PIMCO ADVISORS L P /
13F-HR, 2000-05-15
INVESTMENT ADVICE
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<PAGE>

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

                                    FORM 13F

          Report for the Calendar Year or Quarter Ended March 31, 2000

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

         Check here if Amendment:      [_]  Amendment No.____
         This Amendment                [_]  is a restatement
                                       [_]  adds new holdings entries

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

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

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

Form 13-F File No.  28-2701
- --------------------------------------------------------------------------------

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

  Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Newport Beach and the State of California on the
12th day of May, 2000.

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

Name:    Richard M. Weil
Title:   Managing Director and General Counsel
Phone:   (949) 219-2234

                                        /s/ RICHARD M. WEIL
                     -----------------------------------------------------------
                     (Signature of Person Duly Authorized to Submit This Report)


- --------------------------------------------------------------------------------
Report Type:

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

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

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

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

Number of Other Included Managers:          6
Form 13-F Information Table Entry Total:    3,996
Form 13-F Information Table Value Total:    $55,272,616,211

- --------------------------------------------------------------------------------
List of Other Included Managers

  Name and Form 13-F File numbers of all institutional investment managers with
respect to which this Report is filed, other than the manager filing this
Report.

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

<TABLE>
<CAPTION>
Page: 1                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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   5,532,772.22     102,706.00   X          5       102,706.00
   TELECOMMUNICA
   COM
   AFLAC INC COM   Equity  001055102   2,665,260.00      58,500.00   X          5        58,500.00
                                     666,951,609.88  14,638,973.00   X          6    11,924,722.00
                                                                     X          6                   2,714,251.00
   AGCO CORP COM   Equity  001084102     173,654.01      15,273.00   X          5        15,273.00
   AGL RES INC COM Equity  001204106     267,852.97      14,581.00   X          5        14,581.00
   AG SVCS AMER    Equity  001250109   2,594,750.00     107,000.00   X          1       107,000.00
   INC COM
   AES CORP COM    Equity  00130H105   4,119,018.75      52,305.00   X          5        52,305.00
   AK STL HLDG     Equity  001547108     113,966.30      10,990.00   X          5        10,990.00
   CORP COM
   AMB PROPERTY    Equity  00163T109     678,690.50      31,567.00   X          5        31,567.00
   CORP COM
   AMFM INC COM    Equity  001693100   1,093,125.64      17,597.00   X          5        17,597.00
                                     173,847,106.28   2,798,569.00   X          6     2,193,989.00
                                                                     X          6                     604,580.00
   AMR CORP COM    Equity  001765106     561,995.58      17,634.00   X          5        17,634.00
                                     388,393,347.87  12,186,801.00   X          6     9,989,704.00
                                                                     X          6                   2,197,097.00
   AT&T CORP COM   Equity  001957109  30,328,942.91     538,578.00   X          1       525,778.00
                                                                     X          1                                   12,800.00
                                      65,745,314.87   1,167,498.00   X          5     1,167,498.00
                                       4,368,818.85      77,581.00   X          6        68,732.00
                                                                     X          6                       8,849.00
   AT&T CORP COM   Equity  001957208  61,996,743.00   1,045,300.00   X          2     1,045,300.00
   LIB GRP A
                                      15,159,873.24     255,604.00   X          5       255,604.00
                                      11,731,518.00     197,800.00   X          6       197,800.00
   AXA FINL INC COMEquity  002451102   8,232,918.27     229,521.00   X          5       229,521.00
   ABBOTT LABS     Equity  002824100   9,620,910.81     273,399.00   X          5       273,399.00
   COM
                                          59,295.15       1,685.00   X          6         1,685.00
   ABGENIX INC COM Equity  00339B107     227,069.28       1,644.00   X          5         1,644.00
   ABOUT.COM INC   Equity  003736105  12,857,437.50     145,900.00   X          2       145,900.00
   ACTIVE          Equity  00504E100  11,424,243.75     179,600.00   X          2       179,600.00
   SOFTWARE INC
   ACTUATE CORP    Equity  00508B102  14,830,862.80     275,600.00   X          1       230,400.00
   COM
                                                                     X          1                                   45,200.00
                                         193,511.55       3,596.00   X          5         3,596.00
   ACXIOM CORP     Equity  005125109     544,402.25      16,373.00   X          5        16,373.00
   COM
   ADAPTIVE        Equity  00650M104     513,707.00       9,602.00   X          5         9,602.00
   BROADBAND CP
   COM
   ADAPTEC INC     Equity  00651F108   4,557,971.02     118,021.00   X          5       118,021.00
   COM
                                         449,420.94      11,637.00   X          6            92.00
                                                                     X          6                      11,545.00
   ADELPHIA        Equity  006847107     221,339.04       3,592.00   X          5         3,592.00
   BUSNSS SOLUTN
   CL A
   Adeplhia        Equity  006848402     243,600.00       1,600.00   X          4         1,600.00
   Communications
   Conv. Pf
   ADOBE SYS INC   Equity  00724F101   3,096,087.65      27,815.00   X          5        27,815.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 2                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   ADTRAN INC COM  Equity  00738A106     441,044.80       7,420.00   X          5         7,420.00
   ADVANCED        Equity  007525108   4,634,025.00     135,300.00   X          1       112,900.00
   DIGITAL INFO
   COM
                                                                     X          1                                   22,400.00
                                         204,952.00       5,984.00   X          5         5,984.00
   ADVANCED        Equity  00754A105     975,142.95      15,555.00   X          5        15,555.00
   FIBRE COMMNCT
   COM
   ADVANTICA       Equity  00758B109      19,200.00      12,800.00   X          5        12,800.00
   RESTAURANT
   GROUP INC
   AEROFLEX INC    Equity  007768104  20,547,450.00     415,100.00   X          2       415,100.00
   COM
                                          97,564.50       1,971.00   X          5         1,971.00
   ADVANCED        Equity  007903107   1,608,281.00      27,259.00   X          5        27,259.00
   MICRO DEVICES
   COM
   ADVANCED        Equity  007973100   7,400,100.00     145,100.00   X          1       121,500.00
   ENERGY INDS
   COM
                                                                     X          1                                   23,600.00
                                       8,417,550.00     165,050.00   X          2       165,050.00
                                          99,144.00       1,944.00   X          5         1,944.00
   AES Trust III CoEquity  00808N202   2,700,000.00      40,000.00   X          4        40,000.00
   Pfd.
   AETNA INC COM   Equity  008117103  25,951,800.00     467,600.00   X          2       467,600.00
                                       2,202,406.50      39,683.00   X          5        39,683.00
                                       1,123,875.00      20,250.00   X          6           250.00
                                                                     X          6                      20,000.00
   AFFILIATED      Equity  008190100     225,758.00       5,941.00   X          5         5,941.00
   COMPUTER SVCS
   - A
   AFFILIATED      Equity  008252108     535,372.50      11,271.00   X          5        11,271.00
   MANAGERS
   GROUP
   AFFYMETRIX INC  Equity  00826T108     425,280.60       2,865.00   X          5         2,865.00
   COM
   AGRIBRANDS      Equity  00849R105     215,890.52       5,492.00   X          5         5,492.00
   INTL INC COM
   AIR PRODS &     Equity  009158106     746,464.68      26,247.00   X          5        26,247.00
   CHEMS INC COM
                                         113,760.00       4,000.00   X          6         4,000.00
   AIRBORNE FGHT   Equity  009266107     243,366.90      10,115.00   X          5        10,115.00
   CORP COM
   AIRTRAN HLDGS   Equity  00949P108      80,037.09      18,149.00   X          5        18,149.00
   INC COM
   ALABAMA NATL    Equity  010317105   1,425,000.00      75,000.00   X          1        75,000.00
   BANCORP D COM
                                          34,200.00       1,800.00   X          5         1,800.00
   ALBANY INTL     Equity  012348108      73,842.66       4,986.00   X          5         4,986.00
   CORP CL A
                                       5,155,612.77     348,117.00   X          6       323,185.00
                                                                     X          6                      24,932.00
   ALBERTO         Equity  013068101     324,292.20      13,620.00   X          5        13,620.00
   CULVER CO CL B
   CONV
   ALBERTSONS      Equity  013104104   1,009,881.18      32,714.00   X          5        32,714.00
   INC COM
   ALCAN           Equity  013716105  14,418,867.90     423,300.00   X          1       397,400.00
   ALUMINIUM NEW
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 3                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   25,900.00
                                         361,476.56      10,612.00   X          5        10,612.00
   ALCOA INC       Equity  013817101  31,289,350.00     445,400.00   X          1       435,100.00
                                                                     X          1                                   10,300.00
                                      12,378,893.00     176,212.00   X          5       176,212.00
                                     541,517,839.75   7,708,439.00   X          6     6,155,872.00
                                                                     X          6                   1,552,567.00
   ALEXANDER &     Equity  014482103     274,782.12      13,326.00   X          5        13,326.00
   BALDWIN COM
   ALFA CORP COM   Equity  015385107     199,368.00      11,232.00   X          5        11,232.00
   ALKERMES INC    Equity  01642T108  27,972,000.00     302,400.00   X          2       302,400.00
   COM
                                         541,772.50       5,857.00   X          5         5,857.00
   ALLEGHANY       Equity  017175100   1,162,404.00       6,183.00   X          5         6,183.00
   CORP DEL COM
   ALLEGHENY       Equity  017361106     250,013.01       9,029.00   X          5         9,029.00
   ENERGY INC COM
                                          18,441.54         666.00   X          6           333.00
                                                                     X          6                         333.00
   ALLEGHENY       Equity  01741R102     256,707.82      12,797.00   X          5        12,797.00
   TECHNOLOGIES
   COM
                                       1,604,800.00      80,000.00   X          6        51,300.00
                                                                     X          6                      28,700.00
   ALLEGIANCE      Equity  01747T102   1,087,241.32      13,486.00   X          5        13,486.00
   TELECOM INC
   COM
   ALLERGAN INC    Equity  018490102  70,571,900.00   1,411,438.00   X          1     1,353,938.00
   COM
                                                                     X          1                                   57,500.00
                                      21,425,000.00     428,500.00   X          2       428,500.00
                                       1,244,700.00      24,894.00   X          5        24,894.00
   ALLIANT ENERGY  Equity  018802108     723,132.64      23,756.00   X          5        23,756.00
   CORP
                                          22,495.16         739.00   X          6           370.00
                                                                     X          6                         369.00
   ALLIANT         Equity  018804104     149,294.32       2,536.00   X          5         2,536.00
   TECHSYSTEMS
   COM
                                      12,390,074.55     210,465.00   X          6       200,320.00
                                                                     X          6                      10,145.00
   ALLIED WASTE    Equity  019589308     314,178.08      47,893.00   X          5        47,893.00
   INDS INC COM
   PAR$.0
   ALLMERICA FINL  Equity  019754100   1,698,504.00      33,304.00   X          5        33,304.00
   CORP COM
   ALLSTATE CORP   Equity  020002101   5,155,150.72     216,512.00   X          5       216,512.00
   COM
   ALLTEL CORP     Equity  020039103  20,331,511.20     322,400.00   X          1       315,000.00
   COM
                                                                     X          1                                    7,400.00
                                       3,804,716.92      60,332.00   X          5        60,332.00
                                          21,693.67         344.00   X          6           344.00
   ALPHA INDS INC  Equity  020753109     410,875.00       4,325.00   X          5         4,325.00
   COM
   ALTERA CORP     Equity  021441100  41,028,225.00     459,700.00   X          1       449,200.00
   COM
                                                                     X          1                                   10,500.00
                                      31,362,450.00     351,400.00   X          2       351,400.00
                                       4,377,980.25      49,053.00   X          5        49,053.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 4                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   ALTERRA         Equity  02146C104      61,204.00      15,301.00   X          5        15,301.00
   HEALTHCARE
   CORP
   ALZA CORP DEL   Equity  022615108   1,175,966.04      31,309.00   X          5        31,309.00
   COM
   AMAZON COM      Equity  023135106   1,246,736.00      18,608.00   X          5        18,608.00
   INC COM
   AMBAC FINL      Equity  023139108  31,162,579.50     618,612.00   X          1       580,112.00
   GROUP INC COM
                                                                     X          1                                   38,500.00
                                       2,930,414.50      58,172.00   X          5        58,172.00
   AMERADA HESS    Equity  023551104   1,517,988.42      23,491.00   X          5        23,491.00
   CORP COM
   AMEREN CORP     Equity  023608102     832,440.70      26,905.00   X          5        26,905.00
   COM
   AMERICA ONLINE  Equity  02364J104     195,570.20       2,900.00   X          1         2,900.00
   INC DEL COM
                                      24,089,258.23     357,206.00   X          5       357,206.00
   AMERICAN ELEC   Equity  025537101   1,603,002.94      53,774.00   X          5        53,774.00
   PWR INC COM
                                         104,335.00       3,500.00   X          6         3,500.00
   AMERICAN        Equity  025816109  22,758,173.21     152,803.00   X          1       149,303.00
   EXPRESS CO COM
                                                                     X          1                                    3,500.00
                                      62,419,915.80     419,100.00   X          2       419,100.00
                                      12,613,559.22      84,690.00   X          5        84,690.00
                                       6,210,714.60      41,700.00   X          6        25,000.00
                                                                     X          6                      16,700.00
   AMERICAN FINL   Equity  025932104     200,483.10       7,005.00   X          5         7,005.00
   GROUP OH COM
   AMERICAN        Equity  026351106   4,940,355.84      88,032.00   X          5        88,032.00
   GENERAL CORP
   COM
                                         196,981.20       3,510.00   X          6         3,510.00
   AMERICAN        Equity  026375105     151,256.00       8,288.00   X          5         8,288.00
   GREETINGS CP
   CL A
                                          56,575.00       3,100.00   X          6           600.00
                                                                     X          6                       2,500.00
   AMERICAN HOME   Equity  026609107  13,463,353.75     250,481.00   X          5       250,481.00
