL A
                                       7,353,843.75        297,125   X          6          246,125
                                                                     X          6                                      51,000
   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
   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
</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>
   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
                                     127,666,391.23      8,620,283   X          6        7,614,063
                                                                     X          6                                   1,006,220
   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
   EVEREST REINS   Equity  299808105  65,424,843.75      2,747,500   X          6        2,636,700
   HLDGS COM
                                                                     X          6                                     110,800
   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
                                         144,500.00          2,000   X          6            1,000
                                                                     X          6                                       1,000
   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 CORP      Equity  302290101     779,000.00         10,250   X          6            9,950
   COM
                                                                     X          6                                         300
   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
                                         360,701.09          4,048   X          6            3,748
                                                                     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
                                             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
</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>
   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
                                   2,008,654,711.50     37,156,025   X          6       31,084,341
                                                                     X          6                                   6,071,684
   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
                                       1,229,800.00         17,200   X          6           16,500
                                                                     X          6                                         700
   FEDERAL SIGNAL  Equity  313855108     353,844.96         17,808   X          5           17,808
   CORP COM
                                          17,883.00            900   X          6              900
   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
                                         399,060.00          9,000   X          6            9,000
   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: 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>
   FIRST BANCORP   Equity  318672102     284,897.08         11,657   X          5           11,657
   FIRST AMER      Equity  318900107     435,000.00         10,000   X          6           10,000
   CORP TENN COM
   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
                                     167,268,942.54      4,282,359   X          6        3,398,589
                                                                     X          6                                     883,770
   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
                                      24,211,139.25        750,733   X          6          724,234
                                                                     X          6                                      26,499
   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
   FLEET FINL      Equity  338915101 168,425,739.38      4,598,655   X          6        2,748,355
   GROUP INC NEW
     COM
                                                                     X          6                                   1,850,300
   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
                                      15,959,073.00        409,207   X          6          348,125
                                                                     X          6                                      61,082
   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
</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>
   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
                                       5,606,253.72        341,013   X          6          327,918
                                                                     X          6                                      13,095
   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
                                                                     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
                                         397,500.00         15,000   X          6           15,000
   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
   FOX ENTMT       Equity  35138T107     168,884.50          6,373   X          5            6,373
   GROUP INC CL A
                                      18,653,350.00        703,900   X          6          540,400
                                                                     X          6                                     163,500
   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 COVEY  Equity  353469109      30,526.56          4,176   X          5            4,176
   CO COM
                                         673,982.00         92,200   X          6           66,900
                                                                     X          6                                      25,300
   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
</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>
                                          15,936.48            279   X          5              279
   FREEPORT        Equity  35671D501   9,365,925.00        531,400   X          6          531,400
   COPPER & GOLD
   CV PFD A
   FREEPORT-       Equity  35671D857     488,805.23         55,483   X          5           55,483
   MCMORAN
   COP&G CL B
                                      16,120,626.10      1,829,810   X          6        1,529,810
                                                                     X          6                                     300,000
   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
                                       2,735,850.00         97,500   X          6           97,500
   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
   GP STRATEGIES   Equity  36225V104   3,433,432.50        305,194   X          6          292,469
   CORP
                                                                     X          6                                      12,725
   GPU INC COM     Equity  36225X100   1,562,115.76         48,154   X          5           48,154
   GTE CORP COM    Equity  362320103     322,875.00          4,200   X          6            2,200
                                                                     X          6                                       2,000
   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
                                           5,300.00            100   X          6              100
   GAP INC DEL COM Equity  364760108   1,849,148.72         91,906   X          5           91,906
                                         593,540.00         29,500   X          6           27,400
                                                                     X          6                                       2,100
   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
                                              11.62              1   X          6                1
   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
</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>
                                         468,286.75          5,371   X          5            5,371
   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
                                      28,327,310.00        451,000   X          6          451,000
   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
                                      14,632,296.86        253,097   X          6          198,287
                                                                     X          6                                      54,810
   GENERAL INSTR   Equity  370120107   4,248,000.00         88,500   X          6           65,300
   CORP DEL COM
                                                                     X          6                                      23,200
   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
                                          29,900.00            460   X          6              460
   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
                                          18,590.00            500   X          6              500
   GENERAL         Equity  370787103      42,567.48          3,492   X          5            3,492
