<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
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Form 13-F File No. 28-2701
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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
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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
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2. 28-2701 PIMCO Advisors L.P.
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3. 28-4554 NFJ Investment Group
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4. 28-4976 Pacific Investment Management Company
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5. 28-4558 Parametric Portfolio Associates
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6. 28-204 Oppenheimer Capital
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<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
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Item 6 Inv.
Discretion Item 7 Item 8
Item 1 Item 2 Item 3 Item 4 Item 5 S S S Managers Voting Authority
Name of Title Cusip Fair Shares or O H H Instr.V (Shares)
Issuer of Number Market Principal L R 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>