   PRODS CP COM
                                   1,158,424,192.50  21,552,078.00   X          6    18,606,498.00
                                                                     X          6                   2,945,580.00
   AMERICAN INTL   Equity  026874107  46,864,905.00     427,990.00   X          2       427,990.00
   GROUP COM
                                      53,121,187.50     485,125.00   X          5       485,125.00
                                       7,187,908.50      65,643.00   X          6        54,439.00
                                                                     X          6                      11,204.00
   AMERICAN MGMT   Equity  027352103     440,553.36      10,056.00   X          5        10,056.00
   SYS INC COM
   AMERICAN        Equity  027714104   5,702,812.50     434,500.00   X          6       369,500.00
   NATIONAL CAN
   GROUP
                                                                     X          6                      65,000.00
   AMERICAN NATL   Equity  028591105     323,265.00       5,622.00   X          5         5,622.00
   INS CO COM
   AMERN PWR       Equity  029066107  17,083,695.00     398,500.00   X          3       320,100.00
   CONVERSION
   COM
                                                                     X          3                      78,400.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 5                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                       3,565,583.64      83,172.00   X          5        83,172.00
   AMERICAN STD    Equity  029712106     432,234.00      11,682.00   X          5        11,682.00
   COS INC COM
   AMERICAN        Equity  029912201  24,714,622.00     500,600.00   X          2       500,600.00
   TOWER CORP CL
   A
                                         762,667.76      15,448.00   X          5        15,448.00
   AMERICREDIT     Equity  03060R101   6,747,447.00     413,700.00   X          2       413,700.00
   CORP COM
                                         522,376.68      32,028.00   X          5        32,028.00
   AMERISOURCE     Equity  03071P102      78,810.00       5,254.00   X          5         5,254.00
   HEALTH CP CL A
                                      17,391,375.00   1,159,425.00   X          6     1,098,410.00
                                                                     X          6                      61,015.00
   AMERITRADE      Equity  03072H109     266,535.51      12,759.00   X          5        12,759.00
   HLDG CORP
   AMERUS LIFE     Equity  030732101   5,133,921.48     283,329.00   X          3       140,829.00
   HLDGS INC COM
                                                                     X          3                     142,500.00
                                          10,563.96         583.00   X          5           583.00
   AMES DEPT       Equity  030789507   9,164,455.30     373,100.00   X          1       311,800.00
   STORES INC COM
   NEW
                                                                     X          1                                   61,300.00
                                          49,371.63       2,010.00   X          5         2,010.00
   AMETEK INC      Equity  031100100     226,822.75      11,783.00   X          5        11,783.00
   NEW COM
   AMF BOWLING     Equity  03113V109      53,544.84      25,257.00   X          5        25,257.00
   INC COM
   AMGEN INC COM   Equity  031162100  64,892,638.00   1,057,400.00   X          2     1,057,400.00
                                      17,751,211.13     289,249.00   X          5       289,249.00
                                         441,864.00       7,200.00   X          6         7,200.00
   AMKOR           Equity  031652100     111,426.00       2,100.00   X          2         2,100.00
   TECHNOLOGY
   INC COM
                                         716,840.60      13,510.00   X          5        13,510.00
   AMPHENOL        Equity  032095101     266,054.50       2,602.00   X          5         2,602.00
   CORP NEW CL A
   AMSOUTH         Equity  032165102     866,773.98      58,017.00   X          5        58,017.00
   BANCORPORATIO
   COM
                                         279,527.40      18,710.00   X          6        18,710.00
   ANACOMP INC     Equity  032371106     257,393.52      16,542.00   X          5        16,542.00
   DEL COM
   ANADARKO PETE   Equity  032511107  31,902,124.80     824,600.00   X          1       769,600.00
   CORP COM
                                                                     X          1                                   55,000.00
                                       2,379,969.70      61,517.00   X          5        61,517.00
                                     174,950,037.60   4,522,075.00   X          6     3,574,860.00
                                                                     X          6                     947,215.00
   ANADIGICS INC   Equity  032515108   4,857,600.00      73,600.00   X          1        61,450.00
   COM
                                                                     X          1                                   12,150.00
                                         268,422.00       4,067.00   X          5         4,067.00
   ANALOG          Equity  032654105  32,473,700.00     403,400.00   X          1       395,200.00
   DEVICES INC COM
                                                                     X          1                                    8,200.00
                                       7,760,361.00      96,402.00   X          5        96,402.00
   ANALYSTS INTL   Equity  032681108      29,007.93       2,939.00   X          5         2,939.00
   CORP
   CIRCUITS COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 6                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                       1,600,075.05     162,115.00   X          6       150,440.00
                                                                     X          6                      11,675.00
   ANDOVER         Equity  034258103   1,333,752.00      46,700.00   X          3                      46,700.00
   BANCORP INC D
                                         111,126.96       3,891.00   X          5         3,891.00
   ANDREW CORP     Equity  034425108     456,416.59      19,957.00   X          5        19,957.00
   COM
   ANHEUSER        Equity  035229103  27,925,350.00     448,600.00   X          1       438,200.00
   BUSCH COS INC
   COM
                                                                     X          1                                   10,400.00
                                       8,371,131.00     134,476.00   X          5       134,476.00
                                       2,558,475.00      41,100.00   X          6        36,800.00
                                                                     X          6                       4,300.00
   ANTEC CORP      Equity  03664P105  17,946,405.00     400,500.00   X          2       400,500.00
   COM
                                         170,278.00       3,800.00   X          5         3,800.00
   ANTHRACITE      Equity  037023108     120,911.84      16,982.00   X          5        16,982.00
   CAPITAL INC
   AON CORP COM    Equity  037389103   2,796,075.00      86,700.00   X          2        86,700.00
                                       1,885,431.75      58,463.00   X          5        58,463.00
   APACHE CORP     Equity  037411105  42,103,425.00     846,300.00   X          1       793,100.00
   COM
                                                                     X          1                                   53,200.00
                                      15,850,350.00     318,600.00   X          3       253,600.00
                                                                     X          3                      65,000.00
                                       1,539,613.25      30,947.00   X          5        30,947.00
   Apache Corp.    Equity  037411600   3,465,000.00      77,000.00   X          4        77,000.00
   Conv. Pfd.
   APARTMENT       Equity  03748R101  31,940,443.20     836,400.00   X          1       784,300.00
   INVT & MGMT CL
   A
                                                                     X          1                                   52,100.00
                                         141,142.85       3,696.00   X          5         3,696.00
   APOGEE          Equity  037598109      91,079.74      22,942.00   X          5        22,942.00
   ENTERPRISES
   INC COM
   APOLLO GROUP    Equity  037604105     615,415.89      21,831.00   X          5        21,831.00
   INC CL A
   APPLE           Equity  037833100  12,805,660.71      94,291.00   X          5        94,291.00
   COMPUTER INC
   COM
   APRIA           Equity  037933108     187,633.36      12,994.00   X          5        12,994.00
   HEALTHCARE
   GROUP COM
   APPLIED         Equity  03820C105      33,824.00       2,114.00   X          5         2,114.00
   INDLTECH INC
   COM
                                       1,878,400.00     117,400.00   X          6        98,700.00
                                                                     X          6                      18,700.00
   APPLIED MATLS   Equity  038222105  52,186,225.00     553,700.00   X          1       541,100.00
   INC COM
                                                                     X          1                                   12,600.00
                                     220,969,125.00   2,344,500.00   X          2     2,344,500.00
                                      14,892,631.00     158,012.00   X          5       158,012.00
   APPLIED PWR     Equity  038225108     339,121.50      11,899.00   X          5        11,899.00
   INC CL A
                                      27,357,150.00     959,900.00   X          6       843,300.00
                                                                     X          6                     116,600.00
   APPLIED MICRO   Equity   03822W10  45,544,120.50     303,500.00   X          1       288,000.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 7                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   15,500.00
                                     205,466,259.60   1,369,200.00   X          2     1,369,200.00
                                       2,599,691.41      17,324.00   X          5        17,324.00
                                         114,798.19         765.00   X          6           765.00
   APPLIED         Equity  038236105   6,624,750.00     219,000.00   X          1       183,200.00
   SCIENCE &
   TECHN INC COM
                                                                     X          1                                   35,800.00
   APPNET INC      Equity  03831Q101  11,961,500.00     254,500.00   X          2       254,500.00
   APROPOS         Equity  038334108     555,000.00      15,000.00   X          1        15,000.00
   TECHNOLOGY
   INC COM
   APTARGROUP      Equity  038336103     224,249.38       8,402.00   X          5         8,402.00
   INC COM
   ARCADIA FINL    Equity  039101100      52,315.00      10,463.00   X          5        10,463.00
   LTD COM
   ARCHER          Equity  039483102     714,173.70      69,270.00   X          5        69,270.00
   DANIELS
   MIDLAND COM
                                          58,457.70       5,670.00   X          6         5,670.00
   ARCHSTONE       Equity  039581103      53,179.98       2,667.00   X          5         2,667.00
   CMNTYS TR SH
   BEN INT
                                       5,298,915.42     265,743.00   X          6       203,143.00
                                                                     X          6                      62,600.00
   ARGOSY GAMING   Equity  040228108   4,360,500.00     306,000.00   X          1       255,700.00
   CO COM
                                                                     X          1                                   50,300.00
                                           7,253.25         509.00   X          5           509.00
   ARIBA INC       Equity  04033V104 141,517,837.50     675,100.00   X          2       675,100.00
                                         123,678.75         590.00   X          6           590.00
   ARMSTRONG       Equity  042476101   9,581,000.50     536,150.00   X          3       182,900.00
   WORLD INDS
   COM
                                                                     X          3                     353,250.00
                                         310,258.94      17,362.00   X          5        17,362.00
   ARQULE INC      Equity  04269E107   4,793,850.00     355,100.00   X          2       355,100.00
   ARROW           Equity  042735100  19,524,975.00     553,900.00   X          2       553,900.00
   ELECTRS INC
   COM
                                         696,892.50      19,770.00   X          5        19,770.00
                                      88,668,660.75   2,515,423.00   X          6     1,645,323.00
                                                                     X          6                     870,100.00
   ARROW INTL INC  Equity  042764100   5,235,653.00     166,900.00   X          3        70,900.00
   COM
                                                                     X          3                      96,000.00
                                          87,459.56       2,788.00   X          5         2,788.00
   ART             Equity  04289L107   6,989,150.00     106,400.00   X          2       106,400.00
   TECHNOLOGY
   GROUP INC
   ARTHROCARE      Equity  043136100  16,274,800.00     176,900.00   X          1       161,100.00
   CORP
                                                                     X          1                                   15,800.00
                                      11,242,400.00     122,200.00   X          2       122,200.00
   ARVIN           Equity  043339100   6,075,732.00     268,600.00   X          3       144,400.00
   INDUSTRIES INC
                                                                     X          3                     124,200.00
                                         140,741.64       6,222.00   X          5         6,222.00
   ASHLAND INC     Equity  044204105     447,678.00      13,464.00   X          5        13,464.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 8                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   ASIA PULP &     Equity  04516V100  16,285,475.00   2,208,200.00   X          2     2,208,200.00
   PAPER CO
   SPONSORED
   ASPECT DEV INC  Equity  045234101     109,429.00       1,700.00   X          2         1,700.00
   COM
                                         494,039.75       7,675.00   X          5         7,675.00
   ASPECT          Equity  04523Q102   6,804,766.80     183,600.00   X          1       153,200.00
   COMMUNICATION
   COM
                                                                     X          1                                   30,400.00
                                         483,523.90      13,046.00   X          5        13,046.00
   ASPEN           Equity  045327103     234,832.29       5,817.00   X          5         5,817.00
   TECHNOLOGY
   INC COM
   ASSOCIATED      Equity  045604105     355,655.56      44,126.00   X          5        44,126.00
   ESTATE RLTY
   COM
   AT HOME         Equity  045919107     298,271.70       9,055.00   X          5         9,055.00
   CORPORATION
   ASSOCIATES      Equity  046008108   2,190,104.45     102,485.00   X          5       102,485.00
   FIRST CAP CL A
                                           3,632.90         170.00   X          6           170.00
   ASTEC INDS INC  Equity  046224101  10,412,696.00     392,000.00   X          1       353,200.00
   COM
                                                                     X          1                                   38,800.00
                                          93,714.26       3,528.00   X          5         3,528.00
   ASTORIA FINL    Equity  046265104     266,422.67       9,391.00   X          5         9,391.00
   CORP COM
   ASYST           Equity  04648X107  16,233,750.00     277,500.00   X          1       232,100.00
   TECHNOLOGY CP
   COM
                                                                     X          1                                   45,400.00
                                         186,849.00       3,194.00   X          5         3,194.00
   ATLANTIC COAST  Equity  048396105     201,087.51       7,773.00   X          5         7,773.00
   AIR HLD COM
   ATLANTIC        Equity  048825103  26,792,000.00     315,200.00   X          1       307,900.00
   RICHFIELD CO
   COM
                                                                     X          1                                    7,300.00
                                       2,442,475.00      28,735.00   X          5        28,735.00
   ATMEL CORP      Equity  049513104  67,138,312.50   1,300,500.00   X          1     1,244,800.00
   COM
                                                                     X          1                                   55,700.00
                                      71,500,625.00   1,385,000.00   X          2     1,385,000.00
                                       2,634,991.63      51,041.00   X          5        51,041.00
   AUDIOVOX CORP   Equity  050757103   2,482,262.50      56,900.00   X          1        56,900.00
   CL A
                                          66,091.88       1,515.00   X          5         1,515.00
   AUTODESK INC    Equity  052769106     341,068.00       7,496.00   X          5         7,496.00
   COM
   AUTOLIV INC COM Equity  052800109     331,530.00      11,051.00   X          5        11,051.00