   SEMICONDUCTOR
   COM
                                      35,086,891.46      2,878,334   X          6        2,805,634
                                                                     X          6                                      72,700
   GENTEX CORP     Equity  371901109     493,875.00         19,755   X          5           19,755
   COM
   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
   COM GENL DIV
   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
</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>
   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
                                         108,816.75          3,525   X          6            3,525
   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
   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
   GOODYEAR TIRE   Equity  382550101     599,994.00         33,333   X          5           33,333
   & RUBR COM
   Goss Holdings InEquity  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
   DEL COM
   GRACO INC COM   Equity  384109104     120,776.25          3,745   X          5            3,745
                                         176,085.00          5,460   X          6            5,460
   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
                                          18,758.40            640   X          6              640
</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>
   zzGREAT         Equity  391334604   5,332,250.00        700,000   X          6          700,000
   UNIVERSAL
   STORES PLC ADR
   GREAT           Equity  391334802   1,181,700.00        181,800   X          6          161,400
   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
   GUILFORD MLS    Equity  401794102       1,172.49            627   X          5              627
   INC COM
                                          31,790.00         17,000   X          6           17,000
   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
   FINANCIAL
   SERVICES
                                         275,524.98         10,254   X          5           10,254
                                      11,272,744.23        419,529   X          6          369,975
                                                                     X          6                                      49,554
</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>
   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
   HANNA M A CO    Equity  410522106   1,974,984.38        173,625   X          6          166,955
   COM
                                                                     X          6                                       6,670
   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
                                      16,544,734.90        423,139   X          6          408,413
                                                                     X          6                                      14,726
   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
                                     185,831,772.50      6,757,519   X          6        5,531,269
                                                                     X          6                                   1,226,250
   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
</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>
                                                                     X          3                        119,278
                                         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
   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
                                      88,136,277.30      2,378,205   X          6        1,697,705
                                                                     X          6                                     680,500
   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
                                          32,527.50            750   X          6              750
   HERCULES INC    Equity  427056106     585,245.76         41,448   X          5           41,448
   COM
                                      37,572,303.36      2,660,928   X          6        1,951,698
                                                                     X          6                                     709,230
   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
   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
   HOLLINGER INTL  Equity  435569108     113,481.25          6,775   X          5            6,775
   INC CL A
                                      28,240,667.50      1,686,010   X          6        1,668,800
                                                                     X          6                                      17,210
   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
</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>
                                         169,792.00          3,200   X          6            3,200
   HOMESTAKE       Equity  437614100     459,315.00         88,500   X          5           88,500
   MNG CO COM
   HOMESTEAD       Equity  437851108   2,418,474.38        859,902   X          6          732,894
   VILLAGE INC
                                                                     X          6                                     127,008
   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
   COM
   HONEYWELL INC   Equity  438516106   4,177,264.26        117,273   X          5          117,273
   COM
                                       2,998,313.50         84,175   X          6           62,775
                                                                     X          6                                      21,400
   HOOPER HOMES    Equity  439104100     163,572.00         17,200   X          5           17,200
   INC
   HORACE MANN     Equity  440327104     227,903.14         13,922   X          5           13,922
   EDUCTR CP COM
                                       9,106,287.23        556,279   X          6          540,599
                                                                     X          6                                      15,680
   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
                                   1,416,983,444.00     25,026,200   X          6       21,971,254
                                                                     X          6                                   3,054,946
   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
                                         745,784.00         29,536   X          6                                      29,536
   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
</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>
                                                                     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
                                             432.25             13   X          6               13
   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
   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
                                          87,679.50            500   X          6              500
   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 INDEquity  450911102   1,408,447.48         43,417   X          5           43,417
   COM
                                     194,007,420.00      5,980,500   X          6        5,940,500
                                                                     X          6                                      40,000
   IDACORP INC     Equity  451107106     731,490.00         15,816   X          5           15,816
   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
</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>
   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
                                          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
</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>
                                      48,493,254.69      1,166,755   X          6          727,305
                                                                     X          6                                     439,450
   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
   INTERIM SVCS    Equity  45868P100     163,750.00         10,000   X          6           10,000
   INC 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 COM
                                                                     X          1                                       6,000
                                      48,765,611.38        432,991   X          5          432,991
                                       1,029,392.50          9,140   X          6            2,140
                                                                     X          6                                       7,000
   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
   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
                                           1,744.00            100   X          6                                         100