   AUTOMATIC       Equity  053015103   5,157,490.75     106,891.00   X          5       106,891.00
   DATA PROCESS
   COM
                                          88,056.25       1,825.00   X          6         1,825.00
   AUTONATION INC  Equity   05329W10     202,676.44      25,526.00   X          5        25,526.00
   COM
   AUTOZONE INC    Equity  053332102     425,518.50      15,334.00   X          5        15,334.00
   COM
   AVALON BAY      Equity  053484101     750,380.42      20,491.00   X          5        20,491.00
   CMNTYS INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 9                Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   AVERY           Equity  053611109   1,440,222.22      23,587.00   X          5        23,587.00
   DENNISON CORP
   COM
                                          12,212.00         200.00   X          6           200.00
   AVIS RENT A CAR Equity  053790101  12,006,150.00     681,200.00   X          2       681,200.00
   INC COM
   AVISTA CORP     Equity  05379B107  20,680,625.00     507,500.00   X          2       505,000.00
   COM
                                                                     X          2                       2,500.00
                                          59,617.25       1,463.00   X          5         1,463.00
   AVNET INC COM   Equity  053807103     500,598.00       7,946.00   X          5         7,946.00
                                      18,279,891.00     290,157.00   X          6       193,367.00
                                                                     X          6                      96,790.00
   AVON PRODS INC  Equity  054303102   2,253,303.00      77,036.00   X          5        77,036.00
   COM
                                     290,401,985.25   9,928,273.00   X          6     8,030,872.00
                                                                     X          6                   1,897,401.00
   BB&T CORP COM   Equity  054937107   1,092,488.04      38,934.00   X          5        38,934.00
   BHC             Equity  055448104     345,540.00       2,215.00   X          5         2,215.00
   COMMUNICATION
   INC CL A
   BISYS GROUP     Equity  055472104     409,507.00       6,158.00   X          5         6,158.00
   INC COM
   BJ SERVICES CO  Equity  055482103  50,183,287.50     679,300.00   X          1       644,700.00
   COM
                                                                     X          1                                   34,600.00
                                       1,200,321.00      16,248.00   X          5        16,248.00
   BJS WHOLESALE   Equity  05548J106  46,418,400.00   1,209,600.00   X          1     1,148,200.00
   CLUB INC COM
                                                                     X          1                                   61,400.00
                                      39,196,225.00   1,021,400.00   X          2     1,019,900.00
                                                                     X          2                       1,500.00
                                         735,073.13      19,155.00   X          5        19,155.00
   BMC INDS INC    Equity  055607105      15,050.05       2,645.00   X          5         2,645.00
   MINN COM
                                       5,597,645.61     983,769.00   X          6       938,639.00
                                                                     X          6                      45,130.00
   BRE             Equity  05564E106     275,857.28      10,688.00   X          5        10,688.00
   PROPERTIES INC
   CL A
   BSB BANCORP     Equity  055652101     223,935.10      10,730.00   X          5        10,730.00
   INC
   BMC SOFTWARE    Equity  055921100   1,602,056.50      32,450.00   X          5        32,450.00
   INC COM
   BAKER HUGHES    Equity  057224107     955,022.75      31,571.00   X          5        31,571.00
   INC COM
   BALDOR ELEC CO  Equity  057741100     128,677.50       7,125.00   X          5         7,125.00
   COM
                                      13,121,438.82     726,547.00   X          6       693,157.00
                                                                     X          6                      33,390.00
   BALL CORP COM   Equity  058498106   1,785,715.20      51,670.00   X          5        51,670.00
   BANCO           Equity  059646109     123,567.06      10,349.00   X          5        10,349.00
   SANTANDER PR
   SAN COM
   BANK OF         Equity  060505104  37,168,685.40     708,785.00   X          5       708,785.00
   AMERICA CORP
   COM
                                       1,026,880.08      19,582.00   X          6         4,490.00
                                                                     X          6                      15,092.00
   BANK NEW YORK   Equity  064057102   9,307,154.20     223,945.00   X          5       223,945.00
   INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 10               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                         241,048.00       5,800.00   X          6         3,000.00
                                                                     X          6                       2,800.00
   BANK ONE CORP   Equity  06423A103  10,547,465.60     306,880.00   X          5       306,880.00
   COM
   BANKATLANTIC    Equity  065908105      81,271.08      13,682.00   X          5        13,682.00
   BANCORP CL B
   BANKATLANTIC    Equity  065908501   3,127,969.69     794,405.00   X          3       438,622.00
   BANCORP
                                                                     X          3                     355,783.00
   BANTA CORP      Equity  066821109   5,189,525.00     282,500.00   X          3       152,600.00
                                                                     X          3                     129,900.00
                                          55,220.22       3,006.00   X          5         3,006.00
   BARD C R INC    Equity  067383109     235,970.31       6,099.00   X          5         6,099.00
   COM
   BARNES & NOBLE  Equity  067774109   3,900,083.20     166,400.00   X          1       155,300.00
   INC COM
                                                                     X          1                                   11,100.00
                                          80,204.84       3,422.00   X          5         3,422.00
   BARNES GROUP    Equity  067806109   5,233,050.00     360,900.00   X          3       170,500.00
   INC COM
                                                                     X          3                     190,400.00
                                         102,631.00       7,078.00   X          5         7,078.00
   BARRICK GOLD    Equity  067901108     662,086.62      42,198.00   X          5        42,198.00
   CORP COM
   BATTLE MTN      Equity  071593107      61,672.60      31,790.00   X          5        31,790.00
   GOLD CO COM
   BAUSCH & LOMB   Equity  071707103   2,240,516.70      42,930.00   X          5        42,930.00
   INC COM
   BAXTER INTL INC Equity  071813109   5,720,023.67      91,243.00   X          5        91,243.00
   COM
   BEA SYS INC COM Equity  073325102  50,255,222.40   1,369,800.00   X          1     1,318,200.00
                                                                     X          1                                   51,600.00
                                          36,688.00       1,000.00   X          2         1,000.00
                                         997,546.72      27,190.00   X          5        27,190.00
   BEAR STEARNS    Equity  073902108   4,710,903.68     103,264.00   X          5       103,264.00
   COS INC COM
   BECKMAN         Equity  075811109     746,850.65      11,635.00   X          5        11,635.00
   COULTER INC
   BECTON          Equity  075887109     976,074.69      37,099.00   X          5        37,099.00
   DICKINSON & CO
   COM
                                     332,217,185.61  12,627,031.00   X          6     9,938,491.00
                                                                     X          6                   2,688,540.00
   BED BATH &      Equity  075896100  47,966,546.25   1,218,198.00   X          1     1,157,698.00
   BEYOND INC COM
                                                                     X          1                                   60,500.00
                                         761,827.50      19,348.00   X          5        19,348.00
   BELDEN INC COM  Equity  077459105     141,350.00       5,140.00   X          5         5,140.00
                                      10,934,550.00     397,620.00   X          6       381,305.00
                                                                     X          6                      16,315.00
   BELL ATLANTIC   Equity  077853109  42,812,726.40     700,470.00   X          3       496,492.00
   CORP COM
                                                                     X          3                     203,978.00
                                      34,490,138.24     564,302.00   X          5       564,302.00
                                   1,025,718,040.32  16,782,036.00   X          6    14,391,188.00
                                                                     X          6                   2,390,848.00
   BELLSOUTH       Equity  079860102  34,025,745.20     725,960.00   X          5       725,960.00
   CORP COM
                                          16,873.20         360.00   X          6           360.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 11               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   BEMIS INC COM   Equity  081437105     242,936.43       6,589.00   X          5         6,589.00
   BERGEN          Equity  083739102      71,300.25      10,563.00   X          5        10,563.00
   BRUNSWIG
   CORP CL A
   BERKSHIRE       Equity  084670207     220,220.00         121.00   X          5           121.00
   HATHAWAY INC
   CL B
   BERRY PETE CO   Equity  085789105   7,080,561.00     411,900.00   X          3       179,500.00
   CL A
                                                                     X          3                     232,400.00
                                         235,571.76      13,704.00   X          5        13,704.00
   BEST BUY INC    Equity  086516101   3,351,678.00      38,973.00   X          5        38,973.00
   COM
   BESTFOODS COM   Equity  08658U101   2,767,922.11      59,131.00   X          5        59,131.00
   BETHLEHEM STL   Equity  087509105     107,760.00      17,960.00   X          5        17,960.00
   CORP COM
   BILLING INFO    Equity  090063108     129,900.34      18,478.00   X          5        18,478.00
   CONCEPTS COM
   BINDVIEW DEV    Equity  090327107   7,371,249.90     237,300.00   X          1       198,400.00
   CORP COM
                                                                     X          1                                   38,900.00
                                       7,681,879.90     247,300.00   X          2       247,300.00
                                         228,281.99       7,349.00   X          5         7,349.00
   BIO             Equity  090578105     437,224.00      28,208.00   X          5        28,208.00
   TECHNOLOGY
   GEN CP COM
   BIOGEN INC COM  Equity  090597105  21,163,623.00     302,900.00   X          2       302,900.00
                                       4,177,667.04      59,792.00   X          5        59,792.00
   BIOMET INC COM  Equity  090613100     847,566.48      23,304.00   X          5        23,304.00
   BLACK & DECKER  Equity  091797100     379,093.08      10,093.00   X          5        10,093.00
   CORP COM
   BLACK BOX CORP  Equity  091826107     370,311.27       5,349.00   X          5         5,349.00
   DEL COM
   Blackrock TargetEquity  092476100     956,300.00     100,000.00   X          4       100,000.00
   Term Trust
   Blackrock       Equity  09247P108     554,587.50      64,300.00   X          4        64,300.00
   Strategic Term
   Trust
   BLANCH E W      Equity  093210102      31,280.00       1,564.00   X          5         1,564.00
   HLDGS INC COM
                                       2,003,560.00     100,178.00   X          6        95,383.00
                                                                     X          6                       4,795.00
   BLOCK H & R INC Equity  093671105     537,939.75      12,021.00   X          5        12,021.00
   COM
   BLOUNT INTL INC Equity  095180105     169,317.72      13,156.00   X          5        13,156.00
   CL A
   BLYTH INDS INC  Equity  09643P108     553,054.81      20,251.00   X          5        20,251.00
   COM
   BOB EVANS       Equity  096761101     238,375.00      19,070.00   X          5        19,070.00
   FARMS INC COM
                                         162,500.00      13,000.00   X          6                      13,000.00
   BOEING CO COM   Equity  097023105  10,919,528.00     288,800.00   X          5       288,800.00
                                     722,504,446.39  19,108,819.00   X          6    16,205,089.00
                                                                     X          6                   2,903,730.00
   BOISE CASCADE   Equity  097383103  40,761,750.00   1,173,000.00   X          1     1,101,100.00
   CORP COM
                                                                     X          1                                   71,900.00
                                       2,266,951.00      65,236.00   X          5        65,236.00
   BORDERS         Equity  099709107     396,917.10      23,090.00   X          5        23,090.00
   GROUP INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 12               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   BORG-WARNER     Equity  099724106   6,157,468.00     156,400.00   X          3        82,500.00
   AUTOMOTIVE
   COM
                                                                     X          3                      73,900.00
                                         190,196.47       4,831.00   X          5         4,831.00
   BOSTON          Equity  101137107   1,324,352.57      62,147.00   X          5        62,147.00
   SCIENTIFIC CORP
   COM
                                          42,620.00       2,000.00   X          6         2,000.00
   BOWATER INC     Equity  102183100     559,104.12      10,476.00   X          5        10,476.00
   COM
   BOYDS           Equity  103354106      85,179.36      14,056.00   X          5        14,056.00
   COLLECTION LTD
   COM
   BRAUNS          Equity  105658108   6,559,950.00     259,800.00   X          1       259,800.00
   FASHIONS CORP
         COM
   BRINKER INTL    Equity  109641100   1,015,605.83      34,207.00   X          5        34,207.00
   INC COM
   BRISTOL MYERS   Equity  110122108  33,941,600.00     585,200.00   X          1       571,700.00
   SQUIBB COM
                                                                     X          1                                   13,500.00
                                      21,511,040.00     370,880.00   X          5       370,880.00
   BROADCOM        Equity  111320107  56,444,150.00     232,400.00   X          1       228,000.00
   CORP CL A
                                                                     X          1                                    4,400.00
                                     214,604,350.00     883,600.00   X          2       883,600.00
                                       2,504,527.00      10,312.00   X          5        10,312.00
                                         115,365.63         475.00   X          6           475.00
   BROADVISION     Equity  111412102  20,597,625.00     459,000.00   X          1       413,100.00
                                                                     X          1                                   45,900.00
                                      90,755,200.00   2,022,400.00   X          2     2,022,400.00
                                       1,398,215.25      31,158.00   X          5        31,158.00
   BROADWING INC   Equity  111620100   2,624,461.11      70,569.00   X          5        70,569.00
   COM
   BROCADE         Equity  111621108  47,840,708.40     266,800.00   X          1       252,900.00
   COMMUNCTNS
   SYS COM
                                                                     X          1                                   13,900.00
                                     114,419,625.30     638,100.00   X          2       638,100.00
                                         143,091.77         798.00   X          5           798.00
   BROOKLINE       Equity  113739106     121,733.00      12,814.00   X          5        12,814.00
   BANCORP INC
   COM
   BROOKSTONE      Equity  114537103   3,955,000.00     226,000.00   X          1       226,000.00
   INC COM
   BROOKTROUT      Equity  114580103   2,427,300.00      83,700.00   X          1        83,700.00
   INC COM
                                           4,089.00         141.00   X          5           141.00
   BROWN FORMAN    Equity  115637209  42,659,184.00     783,600.00   X          3       553,000.00
   CORP CL B
                                                                     X          3                     230,600.00
                                         414,233.96       7,609.00   X          5         7,609.00
   BROWN SHOE      Equity  115736100   5,359,200.00     446,600.00   X          3       207,000.00
   INC NEW COM
                                                                     X          3                     239,600.00
                                           2,100.00         175.00   X          5           175.00
   BRUNSWICK       Equity  117043109  37,783,406.00   1,994,900.00   X          3     1,373,900.00