   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
                                       8,212,009.52        717,833   X          6          690,593
                                                                     X          6                                      27,240
   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
</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>
   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
   COM
   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
   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 COMEquity  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
                                                                     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
   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
                                       9,607,775.00        169,300   X          6          148,900
                                                                     X          6                                      20,400
   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
</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>
                                                                     X          2                                       5,000
                                      35,530,268.62        378,223   X          5          378,223
                                          37,576.00            400   X          6              400
   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
   KCS ENERGY INC  Equity  482434206      13,395.00         13,395   X          6           13,395
   KLA-TENCOR      Equity  482480100   1,505,370.93         36,547   X          5           36,547
   CORP COM
   K MART CORP     Equity  482584109     474,570.00         79,095   X          5           79,095
   COM
   K V             Equity  482740206     186,875.00         10,000   X          6           10,000
   PHARMACEUTICA
   CO CL A
   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
   KEEBLER FOODS   Equity  487256109   1,694,826.00         40,353   X          5           40,353
   CO COM
                                       3,402,000.00         81,000   X          6           81,000
   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
</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>
                                                                     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
                                         125,460.88          2,248   X          6            2,248
   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
                                         866,871.00         18,300   X          6           16,300
                                                                     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
   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
   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
                                     611,068,742.58     27,082,779   X          6       21,117,928
</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>
                                                                     X          6                                   5,964,851
   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
                                      12,212,192.50        216,145   X          6          208,350
                                                                     X          6                                       7,795
   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
   COM
   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
                                       3,050,428.50         80,550   X          6           64,150
                                                                     X          6                                      16,400
   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
   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
</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>
   LEGGETT &       Equity  524660107     268,026.93         16,953   X          5           16,953
   PLATT INC COM
                                          50,592.00          3,200   X          6                                       3,200
   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
   HOSPITALS COM
                                         274,983.00          7,746   X          5            7,746
                                           2,236.50             63   X          6               63
   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
                                       4,887,303.12        262,476   X          6          251,836
                                                                     X          6                                      10,640
   LINEAR          Equity  535678106   5,409,409.25         83,543   X          5           83,543
   TECHNOLOGY
   CORP COM
                                          77,700.00          1,200   X          6            1,200
   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: 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>
   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
                                      25,642,550.40        777,990   X          6          365,190
                                                                     X          6                                     412,800
   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
                                         155,856.00          5,100   X          6            5,100
   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
                                     279,847,200.00        548,720   X          6          501,630
                                                                     X          6                                      47,090
   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
</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                        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
   MCI WORLDCOM    Equity  55268B106 883,713,187.50     12,295,140   X          6        9,127,450
   INC COM
                                                                     X          6                                   3,167,690
   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
                                      30,623,189.50      2,008,078   X          6        1,947,388
                                                                     X          6                                      60,690
   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
   MAGELLAN        Equity  559079108     586,096.88         80,150   X          6           78,350
   HEALTH SVCS
   COM
                                                                     X          6                                       1,800
   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
</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          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
   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
   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
                                      15,541,388.16      1,388,864   X          6        1,233,687
                                                                     X          6                                     155,177
   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
                                     388,629,918.50     18,957,557   X          6       15,739,004
                                                                     X          6                                   3,218,553
   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
                                   1,285,430,876.65     42,578,035   X          6       37,740,828
                                                                     X          6                                   4,837,207
   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
</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>
                                       1,732,409.57         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
   MCWHORTER       Equity  582803102   3,650,212.00        247,472   X          6          240,197
   TECHNOLOGIES
   COM
                                                                     X          6                                       7,275
   MEAD CORP COM   Equity  582834107     199,275.99          8,527   X          5            8,527
                                       6,390,105.84        273,432   X          6          221,566
                                                                     X          6                                      51,866
   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
   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
                                         155,430.00          3,000   X          6            3,000
   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
                                         730,087.90          9,808   X          6            9,408
                                                                     X          6                                         400
   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
</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>
   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
   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
                                         732,766.50         12,150   X          6           11,350
                                                                     X          6                                         800
   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
</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>
                                       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
   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
   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
                                   1,549,574,418.80     17,005,865   X          6       14,806,177
                                                                     X          6                                   2,199,688
   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
   MOBIL CORP      Equity  607059102  29,072,218.50        288,558   X          6          194,958
                                                                     X          6                                      93,600
   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
                                       5,250,738.00         96,450   X          6           73,450
                                                                     X          6                                      23,000
   MONSANTO CO     Equity  611662101,016,616,536.75     28,486,628   X          6       23,535,634
   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>
                                                                     X          6                                   4,950,994
   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
                                      61,724,764.71        675,045   X          6          379,105
                                                                     X          6                                     295,940
   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
                                     225,613,229.25      7,986,309   X          6        6,456,323
                                                                     X          6                                   1,529,986
   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
                                                                     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
                                           4,768.40             91   X          6               91
   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
</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>
   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
                                         805,000.00         20,000   X          6           20,000
   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
                                                                     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
</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>
                                      11,409,870.38         89,577   X          5           89,577
   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
                                          20,531.25          1,500   X          6            1,500
   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
   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 641,117,095.06     24,023,123   X          6       21,594,148
   SP ADR PFD
                                                                     X          6                                   2,428,975
   NEXTEL          Equity  65332V103   6,490,676.50        138,838   X          5          138,838
   COMMUNICATION
   CL A
   NEXTLINK        Equity  65333H707  21,142,152.00        600,800   X          2          600,800
   COMMUNICATION
   CL A
                                       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
   NICHOLS RESH    Equity  653818104     825,774.38         31,015   X          6                                      31,015
   CORP COM
   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
                                       7,010,500.00        175,000   X          6          175,000
   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
</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>
   NOKIA CORP      Equity  654902204 107,820,212.50      2,708,200   X          2        2,698,200
   SPON ADR
                                                                     X          2                                      10,000
                                      28,454,949.25        714,724   X          6          264,524
                                                                     X          6                                     450,200
   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
                                      45,273,250.00        896,500   X          6          670,500
                                                                     X          6                                     226,000
   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
                                       6,224,000.00        400,000   X          6          400,000
   NORFOLK         Equity  655844108   1,527,015.14        104,447   X          5          104,447
   SOUTHERN
   CORP COM
                                          70,176.00          4,800   X          6            4,500
                                                                     X          6                                         300
   NORTEL          Equity  656568102  32,709,054.00        549,732   X          1          535,000
   NETWORKS
   CORP NEW    COM
                                                                     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
   NORTH FORK      Equity  659424105     319,694.94         14,787   X          5           14,787
   BANCORP NY
   COM
                                         162,150.00          7,500   X          6            4,500
                                                                     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
                                       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
</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          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
   NOVO NORDISK    Equity  670100205     239,000.00          4,000   X          6            4,000
   A/S ADR
   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 INCEquity  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
   NUEVO ENERGY    Equity  670509108       6,686.68            364   X          5              364
   CO COM
                                         592,248.80         32,240   X          6           32,240
   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 INDS INC    Equity  671400505  14,832,500.00        436,250   X          6          372,950
   COM NEW
                                                                     X          6                                      63,300
   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
</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>
   OHIO CAS CORP   Equity  677240103      81,297.82         12,823   X          5           12,823
   COM
   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
                                       1,479,874.50         61,500   X          6           55,500
                                                                     X          6                                       6,000
   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
   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
                                      30,789,797.50        422,125   X          6          403,250
                                                                     X          6                                      18,875
   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
                                          88,593.75          1,125   X          6            1,125
   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
</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>
                                                                     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
   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
                                          13,304.50            550   X          6              550
   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
   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
   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
</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>
                                                                     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
   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