   CORP COM
                                                                     X          3                     621,000.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 13               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                       1,168,370.72      61,688.00   X          5        61,688.00
   BUILDING MATLS  Equity  120113105   2,529,483.30     279,100.00   X          1       279,100.00
   HLDG CP COM
                                          16,703.11       1,843.00   X          5         1,843.00
   BURLINGTON      Equity  121579106   7,288,560.00     424,000.00   X          3       212,700.00
   COAT FACTRY
   COM
                                                                     X          3                     211,300.00
                                          42,356.16       2,464.00   X          5         2,464.00
   BURLINGTON      Equity  121693105     152,250.80      34,840.00   X          5        34,840.00
   INDS INC COM
   BURLINGTON      Equity  12189T104   1,343,455.75      59,053.00   X          5        59,053.00
   NRTHN SANTA
   COM
                                     339,912,049.75  14,941,189.00   X          6    11,340,158.00
                                                                     X          6                   3,601,031.00
   BURLINGTON      Equity  122014103  28,038,600.00     757,800.00   X          1       740,300.00
   RES INC COM
                                                                     X          1                                   17,500.00
                                         861,101.00      23,273.00   X          5        23,273.00
                                          70,189.00       1,897.00   X          6         1,200.00
                                                                     X          6                         697.00
   BURR BROWN      Equity  122574106   6,818,625.00     125,400.00   X          1       104,600.00
   CORP COM
                                                                     X          1                                   20,800.00
                                         530,591.25       9,758.00   X          5         9,758.00
   BUSH BOAKE      Equity  123162109     550,220.85      19,785.00   X          5        19,785.00
   ALLEN INC COM
   BUTLER MFG CO   Equity  123655102   5,200,832.00     212,800.00   X          3       109,900.00
   DEL COM
                                                                     X          3                     102,900.00
                                          62,737.48       2,567.00   X          5         2,567.00
   C&D             Equity  124661109   7,534,300.00     127,700.00   X          3        57,800.00
   TECHNOLOGIES
   INC COM
                                                                     X          3                      69,900.00
                                         214,701.00       3,639.00   X          5         3,639.00
                                       6,379,375.00     108,125.00   X          6       103,950.00
                                                                     X          6                       4,175.00
   CCB FINL CORP   Equity  124875105   1,396,043.25      31,549.00   X          5        31,549.00
   COM
   CBRL GROUP INC  Equity  12489V106     242,170.00      24,217.00   X          5        24,217.00
   CBS CORP COM    Equity  12490K107  32,157,337.50     567,900.00   X          1       554,700.00
                                                                     X          1                                   13,200.00
                                      19,292,024.25     340,698.00   X          5       340,698.00
   C COR ELECTRS   Equity  125010108     457,807.00       9,343.00   X          5         9,343.00
   INC COM
   C-CUBE          Equity  125015107     912,018.06      12,526.00   X          5        12,526.00
   MICROSYSTEMS
   COM
   CDW COMPUTER    Equity  125129106     543,371.40       6,435.00   X          5         6,435.00
   CTRS INC COM
   CEC ENTMT INC   Equity  125137109   4,847,237.50     178,700.00   X          1       149,400.00
   COM
                                                                     X          1                                   29,300.00
                                         195,598.38       7,211.00   X          5         7,211.00
   CFS BANCORP     Equity  12525D102     139,275.00      15,475.00   X          5        15,475.00
   INC COM
   C.H. ROBINSON   Equity   12541W10     495,164.25      13,293.00   X          5        13,293.00
   WORLDWIDE INC
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 14               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   CIGNA CORP COM  Equity  125509109   7,667,718.00     101,224.00   X          5       101,224.00
                                          79,537.50       1,050.00   X          6         1,050.00
   CKE             Equity  12561E105     154,841.96      24,308.00   X          5        24,308.00
   RESTAURANTS
   INC COM
   CLECO           Equity   12561W10     217,953.75       6,555.00   X          5         6,555.00
   CORPORATION
   COMMON
   CK WITCO CORP   Equity  12562C108   4,073,962.00     399,800.00   X          2       399,800.00
   COM
                                         290,873.55      28,545.00   X          5        28,545.00
   CMG             Equity  125750109     113,310.00       1,000.00   X          2                       1,000.00
   INFORMATION
   SVCS COM
                                       3,209,052.51      28,321.00   X          5        28,321.00
   CMP GROUP INC   Equity  125887109   6,129,760.00     210,500.00   X          3        97,000.00
                                                                     X          3                     113,500.00
                                         356,516.16      12,243.00   X          5        12,243.00
   CMS ENERGY      Equity  125896100   2,908,260.00     160,500.00   X          2       160,500.00
   CORP COM
                                         381,842.76      21,073.00   X          5        21,073.00
   CNA FINL CORP   Equity  126117100     738,348.12      22,852.00   X          5        22,852.00
   COM
   CNF TRANSN INC  Equity   12612W10   1,669,856.25      60,175.00   X          5        60,175.00
   COM
   CNET            Equity  12613R104     388,184.02       7,658.00   X          5         7,658.00
   NETWORKS INC
   CSG SYS INTL    Equity  126349109  27,467,075.10     562,700.00   X          1       528,300.00
   INC COM
                                                                     X          1                                   34,400.00
                                       9,211,013.10     188,700.00   X          2       188,700.00
                                         256,170.62       5,248.00   X          5         5,248.00
   CSX CORP COM    Equity  126408103     388,314.00      16,524.00   X          5        16,524.00
   CTS CORP COM    Equity  126501105     309,510.00       5,430.00   X          5         5,430.00
   CVS CORP COM    Equity  126650100  34,321,313.10     913,700.00   X          1       892,700.00
                                                                     X          1                                   21,000.00
                                       1,666,858.13      44,375.00   X          5        44,375.00
                                     334,835,041.92   8,913,959.00   X          6     7,777,749.00
                                                                     X          6                   1,136,210.00
   CABLEVISION     Equity  12686C109     437,157.00       7,196.00   X          5         7,196.00
   SYS CORP CL A
   CABLETRON SYS   Equity  126920107   1,694,627.50      57,445.00   X          5        57,445.00
   INC COM
   CABLE DESIGN    Equity  126924109     235,000.56       6,924.00   X          5         6,924.00
   TECH CORP COM
   CABOT CORP      Equity  127055101     386,282.50      12,665.00   X          5        12,665.00
   COM
   CABOT           Equity  127072106   5,710,754.00     306,700.00   X          3       145,800.00
   INDUSTRIAL
   TRUST COM
                                                                     X          3                     160,900.00
                                         281,813.70      15,135.00   X          5        15,135.00
   CABOT OIL & GAS Equity  127097103     195,373.08      10,818.00   X          5        10,818.00
   CORP CL A
                                       7,879,379.34     436,289.00   X          6       413,709.00
                                                                     X          6                      22,580.00
   CADENCE         Equity  127387108     999,905.04      48,492.00   X          5        48,492.00
   DESIGN SYS INC
   COM
                                       3,016,706.00     146,300.00   X          6       134,200.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 15               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                      12,100.00
   CADIZ INC       Equity  127537108     193,953.00      22,818.00   X          5        22,818.00
   CALLAWAY GOLF   Equity  131193104     288,036.50      18,583.00   X          5        18,583.00
   CO COM
   CALPINE CORP    Equity  131347106  33,276,000.00     354,000.00   X          1       347,500.00
   COM
                                                                     X          1                                    6,500.00
                                      56,841,800.00     604,700.00   X          2       603,700.00
                                                                     X          2                       1,000.00
                                       5,160,412.00      54,898.00   X          5        54,898.00
   CAMBREX CORP    Equity  132011107     271,309.50       6,237.00   X          5         6,237.00
   COM
                                      16,061,505.00     369,230.00   X          6       350,260.00
                                                                     X          6                      18,970.00
   CAMBRIDGE       Equity  132524109     144,481.80      10,655.00   X          5        10,655.00
   TECH PTNR MA
   COM
   CAMDEN PPTY     Equity  133131102     208,713.78       7,713.00   X          5         7,713.00
   TR SH BEN INT
   CAMPBELL SOUP   Equity  134429109   1,044,270.00      33,960.00   X          5        33,960.00
   CO COM
   CANADIAN PAC    Equity  135923100      11,185.00         500.00   X          5           500.00
   LTD NEW COM
                                     492,593,976.78  22,020,294.00   X          6    18,430,136.00
                                                                     X          6                   3,590,158.00
   CANDELA LASER   Equity  136907102   2,972,062.50     216,150.00   X          1       216,150.00
   CORP COM
   CANANDAIGUA     Equity  137219200   8,149,800.00     159,800.00   X          1       133,600.00
   BRANDS INC CL A
                                                                     X          1                                   26,200.00
                                          90,015.00       1,765.00   X          5         1,765.00
   CAPITAL         Equity  140071101     251,562.50      25,000.00   X          6                      25,000.00
   CROSSING BANK
   CAPITAL ONE     Equity  14040H105  77,434,251.40   1,615,300.00   X          1     1,550,100.00
   FINL CORP COM
                                                                     X          1                                   65,200.00
                                       1,491,399.12      31,111.00   X          5        31,111.00
   CAPITOL FED     Equity  14057C106     123,682.88      13,102.00   X          5        13,102.00
   FINL COM
   CAPROCK         Equity  140667106     277,291.00       5,659.00   X          5         5,659.00
   COMMUNICATION
   COM
   CAPSTEAD MTG    Equity  14067E100     219,889.53      56,819.00   X          5        56,819.00
   CORP COM
   CARAUSTAR       Equity  140909102   4,483,100.00     317,500.00   X          3       180,000.00
   INDS INC COM
                                                                     X          3                     137,500.00
                                          23,396.84       1,657.00   X          5         1,657.00
   CARDINAL        Equity  14149Y108   3,612,308.37      78,751.00   X          5        78,751.00
   HEALTH INC COM
                                     169,383,460.95   3,692,685.00   X          6     2,973,855.00
                                                                     X          6                     718,830.00
   CAREMARK RX     Equity  141705103     153,144.50      36,550.00   X          5        36,550.00
   CARLISLE COS    Equity  142339100     207,560.00       5,189.00   X          5         5,189.00
   INC COM
                                      31,348,000.00     783,700.00   X          6       675,075.00
                                                                     X          6                     108,625.00
   CARNIVAL CORP   Equity  143658102     685,946.88      27,648.00   X          5        27,648.00
   CL A
                                     107,225,470.65   4,321,865.00   X          6     2,638,595.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 16               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                   1,683,270.00
   CAROLINA PWR &  Equity  144141108     767,887.24      23,671.00   X          5        23,671.00
   LT CO COM
   CARRIER         Equity  144460102   5,900,100.00     110,800.00   X          1        92,800.00
   ACCESS CORP
   COM
                                                                     X          1                                   18,000.00
                                          61,929.75       1,163.00   X          5         1,163.00
   CASEYS GEN      Equity  147528103     189,192.35      17,405.00   X          5        17,405.00
   STORES COM
   CASTLE A M & CO Equity  148411101     172,100.00      13,768.00   X          5        13,768.00
   COM
   CATALINA        Equity  148867104     811,113.75       8,011.00   X          5         8,011.00
   MARKETING CP
   COM
   CATALYTICA INC  Equity  148885106     169,056.16      11,611.00   X          5        11,611.00
   COM
   CATERPILLAR     Equity  149123101   1,908,422.72      48,388.00   X          5        48,388.00
   INC DEL COM
                                     556,690,630.56  14,114,874.00   X          6    11,614,055.00
                                                                     X          6                   2,500,819.00
   CELL            Equity  150934107  12,048,445.31     514,067.00   X          2       514,067.00
   THERAPEUTICS
   CELGENE CORP    Equity  151020104      99,560.00       1,000.00   X          2         1,000.00
   COM
                                         274,586.48       2,758.00   X          5         2,758.00
   CENDANT CORP    Equity  151313103   2,427,326.37     129,873.00   X          5       129,873.00
   COM
   CENTENNIAL      Equity  15133V208     378,360.84      15,564.00   X          5        15,564.00
   CELLULAR CP CL
   A NEW
   CENTER TR INC   Equity  151845104      68,292.77      10,721.00   X          5        10,721.00
   CENTER TR INC
   CENTERPOINT     Equity  151895109     227,349.16       6,239.00   X          5         6,239.00
   PPTYS TR SH
   BEN INT
   CENTEX CORP     Equity  152312104   1,661,938.00      69,800.00   X          5        69,800.00
   COM
   CENTEX          Equity  15231R109   5,578,125.00     212,500.00   X          3       118,400.00
   CONSTRCTN
   PRODS COM
                                                                     X          3                      94,100.00
                                           1,706.25          65.00   X          5            65.00
   CENTRAL & SO    Equity  152357109  10,960,224.00     640,200.00   X          3       213,400.00
   WEST CORP COM
                                                                     X          3                     426,800.00
                                       1,166,180.16      68,118.00   X          5        68,118.00
   CENTRAL         Equity  154647101   6,089,059.80     182,100.00   X          1       152,200.00
   NEWSPAPERS
   INC CL A
                                                                     X          1                                   29,900.00
                                      16,163,929.20     483,400.00   X          3       401,600.00
                                                                     X          3                      81,800.00
                                         146,725.94       4,388.00   X          5         4,388.00
   CENTURA BKS     Equity  15640T100     219,842.19       4,799.00   X          5         4,799.00
   INC COM
   CENTURYTEL      Equity  156700106  28,335,879.00     763,256.00   X          1       716,756.00
   INC COM
                                                                     X          1                                   46,500.00
                                       2,631,902.63      70,893.00   X          5        70,893.00
   CEPHALON INC    Equity  156708109     367,237.50       9,793.00   X          5         9,793.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 17               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   CERIDIAN CORP   Equity  15677T106     814,788.21      42,459.00   X          5        42,459.00
   COM
   CHAMPION INTL   Equity  158525105  24,431,100.00     458,800.00   X          1       448,300.00
   CORP COM