   PANCANADIAN     Equity  698900206   4,713,515.63        297,500   X          6          297,500
   PETROLEUM LTD
   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
                                       3,214,687.50         95,250   X          6           73,250
                                                                     X          6                                      22,000
   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
   PAXAR CORP      Equity  704227107      84,402.54          9,441   X          5            9,441
</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>
                                      10,304,056.26      1,152,579   X          6        1,111,194
                                                                     X          6                                      41,385
   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
                                           9,856.00            176   X          6              176
   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
                                       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
                                       7,646,672.00        166,232   X          6          121,866
                                                                     X          6                                      44,366
   PEREGRINE       Equity  71366Q101     354,821.96         18,734   X          5           18,734
   SYSTEMS INC
   COM
   PERFORMANCE     Equity  713755106     183,623.22          4,881   X          5            4,881
   FOOD GROUP
   COM
                                      10,516,219.56        279,538   X          6          267,223
                                                                     X          6                                      12,315
</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>
   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
                                       1,106,782.32         24,628   X          6           18,715
                                                                     X          6                                       5,913
   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
                                       8,280,364.10        137,575   X          6          111,375
                                                                     X          6                                      26,200
   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
                                      18,192,448.00        617,950   X          5          617,950
                                      12,227,050.24        415,321   X          6          237,881
                                                                     X          6                                     177,440
   PHILLIPS PETE   Equity  718507106   3,722,141.75         59,317   X          5           59,317
   CO COM
                                          87,850.00          1,400   X          6            1,400
   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
   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
                                       1,375,576.65        479,295   X          6          458,860
                                                                     X          6                                      20,435
   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
</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>
   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
                                         162,720.00         12,000   X          6           12,000
   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
   POLAROID CORP   Equity  731095105     101,942.40          7,585   X          5            7,585
   COM
                                          94,080.00          7,000   X          6            7,000
   POLICY MGMT     Equity  731108106  20,388,479.38        644,695   X          6          625,950
   SYS CORP COM
                                                                     X          6                                      18,745
   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
                                                                     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
</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>
   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
   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
                                      15,650,015.75        407,818   X          6          395,183
                                                                     X          6                                      12,635
   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
   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
                                       5,975,395.00         89,185   X          6           65,485
                                                                     X          6                                      23,700
   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
                                      22,986,603.75        967,857   X          6          783,286
                                                                     X          6                                     184,571
</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>
   PROTECTIVE      Equity  743674103     289,051.99          9,677   X          5            9,677
   LIFE CORP COM
                                       6,475,816.00        216,800   X          6          167,300
                                                                     X          6                                      49,500
   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
                                       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
</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>
   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
   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
                                       4,614,714.60        165,580   X          6           86,500
                                                                     X          6                                      79,080
   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
   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
   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
</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>
   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
   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
                                      97,352,982.51      3,556,923   X          6        2,127,848
                                                                     X          6                                   1,429,075
   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
                                     251,346,235.68      8,837,772   X          6        6,757,775
                                                                     X          6                                   2,079,997
   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
                                          28,250.40            800   X          6              800
   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
   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
   REGIS CORP      Equity  758932107     162,765.00         10,851   X          5           10,851
   MINN COM
                                       4,089,975.00        272,665   X          6          270,700
                                                                     X          6                                       1,965
   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
</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>
   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   1,088,850.00         18,300   X          6           17,300
   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
                                     276,189,578.50      9,130,234   X          6        7,625,667
                                                                     X          6                                   1,504,567
   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
   ROSS STORES     Equity  778296103     245,583.30         17,090   X          5           17,090
   INC COM
   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
</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>
                                                                     X          1                                      10,622
                                      10,315,030.11        172,095   X          5          172,095
                                         461,522.60          7,700   X          6            4,200
                                                                     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
                                       3,393,669.99        244,677   X          6          236,747
                                                                     X          6                                       7,930