                                                                     X          1                                   10,500.00
                                       1,592,494.50      29,906.00   X          5        29,906.00
                                     119,024,400.00   2,235,200.00   X          6     2,235,200.00
   CHARTER ONE     Equity  160903100     625,716.00      29,796.00   X          5        29,796.00
   FIN INC
   CHARTER         Equity  160908109     132,011.04      10,892.00   X          5        10,892.00
   MUNICIPAL
   MORTGAGE
   ACCEP
   CHARMING        Equity  161133103     102,755.71      18,059.00   X          5        18,059.00
   SHOPPES INC
   COM
   CHASE           Equity  16161A108  39,165,573.62     449,198.00   X          5       449,198.00
   MANHATTAN
   NEW COM
                                     487,977,668.04   5,596,716.00   X          6     4,405,944.00
                                                                     X          6                   1,190,772.00
   CHECKFREE       Equity  162816102     702,885.00       9,970.00   X          5         9,970.00
   HOLDINGS CORP
   CHEESECAKE      Equity  163072101   9,851,454.00     236,700.00   X          2       236,700.00
   FACTORY (THE)
                                         130,561.94       3,137.00   X          5         3,137.00
   CHEMED CORP     Equity  163596109   6,291,000.00     209,700.00   X          3        93,200.00
   COM
                                                                     X          3                     116,500.00
                                         324,450.00      10,815.00   X          5        10,815.00
                                       4,853,400.00     161,780.00   X          6       154,905.00
                                                                     X          6                       6,875.00
   CHESAPEAKE      Equity  165167107      47,680.75      14,671.00   X          5        14,671.00
   ENERGY CORP
   COM
   CHEVRON         Equity  166751107  24,250,802.04     262,341.00   X          5       262,341.00
   CORPORATION
   COM
                                     230,958,566.80   2,498,470.00   X          6     2,106,770.00
                                                                     X          6                     391,700.00
   CHICOS FAS INC  Equity  168615102   4,587,481.80     270,600.00   X          1       270,600.00
   COM
                                          19,292.51       1,138.00   X          5         1,138.00
   CHOICE HOTELS   Equity  169905106     151,461.16      10,489.00   X          5        10,489.00
   INTL INC COM
   CHIQUITA        Equity  170032106     109,307.00      23,012.00   X          5        23,012.00
   BRANDS INTL
   COM
   CHIRON CORP     Equity  170040109   2,268,835.65      45,495.00   X          5        45,495.00
   COM
   CHITTENDEN      Equity  170228100   8,527,670.18     287,243.00   X          1       252,943.00
   CORP COM
                                                                     X          1                                   34,300.00
                                         105,511.15       3,554.00   X          5         3,554.00
   CHOICEPOINT     Equity  170388102     463,014.30      12,390.00   X          5        12,390.00
   INC COM
   CHOICE ONE      Equity  17038P104     887,500.00      25,000.00   X          1        25,000.00
   COMMUNICATION
   INCOM
   CHORDIANT       Equity  170404107     568,750.00      35,000.00   X          1        35,000.00
   SOFTWARE INC
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 18               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   CHRIS CRAFT     Equity  170520100     279,216.96       4,384.00   X          5         4,384.00
   INDS INC COM
   CHUBB CORP      Equity  171232101   1,597,456.20      23,645.00   X          5        23,645.00
   COM
                                         162,144.00       2,400.00   X          6         2,400.00
   CIBER INC COM   Equity  17163B102     242,699.50      11,839.00   X          5        11,839.00
   CIENA CORP COM  Equity  171779101  58,433,712.50     463,300.00   X          1       442,800.00
                                                                     X          1                                   20,500.00
                                     181,191,175.00   1,436,600.00   X          2     1,436,600.00
                                       2,988,405.75      23,694.00   X          5        23,694.00
   CINCINNATI FINL Equity  172062101   1,712,537.64      45,522.00   X          5        45,522.00
   CORP COM
                                          74,600.46       1,983.00   X          6         1,983.00
   CINERGY CORP    Equity  172474108     447,157.00      20,798.00   X          5        20,798.00
   COM
   CIRCUIT CITY    Equity  172737108   2,679,375.66      44,018.00   X          5        44,018.00
   STORE INC
   CIRCT CIT
   CIRRUS LOGIC    Equity  172755100     185,821.50      10,182.00   X          5        10,182.00
   CORP COM
   CISCO SYS INC   Equity  17275R102  76,423,900.50     988,500.00   X          1       966,200.00
   COM
                                                                     X          1                                   22,300.00
                                     443,158,116.00   5,732,000.00   X          2     5,732,000.00
                                     108,575,439.31   1,404,362.00   X          5     1,404,362.00
                                         625,926.05       8,096.00   X          6         7,896.00
                                                                     X          6                         200.00
   CINTAS CORP     Equity  172908105     827,496.85      21,115.00   X          5        21,115.00
   COM
   CITIGROUP INC   Equity  172967101  28,467,568.75     475,450.00   X          1       464,650.00
                                                                     X          1                                   10,800.00
                                     109,639,687.13   1,831,143.00   X          2     1,831,143.00
                                      41,135,981.13     687,031.00   X          5       687,031.00
                                   1,240,557,908.75  20,719,130.00   X          6    16,481,564.00
                                                                     X          6                   4,237,566.00
   CITIZENS UTILS  Equity  177342201   1,587,971.85      97,005.00   X          5        97,005.00
   CO DEL CL B
   CITRIX SYS INC  Equity  177376100  44,214,720.00     667,392.00   X          1       640,892.00
   COM
                                                                     X          1                                   26,500.00
                                      87,662,000.00   1,323,200.00   X          2     1,321,200.00
                                                                     X          2                       2,000.00
                                       2,076,606.25      31,345.00   X          5        31,345.00
                                         104,343.75       1,575.00   X          6         1,575.00
   CITY NATL CORP  Equity  178566105   5,861,712.00     174,000.00   X          1       145,000.00
   COM
                                                                     X          1                                   29,000.00
                                         919,076.02      27,282.00   X          5        27,282.00
   CLAIRE'S        Equity  179584107   6,015,994.00     299,900.00   X          3       147,700.00
   STORES INC COM
                                                                     X          3                     152,200.00
                                         160,881.20       8,020.00   X          5         8,020.00
   CLARCOR INC     Equity  179895107   5,488,300.00     309,200.00   X          3       154,600.00
   COM
                                                                     X          3                     154,600.00
                                         134,332.00       7,568.00   X          5         7,568.00
   CLARENT CORP    Equity  180461105  12,527,043.75     138,900.00   X          2       138,900.00
   CLAYTON HOMES   Equity  184190106     156,920.72      15,506.00   X          5        15,506.00
   INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 19               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   CLEAR CHANNEL   Equity  184502102  36,125,286.00     523,100.00   X          2       523,100.00
   COMMUN COM
                                       3,815,979.36      55,256.00   X          5        55,256.00
   CLEVELAND       Equity  185896107   5,501,098.00     232,900.00   X          3       113,500.00
   CLIFFS INC COM
                                                                     X          3                     119,400.00
                                         203,675.26       8,623.00   X          5         8,623.00
   CLOROX CO DEL   Equity  189054109   1,544,895.00      46,815.00   X          5        46,815.00
   COM
   COASTAL CORP    Equity  190441105   1,809,640.00      39,340.00   X          5        39,340.00
   COM
   Coastal Corp.   Equity  190441865   6,653,555.00     235,000.00   X          4       235,000.00
   Conv. Pfd.
   COCA COLA CO    Equity  191216100  18,121,515.58     386,057.00   X          5       386,057.00
   COM
                                          70,034.48       1,492.00   X          6         1,484.00
                                                                     X          6                           8.00
   COCA COLA       Equity  191219104   1,542,488.64      71,544.00   X          5        71,544.00
   ENTERPRISES
   COM
   COGNEX CORP     Equity  192422103     683,453.43      11,847.00   X          5        11,847.00
   COM
   COGNIZANT       Equity  192446102   9,343,750.00     149,500.00   X          1       125,100.00
   TECH SOLUTNS
   CL A
                                                                     X          1                                   24,400.00
                                         210,500.00       3,368.00   X          5         3,368.00
   COHERENT INC    Equity  192479103     348,140.00       6,695.00   X          5         6,695.00
   COM
                                          13,832.00         266.00   X          6           266.00
   COHU INC COM    Equity  192576106   5,978,059.20     143,400.00   X          1       119,800.00
                                                                     X          1                                   23,600.00
                                          25,221.24         605.00   X          5           605.00
   COLGATE         Equity  194162103   6,852,168.09     121,557.00   X          5       121,557.00
   PALMOLIVE CO
   COM
   COLLINS &       Equity  194830105      58,259.91      10,239.00   X          5        10,239.00
   AIKMAN NEW
   COM
   COLUMBIA        Equity  197648108     721,783.50      12,182.00   X          5        12,182.00
   ENERGY GROUP
                                          82,950.00       1,400.00   X          6         1,400.00
   COLUMBIA/HCA    Equity  197677107   4,588,905.48     181,308.00   X          5       181,308.00
   HLTHCARE COM
                                          30,372.00       1,200.00   X          6         1,200.00
   COMFORT SYS     Equity  199908104      74,529.00      11,700.00   X          5        11,700.00
   USA INC COM
   COMCAST CORP    Equity  200300200   6,050,115.00     139,500.00   X          5       139,500.00
   CL A SPL
   COMDISCO INC    Equity  200336105   2,741,131.48      62,129.00   X          5        62,129.00
   COM
   COMERICA INC    Equity  200340107   3,243,501.42      77,466.00   X          5        77,466.00
   COM
   COMMERCE        Equity  200519106     358,937.00       9,701.00   X          5         9,701.00
   BANCORP NJ COM
   COMMERCE        Equity  200525103   1,081,762.77      34,683.00   X          5        34,683.00
   BANCSHARES
   COM
   COMMERCE ONE    Equity  200693109 117,609,000.00     788,000.00   X          2       788,000.00
   INC
   COMMERCIAL      Equity  201647104   5,713,956.00     343,800.00   X          3       178,400.00
   FEDERAL CP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 20               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                     165,400.00
                                         233,943.12      14,076.00   X          5        14,076.00
   COMMERCIAL      Equity  201723103   5,181,512.00     187,600.00   X          3        93,500.00
   METALS CO
                                                                     X          3                      94,100.00
                                          41,650.96       1,508.00   X          5         1,508.00
   COMMSCOPE INC   Equity  203372107  32,279,985.00     706,500.00   X          2       705,300.00
   COM
                                                                     X          2                       1,200.00
                                         648,843.69      14,201.00   X          5        14,201.00
   MINAS           Equity  204448104   3,211,250.00     183,500.00   X          2       183,500.00
   BUENAVENTURA-
   SPON ADR
   COMPAQ          Equity  204493100  22,710,750.00     849,000.00   X          1       829,300.00
   COMPUTER
   CORP COM
                                                                     X          1                                   19,700.00
                                       6,379,714.50     238,494.00   X          5       238,494.00
                                     201,977,881.25   7,550,575.00   X          6     6,224,969.00
                                                                     X          6                   1,325,606.00
   COMPASS         Equity  20449H109   1,723,095.16      86,414.00   X          5        86,414.00
   BANCSHARES
   INC COM
   COMPUTER        Equity  204912109  23,468,042.00     396,500.00   X          1       387,400.00
   ASSOC INTL COM
                                                                     X          1                                    9,100.00
                                       6,016,992.89     101,659.00   X          5       101,659.00
                                   1,092,371,123.73  18,455,956.00   X          6    15,469,014.00
                                                                     X          6                   2,986,942.00
   COMPUTER        Equity  205363104  26,578,087.50     335,900.00   X          1       328,200.00
   SCIENCES CORP
   COM
                                                                     X          1                                    7,700.00
                                       4,083,245.63      51,605.00   X          5        51,605.00
   COMPUWARE       Equity  205638109     888,310.80      42,180.00   X          5        42,180.00
   CORP COM
                                     140,627,307.60   6,677,460.00   X          6     5,532,035.00
                                                                     X          6                   1,145,425.00
   COMSAT CORP     Equity  20564D107     739,804.36      35,878.00   X          2        35,878.00
   COM SER 1
                                         154,711.86       7,503.00   X          5         7,503.00
   COMSTOCK RES    Equity  205768203      61,347.00      11,154.00   X          5        11,154.00
   INC COM NEW
   COMVERSE        Equity  205862402  28,892,619.00     305,742.00   X          1       286,742.00
   TECHNOLOGY
   COM PAR $0.1
                                                                     X          1                                   19,000.00
                                      77,537,250.00     820,500.00   X          2       819,700.00
                                                                     X          2                         800.00
                                       1,623,510.00      17,180.00   X          5        17,180.00
   CONAGRA INC     Equity  205887102   3,614,287.68     199,464.00   X          5       199,464.00
   COM
                                          29,898.00       1,650.00   X          6         1,650.00
   CONCENTRIC      Equity  20589R107     365,640.00       6,648.00   X          5         6,648.00
   NETWORK CP
   COM
   COM21 INC COM   Equity  205937105  15,148,100.00     322,300.00   X          2       322,300.00
                                         100,157.00       2,131.00   X          5         2,131.00
   CONCORD EFS     Equity  206197105     914,136.06      39,849.00   X          5        39,849.00
   INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 21               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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     185,115.00      10,578.00   X          5        10,578.00
   COM
                                           1,312.50          75.00   X          6                          75.00
   CONEXANT        Equity  207142100   5,751,000.00      81,000.00   X          1        81,000.00
   SYSTEMS INC
   COM
                                       2,714,330.00      38,230.00   X          5        38,230.00
   CONOCO INC CL A Equity  208251306     259,199.36      10,528.00   X          5        10,528.00
   CONOCO INC CL B Equity  208251405  24,061,875.00     939,000.00   X          1       917,500.00
                                                                     X          1                                   21,500.00
                                      48,790,000.00   1,904,000.00   X          3     1,248,700.00
                                                                     X          3                     655,300.00