   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
                                         328,400.00          6,568   X          6            6,568
   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
   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 ConvEquity  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
                                      14,904,195.50        307,303   X          6          296,153
                                                                     X          6                                      11,150
   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
   SABRE HLDGS     Equity  785905100          28.94              1   X          2                1
   CORP CL A
</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>
                                         884,869.44         30,576   X          5           30,576
                                      21,989,335.50        759,825   X          6          607,251
                                                                     X          6                                     152,574
   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
                                      10,203,380.44        442,423   X          6          423,243
                                                                     X          6                                      19,180
   ST PAUL COS INC Equity  792860108   2,112,933.50         42,850   X          5           42,850
   COM
                                          56,706.50          1,150   X          6            1,150
   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
                                       5,315,127.00        261,700   X          6          189,900
                                                                     X          6                                      71,800
   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
                                       9,510,120.25        204,242   X          6          156,459
                                                                     X          6                                      47,783
</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>
   SCHLUMBERGER    Equity  806857108     971,258.00         11,800   X          2           11,800
   LTD COM
                                       8,583,862.97        104,287   X          5          104,287
   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
                                         931,051.00         84,641   X          6           84,641
   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        Equity  81413P105  61,466,225.00         84,781   X          6           84,481
   CAPITAL GROUP
   A
                                                                     X          6                                         300
   SECURITY CAP    Equity  81413P204      65,286.18          3,447   X          5            3,447
   GROUP INC CL B
                                      30,901,083.50      1,631,525   X          6        1,331,989
                                                                     X          6                                     299,536
   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
</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>
   PPTYS TR SH
   BEN INT
   SENSORMATIC     Equity  817265101     428,025.00         28,535   X          5           28,535
   ELECTRS CP COM
                                           1,500.00            100   X          6              100
   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
   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
                                          15,051.75          1,525   X          6            1,525
   SHARED MED      Equity  819486101  15,823,846.50        338,478   X          6          328,078
   SYS CORP COM
                                                                     X          6                                      10,400
   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
                                      16,929,350.00        915,100   X          6          772,075
                                                                     X          6                                     143,025
   SHERWIN         Equity  824348106   1,564,818.25         73,225   X          5           73,225
   WILLIAMS CO
   COM
   SHOPKO STORES   Equity  824911101      41,718.51          4,023   X          5            4,023
   INC COM
                                       4,583,996.28        442,044   X          6          425,779
                                                                     X          6                                      16,265
   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
   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
</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>
                                         158,220.00          6,750   X          6              550
                                                                     X          6                                       6,200
   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
   COM
   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
   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
                                       7,362,227.84        159,632   X          6          136,216
                                                                     X          6                                      23,416
   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
   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
</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>
   SPARTECH CORP   Equity  847220209      59,128.00          3,800   X          5            3,800
   COM NEW
                                       3,125,397.16        200,861   X          6          188,861
                                                                     X          6                                      12,000
   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 AEquity  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
                                     710,378,058.03     24,236,713   X          6       20,567,893
                                                                     X          6                                   3,668,820
   SPRINT          Equity  852061506   5,310,993.98        151,483   X          5          151,483
   CORP.(PCS
   GROUP)
                                       2,251,272.72         64,212   X          6           51,029
                                                                     X          6                                      13,183
   STAFF LEASING   Equity  852381102         321.30             85   X          5               85
   INC COM
                                       1,800,671.04        476,368   X          6          460,768
                                                                     X          6                                      15,600
   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
   STAPLES INC     Equity  855030102     943,762.71         66,509   X          5           66,509
   COM
   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
                                         156,650.00          1,205   X          6            1,205
   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
</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>
                                         239,074.98         13,710   X          5           13,710
   STEWART         Equity  860370105      54,215.24         27,946   X          5           27,946
   ENTERPRISES CL
   A
   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
   SUNGARD DATA    Equity  867363103   1,459,007.61         34,081   X          5           34,081
   SYS INC COM
   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
</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>
                                                                     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
   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
                                       2,511,273.16        143,011   X          6          138,071
                                                                     X          6                                       4,940
   TCF FINL CORP   Equity  872275102  10,672,794.00        283,700   X          2          283,700
   COM
                                       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
                                          48,744.00          1,200   X          6            1,200
   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
</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>
   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
                                      15,609,045.00        154,545   X          6          148,020
                                                                     X          6                                       6,525
   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