                                       8,260,244.38     322,351.00   X          5       322,351.00
   CONSECO INC     Equity  208464107   1,736,912.32     151,828.00   X          5       151,828.00
   COM
                                     160,629,371.76  14,041,029.00   X          6    11,698,627.00
                                                                     X          6                   2,342,402.00
   CONSOLIDATED    Equity  209115104   1,920,900.80      65,965.00   X          5        65,965.00
   EDISON NY COM
   CONSOLIDATED    Equity  209759109     494,184.64      12,856.00   X          5        12,856.00
   PAPERS COM
   CONSOLIDATED    Equity  209798107     108,805.44      11,526.00   X          5        11,526.00
   PRODS INC COM
   CONSOLIDATED    Equity  210149100     217,644.54      19,142.00   X          5        19,142.00
   STORES CP COM
   CONSTELLATION   Equity  210371100     663,533.40      20,820.00   X          5        20,820.00
   ENERGY COM
   CONVERGYS       Equity  212485106   1,508,020.13      38,977.00   X          5        38,977.00
   CORP COM
   COOPER          Equity  216640102  23,431,248.00     350,400.00   X          2       350,400.00
   CAMERON CORP
   COM
                                         128,657.88       1,924.00   X          5         1,924.00
   COOPER INDS     Equity  216669101     471,240.00      13,464.00   X          5        13,464.00
   INC COM
   COOPER TIRE &   Equity  216831107     800,247.84      63,714.00   X          5        63,714.00
   RUBR CO COM
   COORS ADOLPH    Equity  217016104   1,561,296.00      32,527.00   X          5        32,527.00
   CO CL B
   COPART INC COM  Equity  217204106     207,497.50      11,857.00   X          5        11,857.00
   COPPER MTN      Equity  217510106  27,482,005.20     335,400.00   X          1       314,500.00
   NETWORKS COM
                                                                     X          1                                   20,900.00
                                          23,270.39         284.00   X          5           284.00
   COR             Equity  217753102      98,880.00       1,500.00   X          2         1,500.00
   THERAPEUTICS
   INC COM
                                         677,921.28      10,284.00   X          5        10,284.00
   CORDANT         Equity  218412104   6,159,384.00     108,900.00   X          3        49,900.00
   TECHNOLOGIES
   INC
                                                                     X          3                      59,000.00
                                         421,598.24       7,454.00   X          5         7,454.00
   CORN PRODS      Equity  219023108   7,160,256.00     297,600.00   X          2       297,600.00
   INTL INC COM
                                       5,644,476.00     234,600.00   X          3       113,900.00
                                                                     X          3                     120,700.00
                                          92,173.86       3,831.00   X          5         3,831.00
   CORNERSTONE     Equity  21922H103     222,272.80      12,745.00   X          5        12,745.00
   PPTYS INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 22               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   CORNING INC     Equity  219350105  44,329,000.00     228,500.00   X          1       223,300.00
   COM
                                                                     X          1                                    5,200.00
                                      50,866,800.00     262,200.00   X          2       262,200.00
                                      11,118,528.00      57,312.00   X          5        57,312.00
   CORPORATE       Equity  21988R102  11,966,850.00     235,800.00   X          2       235,800.00
   EXEC BRD CO
   COM
                                          91,857.50       1,810.00   X          5         1,810.00
   CORSAIR         Equity  220406102   4,255,312.50     222,500.00   X          1       222,500.00
   COMMUNICATION
   INC  COM
   CORVEL CORP     Equity  221006109  12,380,056.00     476,156.00   X          6       455,121.00
                                                                     X          6                      21,035.00
   COSTCO WHSL     Equity  22160K105   4,623,860.88      87,973.00   X          5        87,973.00
   CORP NEW COM
   COUNTRYWIDE     Equity  222372104   2,045,521.25      75,065.00   X          5        75,065.00
   CR IND DEL COM
                                     278,770,661.00  10,230,116.00   X          6     8,337,702.00
                                                                     X          6                   1,892,414.00
   COVAD           Equity  222814204     696,507.50       9,607.00   X          5         9,607.00
   COMMUNICATION
   COM
   COVANCE INC     Equity  222816100     210,442.00      19,576.00   X          5        19,576.00
   COM
   COVENTRY CORP   Equity  222862104     125,834.00      14,804.00   X          5        14,804.00
   COM
   COX             Equity  224044107   1,530,272.00      31,552.00   X          5        31,552.00
   COMMUNICATION
   NEW CL A
   Cox             Equity  224044305  12,565,253.00     197,878.00   X          4       197,878.00
   Communication
   Inc. Conv. Pfd
   COX RADIO INC   Equity  224051102     363,888.00       4,332.00   X          5         4,332.00
   CL A
   CRANE CO COM    Equity  224399105     550,196.68      23,353.00   X          5        23,353.00
                                      11,701,663.00     496,675.00   X          6       399,175.00
                                                                     X          6                      97,500.00
   CREDENCE SYS    Equity  225302108  32,132,100.00     256,800.00   X          1       240,600.00
   CORP COM
                                                                     X          1                                   16,200.00
                                         112,612.50         900.00   X          2           900.00
                                         611,235.63       4,885.00   X          5         4,885.00
   CREE RESH INC   Equity  225447101   6,321,000.00      56,000.00   X          1        46,700.00
   COM
                                                                     X          1                                    9,300.00
                                      13,556,287.50     120,100.00   X          2       120,100.00
                                         429,376.50       3,804.00   X          5         3,804.00
   CRESCENT REAL   Equity  225756105   1,450,785.00      82,902.00   X          5        82,902.00
   ESTATE COM
   CROSS TIMBERS   Equity  227573102   3,052,823.10     233,700.00   X          1       233,700.00
   OIL CO COM
                                       7,253,883.90     555,300.00   X          3       237,800.00
                                                                     X          3                     317,500.00
                                         242,488.47      18,563.00   X          5        18,563.00
   CROWN CORK &    Equity  228255105     247,312.00      15,457.00   X          5        15,457.00
   SEAL INC COM
   CUMMINS         Equity  231021106     666,652.44      17,749.00   X          5        17,749.00
   ENGINE INC COM
   CYBERONICS INC  Equity  23251P102   4,089,372.00     218,800.00   X          2       218,800.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 23               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                          48,014.61       2,569.00   X          5         2,569.00
   CYBEX           Equity  232522102  16,468,462.50     437,700.00   X          1       398,700.00
   COMPUTER
   PRODS COM
                                                                     X          1                                   39,000.00
                                         113,702.75       3,022.00   X          5         3,022.00
   CYMER INC COM   Equity  232572107     223,950.00       4,479.00   X          5         4,479.00
   CYPRESS         Equity  232743104     490,000.00      20,000.00   X          1        20,000.00
   COMMUNICATION
   INC
   CYPRESS         Equity  232806109   1,348,268.00      27,376.00   X          5        27,376.00
   SEMICONDUCTOR
   COM
   CYSIVE INC      Equity  23281T108   8,596,750.00     125,500.00   X          2       125,500.00
   CYTEC INDS INC  Equity  232820100     596,079.54      19,467.00   X          5        19,467.00
   COM
   CYTYC CORP COM  Equity  232946103  48,293,425.00   1,000,900.00   X          2       999,700.00
                                                                     X          2                       1,200.00
                                         420,354.00       8,712.00   X          5         8,712.00
   DII GROUP INC   Equity  232949107     861,856.38       7,623.00   X          5         7,623.00
   COM
   DPL INC COM     Equity  233293109     793,580.97      35,763.00   X          5        35,763.00
   DQE INC COM     Equity  23329J104     442,578.50       9,727.00   X          5         9,727.00
   DST SYS INC DEL Equity  233326107     575,929.10       8,870.00   X          5         8,870.00
   COM
   DSP GROUP INC   Equity  23332B106     281,358.00       4,263.00   X          5         4,263.00
   COM
   DTE ENERGY CO   Equity  233331107  23,474,598.00     804,200.00   X          3       466,400.00
   COM
                                                                     X          3                     337,800.00
                                       4,551,042.09     155,911.00   X          5       155,911.00
   DAL-TILE INTL   Equity  23426R108   2,140,878.60     269,700.00   X          1       269,700.00
   INC COM
                                          25,925.51       3,266.00   X          5         3,266.00
   DALLAS          Equity  235204104     540,236.50      14,801.00   X          5        14,801.00
   SEMICONDUCTOR
   COM
   DANA CORP COM   Equity  235811106  29,965,970.00   1,063,000.00   X          3       662,300.00
                                                                     X          3                     400,700.00
                                         616,543.49      21,871.00   X          5        21,871.00
   DANAHER CORP    Equity  235851102   1,465,740.00      28,740.00   X          5        28,740.00
   DEL COM
                                          10,200.00         200.00   X          6           200.00
   DARDEN          Equity  237194105   2,174,013.27     122,067.00   X          5       122,067.00
   RESTAURANTS
   INC COM
   DATA            Equity  237596101      91,554.30      12,015.00   X          5        12,015.00
   BROADCASTING
   CORP COM
   DATALINK.NET    Equity  23804A206  11,330,006.25     177,900.00   X          2       177,900.00
   INC
   DAYTON          Equity  240028100   3,778,200.00     150,000.00   X          1       150,000.00
   SUPERIOR CORP
         CL A
   DEAN FOODS CO   Equity  242361103   1,003,125.00      37,500.00   X          2        37,500.00
   COM
                                       5,831,500.00     218,000.00   X          3       105,100.00
                                                                     X          3                     112,900.00
                                         446,243.50      16,682.00   X          5        16,682.00
   DECS Trust VI   Equity  24366Q209   7,225,000.00      85,000.00   X          4        85,000.00
   Conv. Pfd.
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 24               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   DEERE & CO COM  Equity  244199105   1,335,016.00      35,132.00   X          5        35,132.00
   DEL MONTE       Equity  24522P103     165,983.63      15,527.00   X          5        15,527.00
   FOODS CO COM
                                      13,377,155.99   1,251,371.00   X          6     1,189,716.00
                                                                     X          6                      61,655.00
   DELANO          Equity  245701107     897,520.00      40,000.00   X          1        40,000.00
   TECHNOLOGY
   CORP
   DELL COMPUTER   Equity  247025109 129,558,486.00   2,401,900.00   X          2     2,401,900.00
   CORP COM
                                      22,722,980.16     421,264.00   X          5       421,264.00
                                       8,455,095.00     156,750.00   X          6       156,750.00
   DELPHI AUTO     Equity  247126105   2,048,256.00     128,016.00   X          5       128,016.00
   SYS CORP COM
   DELTA & PINE LD Equity  247357106     231,628.00      11,728.00   X          5        11,728.00
   CO COM
   DELTA AIR LINES Equity  247361108   3,756,255.00      70,540.00   X          5        70,540.00
   DEL COM
   DELTEK SYSTEM   Equity  24785A108   3,169,687.50     207,000.00   X          6       196,385.00
   INC
                                                                     X          6                      10,615.00
   DELUXE CORP     Equity  248019101  37,425,950.00   1,412,300.00   X          3       763,950.00
   COM
                                                                     X          3                     648,350.00
                                         342,910.00      12,940.00   X          5        12,940.00
   DENDRITE INTL   Equity  248239105  31,208,089.00   1,490,500.00   X          1     1,378,250.00
   INC COM
                                                                     X          1                                  112,250.00
                                         685,405.43      32,735.00   X          5        32,735.00
   DENTSPLY INTL   Equity  249030107   6,868,377.00     242,100.00   X          3       111,900.00
   INC NEW COM
                                                                     X          3                     130,200.00
                                         215,810.59       7,607.00   X          5         7,607.00
                                      24,210,702.67     853,391.00   X          6       809,126.00
                                                                     X          6                      44,265.00
   DEVON ENERGY    Equity  25179M103     690,280.40      14,215.00   X          5        14,215.00
   CORP COM
   DEVRY INC DEL   Equity  251893103     331,199.50      10,859.00   X          5        10,859.00
   COM
   DEXTER CORP     Equity  252165105     377,413.00       7,121.00   X          5         7,121.00
   COM
   DIAGEO PLC-     Equity  25243Q205 474,770,241.00  15,760,008.00   X          6    12,995,087.00
   SPONSORED
   ADR NEW
                                                                     X          6                   2,764,921.00
   DIEBOLD INC COM Equity  253651103     471,377.50      17,141.00   X          5        17,141.00
                                         170,500.00       6,200.00   X          6         6,200.00
   DIGENE CORP     Equity  253752109  11,412,600.00     248,100.00   X          2       248,100.00
   DIGITAL         Equity  253859102  11,075,490.00     327,000.00   X          2       327,000.00
   MICROWAVE
   CORP COM
                                         752,625.27      22,221.00   X          5        22,221.00
   DILLARDS INC CL Equity  254067101     168,246.96      10,234.00   X          5        10,234.00
   A
   DIME BANCORP    Equity  25429Q102   1,045,213.00      56,498.00   X          5        56,498.00
   INC NEW COM
   DIMON INC COM   Equity  254394109      40,287.63      16,999.00   X          5        16,999.00
   DIONEX CORP     Equity  254546104     167,532.84       5,086.00   X          5         5,086.00
   COM
                                         345,870.00      10,500.00   X          6        10,500.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 25               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   DISCOVERY       Equity  254668106   2,549,997.49     461,538.00   X          2       461,538.00
   LABORATORIES
   INC
   DISNEY WALT CO  Equity  254687106  22,430,966.25     543,781.00   X          5       543,781.00
   COM
                                         929,568.75      22,535.00   X          6        17,875.00
                                                                     X          6                       4,660.00
   DIVERSA CORP    Equity  255064107     705,000.00      15,000.00   X          1        15,000.00
   DOCUMENTUM      Equity  256159104  12,870,000.00     165,000.00   X          2       165,000.00
   INC COM
                                         215,046.00       2,757.00   X          5         2,757.00
   DOLE FOOD INC   Equity  256605106     199,045.00      10,340.00   X          5        10,340.00
   COM
   DOLLAR GEN      Equity  256669102     727,290.29      27,067.00   X          5        27,067.00
   CORP COM
   DOLLAR TREE     Equity  256747106  41,799,037.50     801,900.00   X          1       760,600.00
   STORES COM
                                                                     X          1                                   41,300.00
                                       1,170,206.25      22,450.00   X          5        22,450.00
   DOMINION RES    Equity  25746U109   3,228,037.44      83,976.00   X          5        83,976.00
   INC VA COM
   DONALDSON INC   Equity  257651109     247,528.32      10,972.00   X          5        10,972.00
   COM
   DONALDSON       Equity  257661108   1,728,450.00      33,400.00   X          5        33,400.00
   LUFKN&JEN NW
   COM
   DONNELLEY R R   Equity  257867101      93,811.20       4,480.00   X          5         4,480.00
   & SONS COM
                                      46,499,594.34   2,220,611.00   X          6     1,886,876.00
                                                                     X          6                     333,735.00
   DOUBLECLICK     Equity  258609304     976,831.08      10,434.00   X          5        10,434.00
   INC COM
   DOVER CORP      Equity  260003108   4,055,307.05      84,715.00   X          5        84,715.00
   COM
                                      80,883,736.98   1,689,654.00   X          6     1,360,254.00
                                                                     X          6                     329,400.00
   DOW CHEM CO     Equity  260543103  14,484,840.00     127,060.00   X          5       127,060.00
   COM
   DOW JONES & CO  Equity  260561105     494,340.04       6,884.00   X          5         6,884.00
   INC COM
   DU PONT E I DE  Equity  263534109  13,294,875.14     251,131.00   X          5       251,131.00
   NEMOURS COM
                                     982,215,248.98  18,553,367.00   X          6    15,735,554.00
                                                                     X          6                   2,817,813.00
   DUKE ENERGY     Equity  264399106   5,558,962.50     105,885.00   X          5       105,885.00
   CORP COM
                                       1,575,000.00      30,000.00   X          6        30,000.00
   DUN &           Equity  26483B106     565,044.66      19,743.00   X          5        19,743.00
   BRADSTREET
   CORP COM
   DYCOM INDS INC  Equity  267475101     457,372.50       9,382.00   X          5         9,382.00
   COM
   DYNEGY CLASS A  Equity  26816Q101  58,596,441.76     934,046.00   X          1       885,605.00
   COMMON
                                                                     X          1                                   48,441.00
                                       1,903,286.83      30,339.00   X          5        30,339.00
   ENSERCH         Equity  26842V207      81,837.08      24,284.00   X          5        24,284.00
   EXPLORATION
   COM
   EGL INC         Equity  268484102   5,543,381.25     237,150.00   X          1       198,250.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 26               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   38,900.00
                                          45,768.25       1,958.00   X          5         1,958.00
   E M C CORP      Equity  268648102  37,585,800.00     298,300.00   X          1       291,500.00
   MASS COM
                                                                     X          1                                    6,800.00
                                     242,027,100.00   1,920,850.00   X          2     1,920,850.00
                                      28,269,864.00     224,364.00   X          5       224,364.00
                                         220,500.00       1,750.00   X          6         1,750.00
   ENSCO INTL INC  Equity  26874Q100  49,960,875.00   1,383,000.00   X          1     1,311,200.00
   COM
                                                                     X          1                                   71,800.00
                                       1,059,257.25      29,322.00   X          5        29,322.00
   E-TEK DYNAMICS  Equity  269240107  18,302,450.00      77,800.00   X          1        73,800.00
   INC COM
                                                                     X          1                                    4,000.00
                                     193,481,362.50     822,450.00   X          2       822,450.00
                                         969,230.00       4,120.00   X          5         4,120.00
                                         191,728.75         815.00   X          6           815.00
   E TRADE GROUP   Equity  269246104   1,431,663.84      47,532.00   X          5        47,532.00
   INC COM
   EARTHGRAINS     Equity  270319106     108,551.00       7,300.00   X          5         7,300.00
   CO COM
                                       7,162,655.95     481,685.00   X          6       460,230.00
                                                                     X          6                      21,455.00
   EASTERN         Equity  27637F100     478,960.00       8,000.00   X          4         8,000.00
   ENTERPRISES
   COM
                                         342,636.01       5,723.00   X          5         5,723.00
   EASTMAN CHEM    Equity  277432100   6,533,800.00     143,600.00   X          2       143,600.00
   CO COM
                                         442,897.00       9,734.00   X          5         9,734.00
   EASTMAN KODAK   Equity  277461109   9,463,517.50     174,250.00   X          3        60,100.00
   CO COM
                                                                     X          3                     114,150.00
                                       8,306,660.19     152,949.00   X          5       152,949.00
                                         285,127.50       5,250.00   X          6                       5,250.00
   EATON CORP      Equity  278058102   1,943,760.00      24,920.00   X          5        24,920.00
   COM
   EATON VANCE     Equity  278265103     536,020.02      12,483.00   X          5        12,483.00
   CORP COM NON
   VTG
   EBAY            Equity  278642103     744,656.00       4,231.00   X          5         4,231.00
   ECHOSTAR        Equity  278762109  71,700,400.00     907,600.00   X          2       905,600.00
   COMMUNICATION
                                                                     X          2                       2,000.00
                                         979,521.00      12,399.00   X          5        12,399.00
                                         127,980.00       1,620.00   X          6         1,620.00
   ECOLAB INC COM  Equity  278865100     489,151.08      13,332.00   X          5        13,332.00
   EDISON INTL COM Equity  281020107   4,016,810.16     242,561.00   X          5       242,561.00
   J D EDWARDS &   Equity  281667105     203,727.92       6,257.00   X          5         6,257.00
   CO COM
   EDWARDS AG      Equity  281760108  12,740,000.00     318,500.00   X          3       112,750.00
   INC COM
                                                                     X          3                     205,750.00
                                       2,022,360.00      50,559.00   X          5        50,559.00
   EL PASO ELEC    Equity  283677854     394,205.18      38,014.00   X          5        38,014.00
   CO COM NEW
   EL PASO         Equity  283905107   4,880,288.93     120,889.00   X          5       120,889.00
   ENERGY CORP
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 27               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                      49,015,881.42   1,214,166.00   X          6       663,148.00
                                                                     X          6                     551,018.00
   ELCOR CORP      Equity  284443108     279,243.00       8,094.00   X          5         8,094.00
   COM
   ELECTRO         Equity  285229100   8,833,400.00     152,300.00   X          1       127,100.00
   SCIENTIFIC IND
   COM
                                                                     X          1                                   25,200.00
                                         532,034.00       9,173.00   X          5         9,173.00
   ELECTROGLAS     Equity  285324109  10,281,850.00     300,200.00   X          2       300,200.00
   INC COM
                                          95,317.75       2,783.00   X          5         2,783.00
   ELECTRONIC      Equity  285512109   1,241,126.46      17,434.00   X          5        17,434.00
   ARTS INC COM
   ELECTRONIC      Equity  285661104  26,772,814.80     417,100.00   X          1       407,600.00
   DATA SYS NW
   COM
                                                                     X          1                                    9,500.00
                                       9,372,154.07     146,011.00   X          5       146,011.00
                                      59,771,223.72     931,190.00   X          6       822,130.00
                                                                     X          6                     109,060.00
   ELECTRONICS     Equity  286082102     728,160.00      12,136.00   X          5        12,136.00
   FOR IMAGNG COM
   ELOQUENT        Equity  290140102     407,500.00      20,000.00   X          1        20,000.00
   INCCOM
   ELOYALTY CORP   Equity  290151109  14,376,901.00     602,300.00   X          2       602,300.00
   COM
                                         286,630.96      12,008.00   X          5        12,008.00
   EMERSON ELEC    Equity  291011104   6,508,262.40     122,520.00   X          5       122,520.00
   CO COM
                                     702,040,719.36  13,216,128.00   X          6    10,459,406.00
                                                                     X          6                   2,756,722.00
   EMMIS           Equity  291525103  32,763,900.00     704,600.00   X          2       704,600.00
   BROADCASTING
   CP CL A
                                         292,020.00       6,280.00   X          5         6,280.00
                                      11,694,750.00     251,500.00   X          6       230,700.00
                                                                     X          6                      20,800.00
   EMPIRE DIST     Equity  291641108     251,018.28      12,794.00   X          5        12,794.00
   ELEC CO COM
   EMULEX CORP     Equity  292475209  33,545,025.00     307,400.00   X          1       285,200.00
   COM NEW
                                                                     X          1                                   22,200.00
                                         619,066.13       5,673.00   X          5         5,673.00
   ENERGEN CORP    Equity  29265N108   5,744,776.00     360,400.00   X          3       172,400.00
   COM
                                                                     X          3                     188,000.00
                                         261,527.58      16,407.00   X          5        16,407.00
   ENERGY EAST     Equity  29266M109   4,395,442.80     221,880.00   X          5       221,880.00
   CORP COM
   ENGELHARD       Equity  292845104     983,026.80      65,015.00   X          5        65,015.00
   CORP COM
   ENESCO GROUP    Equity  292973104   4,407,558.00     624,300.00   X          3       353,900.00
   INC COM
                                                                     X          3                     270,400.00
                                          63,144.64       8,944.00   X          5         8,944.00
   ENNIS BUSINESS  Equity  293389102   5,818,850.00     802,600.00   X          3       421,100.00
   FORMS
                                                                     X          3                     381,500.00
   ENRON CORP      Equity  293561106     396,837.50       5,300.00   X          1         5,300.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 28               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                     116,924,800.00   1,561,600.00   X          2     1,561,600.00
                                      17,760,799.25     237,206.00   X          5       237,206.00
   Enron Corp Conv.Equity  293561882   2,921,141.20     132,400.00   X          4       132,400.00
   Pfd.
   ENTERGY CORP    Equity  29364G103   2,413,431.84     119,536.00   X          5       119,536.00
   NEW COM
   ENTRUST         Equity  293848107  46,741,853.20     549,400.00   X          1       504,200.00
   TECHNOLOGIES
   COM
                                                                     X          1                                   45,200.00
                                          85,078.00       1,000.00   X          2         1,000.00
                                         237,707.93       2,794.00   X          5         2,794.00
   ENZON INC COM   Equity  293904108     246,304.15       6,535.00   X          5         6,535.00
   ENZO BIOCHEM    Equity  294100102     451,611.00       6,498.00   X          5         6,498.00
   INC.
   EQUIFAX INC COM Equity  294429105     254,419.00      10,076.00   X          5        10,076.00
   EQUITABLE RES   Equity  294549100     258,150.41       5,761.00   X          5         5,761.00
   INC COM
   EQUITY INNS INC Equity  294703103     236,838.18      34,778.00   X          5        34,778.00
   COM
   EQUITY OFFICE   Equity  294741103   2,162,681.28      86,094.00   X          5        86,094.00
   PPTYS TR COM
   EQUITY          Equity  29476L107   1,595,824.33      39,707.00   X          5        39,707.00
   RESIDENT
   PPTYS SH BEN
   INT
   L M ERICSSON    Equity  294821400  98,706,882.00   1,052,200.00   X          2     1,052,200.00
   TELEPHONE CO
   CL B
                                           1,688.58          18.00   X          5            18.00
                                      20,329,565.10     216,710.00   X          6       200,040.00
                                                                     X          6                      16,670.00
   ESPEED INC - CL Equity  296643109  14,921,637.50     284,900.00   X          2       284,900.00
   A
   ETHAN ALLEN     Equity  297602104     204,475.00       8,179.00   X          5         8,179.00
   INTERIORS COM
   ETHYL CORP      Equity  297659104   3,854,682.00   1,259,700.00   X          3       725,600.00
                                                                     X          3                     534,100.00
                                          59,575.14      19,469.00   X          5        19,469.00
   EXCHANGE        Equity  300867108     208,557.72       3,941.00   X          5         3,941.00
   APPLICATIONS
   COM
   EXODUS          Equity  302088109 154,479,750.00   1,099,500.00   X          2     1,099,500.00
   COMMUNICATION
   COM
                                       4,265,299.00      30,358.00   X          5        30,358.00
   EXPEDITORS      Equity  302130109     516,869.25      13,003.00   X          5        13,003.00
   INTL WASH COM
   EXTENDED STAY   Equity  30224P101     212,182.50      28,291.00   X          5        28,291.00
   AMER INC COM
   EXTREME         Equity  30226D106  90,526,100.00   1,145,900.00   X          2     1,145,900.00
   NETWORKS INC
   COM
                                         223,254.00       2,826.00   X          5         2,826.00
   EXXON MOBIL     Equity  30231G102  52,740,644.60     676,700.00   X          1       660,900.00
   CORP COM
                                                                     X          1                                   15,800.00
                                      98,249,422.18   1,260,610.00   X          5     1,260,610.00
                                       1,344,352.56      17,249.00   X          6        16,949.00
                                                                     X          6                         300.00
   F M C CORP COM  Equity  302491303   1,865,969.00      33,026.00   X          5        33,026.00
   NEW
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 29               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   FPL GROUP INC   Equity  302571104   4,354,650.58      94,543.00   X          5        94,543.00
   COM
   FAIRCHILD       Equity  303726103  17,114,850.00     468,900.00   X          2       468,900.00
   SEMICON INTL CL
   - A
   FAMILY DLR      Equity  307000109     719,360.08      34,568.00   X          5        34,568.00
   STORES INC COM
   FASTENAL CO     Equity  311900104     376,928.38       7,874.00   X          5         7,874.00
   COM
   FEDERAL HOME    Equity  313400301   3,888,720.00      88,000.00   X          2        88,000.00
   LN MTG CP COM
                                       4,897,798.65     110,835.00   X          5       110,835.00
                                   1,555,341,952.05  35,196,695.00   X          6    30,350,790.00
                                                                     X          6                   4,845,905.00
   FEDERAL NATL    Equity  313586109  19,290,579.84     341,064.00   X          5       341,064.00
   MTG ASSN COM
                                         311,080.00       5,500.00   X          6         5,500.00
   FEDERAL         Equity  313747206     230,001.41      11,911.00   X          5        11,911.00
   REALTY INVT TR
   SH BEN IN
   FEDERAL SIGNAL  Equity  313855108     225,876.42      12,507.00   X          5        12,507.00
   CORP COM
                                          16,254.00         900.00   X          6           900.00
   FEDERATED       Equity  31410H101   8,634,590.25     204,369.00   X          5       204,369.00
   DEPT STORES
   COM
   FEDERATED       Equity  314211103  32,229,340.00   1,180,000.00   X          1     1,072,800.00
   INVESTORS CL B
                                                                     X          1                                  107,200.00
                                         184,581.25       6,758.00   X          5         6,758.00
   FEDEX           Equity  31428X106   5,973,635.20     153,920.00   X          5       153,920.00
   CORPORATION
   FELCOR          Equity  31430F101     816,784.09      45,707.00   X          5        45,707.00
   LODGING TRUST
   INC.
   FIFTH THIRD     Equity  316773100   1,925,091.00      30,557.00   X          5        30,557.00
   BANCORP COM
   FILENET CORP    Equity  316869106     230,770.75       7,757.00   X          5         7,757.00
   FINOVA GROUP    Equity  317928109     299,083.52      17,792.00   X          5        17,792.00
   INC COM
   FIRST AMERN     Equity  318522307     244,270.62      17,523.00   X          5        17,523.00
   FINL CORP COM