   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
                                          54,992.00          1,600   X          6            1,600
   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
                                         620,750.00         13,000   X          6           12,100
                                                                     X          6                                         900
   TEMPLE INLAND   Equity  879868107     173,785.43          4,589   X          5            4,589
   INC COM
                                          49,231.00          1,300   X          6            1,300
   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
                                     757,899,577.91     20,799,703   X          6       16,446,033
                                                                     X          6                                   4,353,670
   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
</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>
   WORLDWIDE
   COM
   TEVA            Equity  881624209   2,232,218.75         30,500   X          2           30,500
   PHARMACEUTICA
   INDUSTRIES
                                      12,163,762.50        166,200   X          6          156,700
                                                                     X          6                                       9,500
   TETRA           Equity  88162F105      24,455.90          1,610   X          5            1,610
   TECHNOLOGIES
   DEL COM
                                       3,569,817.09        235,011   X          6          212,456
                                                                     X          6                                      22,555
   TETRA TECH INC  Equity  88162G103     258,096.72          9,037   X          5            9,037
   NEW COM
                                      25,817,811.60        903,985   X          6          886,839
                                                                     X          6                                      17,146
   TEXACO INC COM  Equity  881694103   4,434,307.50         84,463   X          5           84,463
                                      66,811,500.00      1,272,600   X          6          941,300
                                                                     X          6                                     331,300
   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
                                          57,194.28          1,212   X          6            1,212
   TEXTRON INC     Equity  883203101     110,688.00          2,400   X          2            2,400
   COM
                                       1,451,857.60         31,480   X          5           31,480
                                     121,393,374.40      2,632,120   X          6        2,592,320
                                                                     X          6                                      39,800
   THERMO          Equity  883556102   1,063,608.00         40,908   X          5           40,908
   ELECTRON CORP
   COM
                                         170,612.00          6,562   X          6            3,187
                                                                     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
                                          28,785.00          1,500   X          6            1,500
   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
</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>
                                       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
                                      20,150,392.25        257,513   X          5          257,513
                                     243,909,162.50      3,117,050   X          6        3,059,650
                                                                     X          6                                      57,400
   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
   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
                                          45,207.50          2,782   X          6            2,782
   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
                                           1,850.63             63   X          6               63
   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
                                       7,318,180.00        239,000   X          6          239,000
   TRIBUNE CO      Equity  896047107   1,646,218.80         37,740   X          5           37,740
   NEW COM
                                         423,114.00          9,700   X          6            9,100
                                                                     X          6                                         600
</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>
   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
                                      11,928,124.08        226,943   X          6          220,248
                                                                     X          6                                       6,695
   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
   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
                                          91,248.13          1,759   X          6              759
                                                                     X          6                                       1,000
   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
   UAL CORP COM    Equity  902549500      37,338.00            889   X          5              889
   PAR $0.01
                                     193,823,910.00      4,614,855   X          6        4,060,055
                                                                     X          6                                     554,800
   UCAR INTL INC   Equity  90262K109     301,552.47         23,763   X          5           23,763
   COM
                                       1,782,945.00        140,500   X          6           94,300
                                                                     X          6                                      46,200
   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
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 84           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 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
   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
                                       3,900,919.50        170,532   X          6          127,016
                                                                     X          6                                      43,516
   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
   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
                                          49,456.25          1,025   X          6            1,025
   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
   UNITED ASSET    Equity  909420101     282,775.00         11,311   X          5           11,311
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 85           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 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
   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
   US WEST INC     Equity  91273H101   2,448,038.31         42,901   X          6           28,101
   NEW COM
                                                                     X          6                                      14,800
   UNITED          Equity  913004107     325,207.61         12,103   X          5           12,103
   STATIONERS INC
   COM
   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
                                         124,875.00          1,800   X          6            1,800
   UNITED          Equity  913066106     398,664.00          2,712   X          5            2,712
   TELEVISION INC
   COM
   UNITED          Equity  913238101     737,906.25        118,065   X          6           97,965
   WISCONSIN
   SERVICES
                                                                     X          6                                      20,100
   UNITEDHEALTH    Equity  91324P102      59,250.00            600   X          2              600
   GROUP INC
                                       6,794,691.25         68,807   X          5           68,807
   UNITRODE CORP   Equity  913283107  35,715,540.00        850,370   X          6          850,370
   COM
   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
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 86           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>
                                       1,008,586.96         28,459   X          5           28,459
                                      73,455,424.80      2,072,670   X          6        1,660,720
                                                                     X          6                                     411,950
   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 UnitedEquity  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
   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
   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
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 87           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>
                                       6,375,670.42         31,475   X          5           31,475
   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
                                       4,889,378.13        100,942   X          6           89,624
                                                                     X          6                                      11,318
   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
                                           5,312.00            200   X          6                                         200
   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
                                         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
                                         107,760.00          4,000   X          6                                       4,000
   VITAL SIGNS INC Equity  928469105      65,667.00          2,478   X          5            2,478
   COM
                                       7,741,153.50        292,119   X          6          281,364
                                                                     X          6                                      10,755
   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
                                          65,815.60            740   X          6              740
   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
   VOICESTREAM     Equity  928615103   3,668,540.54         31,609   X          5           31,609
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 88           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>
   VOLT            Equity  928703107      24,940.00          1,160   X          5            1,160
   INFORMATION
   SCIEN COM
                                         215,000.00         10,000   X          6           10,000
   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  64,321,125.00        691,625   X          6          653,625
   SPONSORED ADR
                                                                     X          6                                      38,000
   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
                                         126,809.38          2,635   X          6            2,635
   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
                                                                     X          3                        261,500
                                         207,522.00         13,608   X          5           13,608
                                      11,003,774.75        721,559   X          6          695,945
                                                                     X          6                                      25,614
   WANG            Equity  93369N109           0.00         47,570   X          6           47,570
   LABORATORIES
   INC
   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
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 89           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                                      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
                                     696,089,033.28     39,913,362   X          6       31,646,282
                                                                     X          6                                   8,267,080
   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
   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
                                   1,969,876,695.84     42,879,336   X          6       36,043,028
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 90           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                                   6,836,308
   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
   WESTPOINT       Equity  961238102     116,779.25          9,533   X          5            9,533
   STEVENS INC
   COM
                                         249,165.00         20,340   X          6           20,340
   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
                                         359,293.00          8,900   X          6            8,300
                                                                     X          6                                         600
   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
                                       6,100,212.00        527,700   X          6          373,600
                                                                     X          6                                     154,100
   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
                                          84,500.00          2,000   X          6            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: 91           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>
   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
                                       3,193,861.05        105,165   X          6           93,915
                                                                     X          6                                      11,250
   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
                                       2,523,119.00         33,700   X          6           12,300
                                                                     X          6                                      21,400
   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
                                          68,496.00            800   X          6              800
   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
                                      10,823,424.00        435,200   X          6          384,300
                                                                     X          6                                      50,900
   YOUNG &         Equity  987425105     477,229.50          9,641   X          5            9,641
   RUBICAM INC
   COM
                                      13,798,125.00        278,750   X          6          246,550
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 92           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                                      32,200
   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
   ZEBRA           Equity  989207105     455,801.04          9,484   X          5            9,484
   TECHNOLOGIES
   CP CL A
   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
                                     537,567,529.00     13,695,988   X          6       12,476,608
                                                                     X          6                                   1,219,380
   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  26,564,858.25      1,067,934   X          6        1,025,954
   LIFE RE HLDGS
                                                                     X          6                                      41,980
   EVEREST RE      Equity   G3223R10  17,295,300.00        349,400   X          2          349,400
   GROUP LTD
   PARTNER RE LTD  Equity  G6852T105   7,701,468.75        221,625   X          6          189,625
                                                                     X          6                                      32,000
   RENAISSANCERE   Equity   G7496G10  26,381,543.44        760,549   X          6          735,684
   HOLDINGS LTD
                                                                     X          6                                      24,865
   TERRA NOVA      Equity  G87615103   3,759,043.75        117,700   X          6          117,700
   BERMUDA
   HOLDING CL A
   TRITON ENERGY   Equity  G90751101   8,314,800.00        213,200   X          1          197,300
   LTD-ORD CL A
                                                                     X          1                                      15,900
                                          14,820.00            380   X          6              380
   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
                                   1,128,200,010.00     15,349,660   X          6       13,542,487
                                                                     X          6                                   1,807,173
   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
   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
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

    Page: 93           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          2                                       5,000
                                      10,101,375.00        123,000   X          6          123,000
   TEEKAY          Equity   Y8564W10  10,772,156.25        229,500   X          2          229,500
   SHIPPING CORP
                          Total Market V66,095,066,046.27
</TABLE>


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