   FIRST DATA      Equity  319963104   6,957,082.89     156,797.00   X          5       156,797.00
   CORP COM
                                      40,835,042.10     920,330.00   X          6       593,135.00
                                                                     X          6                     327,195.00
   FIRST HEALTH    Equity  320960107     508,228.26      16,073.00   X          5        16,073.00
   GROUP CP COM
                                      14,308,492.68     452,514.00   X          6       423,019.00
                                                                     X          6                      29,495.00
   FIRST SEC CORP  Equity  336294103     380,616.00      31,718.00   X          5        31,718.00
   DEL COM
   FIRST UNION     Equity  337358105  12,144,543.00     326,028.00   X          5       326,028.00
   CORP COM
   FIRSTAR CORP    Equity  33763V109  25,663,034.40   1,118,800.00   X          1     1,093,200.00
   COM
                                                                     X          1                                   25,600.00
                                       5,338,016.67     232,715.00   X          5       232,715.00
   FISERV INC COM  Equity  337738108   2,650,828.82      71,278.00   X          5        71,278.00
   FIRSTENERGY     Equity  337932107   2,447,387.80     118,690.00   X          5       118,690.00
   CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 30               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   FISHER          Equity  338032204     297,527.00       6,686.00   X          5         6,686.00
   SCIENTIFIC INTL
   COM
   FLEETBOSTON     Equity  339030108  29,849,700.00     817,800.00   X          1       799,100.00
   FINL CORP COM
                                                                     X          1                                   18,700.00
                                      14,418,668.00     395,032.00   X          5       395,032.00
                                   1,223,962,274.50  33,533,213.00   X          6    28,459,834.00
                                                                     X          6                   5,073,379.00
   FLEMING COS     Equity  339130106     227,029.50      15,075.00   X          5        15,075.00
   INC COM
   FLORIDA EAST    Equity  340632108     210,587.00       4,342.00   X          5         4,342.00
   COAST IND COM
   FLORIDA         Equity  341109106  31,148,803.88     678,993.00   X          1       637,393.00
   PROGRESS
   CORP COM
                                                                     X          1                                   41,600.00
                                      45,875,000.00   1,000,000.00   X          4     1,000,000.00
                                         415,673.38       9,061.00   X          5         9,061.00
   FLORIDA ROCK    Equity  341140101   5,930,400.00     211,800.00   X          1       177,000.00
   INDS
                                                                     X          1                                   34,800.00
                                          79,436.00       2,837.00   X          5         2,837.00
   FLOWERS INDS    Equity  343496105     399,664.09      26,311.00   X          5        26,311.00
   INC COM
   FLUOR CORP      Equity  343861100     261,733.00       8,443.00   X          5         8,443.00
   COM
   FORD MTR CO     Equity  345370100  11,037,085.00     240,250.00   X          3        83,150.00
   DEL COM
                                                                     X          3                     157,100.00
                                      20,951,350.46     456,059.00   X          5       456,059.00
                                         235,580.32       5,128.00   X          6         5,128.00
   FOREST LABS     Equity  345838106  42,419,000.00     502,000.00   X          1       470,700.00
   INC CL A
                                                                     X          1                                   31,300.00
                                       2,178,663.50      25,783.00   X          5        25,783.00
   FORT JAMES      Equity  347471104     271,546.00      12,343.00   X          5        12,343.00
   CORP COM
   FORTUNE         Equity  349631101  24,607,500.00     984,300.00   X          3       612,300.00
   BRANDS INC COM
                                                                     X          3                     372,000.00
                                       1,529,750.00      61,190.00   X          5        61,190.00
   FORWARD AIR     Equity  349853101   7,269,847.20     306,900.00   X          1       256,550.00
   CORP COM
                                                                     X          1                                   50,350.00
                                           8,456.62         357.00   X          5           357.00
                                       4,571,784.00     193,000.00   X          6       160,000.00
                                                                     X          6                      33,000.00
   FOSSIL INC COM  Equity  349882100   4,699,319.00     200,500.00   X          1       167,450.00
                                                                     X          1                                   33,050.00
                                          76,853.20       3,279.00   X          5         3,279.00
   FOUNDATION      Equity  350404109  18,884,400.00   2,360,550.00   X          2     2,360,550.00
   HEALTH SYS COM
                                          83,864.00      10,483.00   X          5        10,483.00
   FOURFRONT       Equity  351042106   3,635,400.00     175,200.00   X          2       175,200.00
   TECHNOLOGIES
   INC
   FOX ENTMT       Equity  35138T107      72,185.34       2,411.00   X          5         2,411.00
   GROUP INC CL A
                                       9,970,020.00     333,000.00   X          6       162,500.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 31               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                     170,500.00
   FRANCHISE FIN   Equity  351807102   6,049,650.00     260,200.00   X          3       117,800.00
   CORP COM
                                                                     X          3                     142,400.00
                                         561,603.75      24,155.00   X          5        24,155.00
   FRANKLIN COVEY  Equity  353469109      36,532.75       5,039.00   X          5         5,039.00
   CO COM
                                          52,925.00       7,300.00   X          6         7,300.00
   FRANKLIN RES    Equity  354613101   1,536,133.28      45,937.00   X          5        45,937.00
   INC COM
   FREEPORT        Equity  35671D501   7,856,550.00     530,400.00   X          6       530,400.00
   COPPER & GOLD
   CV PFD A
   FREEPORT-       Equity  35671D857     459,461.88      38,098.00   X          5        38,098.00
   MCMORAN
   COP&G CL B
                                      16,502,904.00   1,368,400.00   X          6     1,368,400.00
   FREMONT GEN     Equity  357288109   4,261,530.00     669,000.00   X          2       669,000.00
   CORP COM
                                          94,862.04      14,892.00   X          5        14,892.00
   FULLER H B CO   Equity  359694106     100,968.32       2,528.00   X          5         2,528.00
   COM
                                         862,704.00      21,600.00   X          6        21,600.00
   FURNITURE       Equity  360921100     260,330.40      13,840.00   X          5        13,840.00
   BRANDS INTL
   COM
   G & K SVCS INC  Equity  361268105      28,503.90       1,458.00   X          5         1,458.00
   CL A
                                      14,235,137.00     728,140.00   X          6       696,930.00
                                                                     X          6                      31,210.00
   GATX CORP COM   Equity  361448103  13,115,700.00     345,150.00   X          3       117,200.00
                                                                     X          3                     227,950.00
                                         394,668.00      10,386.00   X          5        10,386.00
   GPU INC COM     Equity  36225X100   2,816,838.29     102,917.00   X          5       102,917.00
   GTE CORP COM    Equity  362320103  41,737,350.00     587,850.00   X          3       422,000.00
                                                                     X          3                     165,850.00
                                      21,081,107.00     296,917.00   X          5       296,917.00
                                         298,200.00       4,200.00   X          6         2,200.00
                                                                     X          6                       2,000.00
   GT INTERACTIVE  Equity  36236E109      59,130.24      18,952.00   X          5        18,952.00
   SOFTWRE COM
   GALLAGHER       Equity  363576109   7,445,750.00     229,100.00   X          3       109,000.00
   ARTHUR J &CO
   COM
                                                                     X          3                     120,100.00
                                         329,030.00      10,124.00   X          5        10,124.00
   GANNETT INC     Equity  364730101  23,427,837.50     332,900.00   X          1       325,300.00
   COM
                                                                     X          1                                    7,600.00
                                       6,140,289.13      87,251.00   X          5        87,251.00
                                           7,037.50         100.00   X          6           100.00
   GAP INC DEL COM Equity  364760108   7,874,363.28     158,088.00   X          5       158,088.00
   GARDNER         Equity  365558105     258,261.30      13,730.00   X          5        13,730.00
   DENVER MACHY
   COM
   GARTNER         Equity  366651206     147,687.76      11,096.00   X          5        11,096.00
   GROUP INC NEW
   CL B
   GATEWAY INC     Equity  367626108   1,740,090.00      31,638.00   X          5        31,638.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 32               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   GAYLORD         Equity  368145108  20,660,458.00   3,243,400.00   X          2     3,243,400.00
   CONTAINER
                                          14,619.15       2,295.00   X          5         2,295.00
   GENCORP INC     Equity  368682100   4,963,875.00     640,500.00   X          3       332,200.00
   COM
                                                                     X          3                     308,300.00
                                          57,706.50       7,446.00   X          5         7,446.00
   GENENTECH INC   Equity  368710406  32,786,400.00     215,700.00   X          1       210,800.00
                                                                     X          1                                    4,900.00
                                      78,774,000.00     518,250.00   X          2       518,250.00
   GENERAL         Equity  369550108   4,517,449.25      90,803.00   X          5        90,803.00
   DYNAMICS CORP
   COM
   GENERAL ELEC    Equity  369604103  48,513,136.88     311,731.00   X          1       304,631.00
   CO COM
                                                                     X          1                                    7,100.00
                                      82,040,053.13     527,165.00   X          2       527,165.00
                                     101,238,108.75     650,526.00   X          5       650,526.00
                                       6,972,622.50      44,804.00   X          6        25,089.00
                                                                     X          6                      19,715.00
   GENERAL MILLS   Equity  370334104   1,310,837.99      36,221.00   X          5        36,221.00
   INC COM
   GENERAL         Equity  370442105   9,995,529.10     120,700.00   X          1       118,000.00
   MOTORS CORP
   COM
                                                                     X          1                                    2,700.00
                                      16,991,654.15     205,181.00   X          5       205,181.00
                                          38,093.98         460.00   X          6           460.00
   GENERAL MTRS    Equity  370442832  94,620,000.00     760,000.00   X          2       760,000.00
   CORP CL H NEW
                                         564,856.50       4,537.00   X          5         4,537.00
                                          62,250.00         500.00   X          6           500.00
   GENERAL         Equity  370787103      23,649.75       1,371.00   X          5         1,371.00
   SEMICONDUCTOR
   COM
                                      14,098,062.75     817,279.00   X          6       710,154.00
                                                                     X          6                     107,125.00
   GENTEX CORP     Equity  371901109     670,118.92      18,082.00   X          5        18,082.00
   COM
   GENTNER         Equity  37245J105   3,865,725.00     190,900.00   X          1       190,900.00
   COMMUNICATION
   CORP COM
   GENUINE PARTS   Equity  372460105     815,088.89      34,147.00   X          5        34,147.00
   CO COM
   GENZYME CORP    Equity  372917104   2,984,144.80      59,540.00   X          5        59,540.00
   COM GENL DIV
   GEORGIA GULF    Equity  373200203     202,046.00       7,771.00   X          5         7,771.00
   CORP COM PAR
   $0.01
   GEORGIA PAC     Equity  373298108   5,191,775.28     131,238.00   X          5       131,238.00
   CORP COM
   GEORGIA PAC     Equity  373298702  12,233,550.00     477,500.00   X          3       171,000.00
   CORP COM-
   TIMBER GRP
                                                                     X          3                     306,500.00
                                         312,435.90      12,195.00   X          5        12,195.00
   Georgia Pacific Equity  373298801   5,059,250.00     118,000.00   X          4       118,000.00
   Conv. Pfd.
   GETTHERE.COM    Equity  374266104  11,277,562.50     733,500.00   X          2       733,500.00
   INC
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 33               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   GETTY IMAGES    Equity  374276103   9,480,972.00     263,800.00   X          2       263,800.00
   INC COM
                                         163,239.48       4,542.00   X          5         4,542.00
   GILEAD          Equity  375558103  19,080,707.00     301,100.00   X          2       301,100.00
   SCIENCES INC
   COM
                                         818,043.33      12,909.00   X          5        12,909.00
   GILLETTE CO     Equity  375766102   5,849,676.45     155,205.00   X          5       155,205.00
   COM
                                          57,477.25       1,525.00   X          6         1,525.00
   GLIMCHER RLTY   Equity  379302102   5,440,500.00     403,000.00   X          3       216,500.00
   TR SH BEN INT
                                                                     X          3                     186,500.00
                                          57,780.00       4,280.00   X          5         4,280.00
   GLOBAL MARINE   Equity  379352404     857,277.67      33,791.00   X          5        33,791.00
   INC COM
   GLOBAL          Equity  37936U104     306,495.50      14,951.00   X          5        14,951.00
   TELESYSTEMS
   GROUP
   GOLDEN WEST     Equity  381317106     871,136.70      27,930.00   X          5        27,930.00
   FINL DEL COM
   GOLDMAN         Equity  38141G104  24,133,825.00     229,300.00   X          1       224,100.00
   SACHS GROUP
   COM
                                                                     X          1                                    5,200.00
                                       1,733,257.00      16,468.00   X          5        16,468.00
   GOODRICH B F    Equity  382388106  12,269,278.50     427,650.00   X          3       132,300.00
   CO COM
                                                                     X          3                     295,350.00
                                         485,779.08      16,932.00   X          5        16,932.00
   GOODYEAR TIRE   Equity  382550101     298,251.45      12,795.00   X          5        12,795.00
   & RUBR COM
   Goss Holdings   Equity  383413101   7,583,213.05     111,508.00   X          4       111,508.00
   INC.
   Cl B
   GO2NET INC COM  Equity  383486107     318,534.24       3,954.00   X          5         3,954.00
   GOTO.COM INC    Equity  38348T107   7,214,681.25     175,700.00   X          2       175,700.00
   GRACE W R & CO  Equity  38388F108     490,295.52      38,096.00   X          5        38,096.00
   DEL COM
   GRAINGER W W    Equity  384802104     399,876.75       7,371.00   X          5         7,371.00
   INC COM
                                       2,346,312.50      43,250.00   X          6        43,250.00
   GREAT LAKES     Equity  390568103     198,968.00       5,852.00   X          5         5,852.00
   CHEM CORP COM
                                          21,760.00         640.00   X          6           640.00
   GREENPOINT      Equity  395384100   2,891,105.10     147,355.00   X          5       147,355.00
   FINL CORP COM
   GREY WOLF INC   Equity  397888108   8,287,396.00   2,103,400.00   X          2     2,103,400.00
   COM
                                          34,297.70       8,705.00   X          5         8,705.00
   GTECH HLDGS     Equity  400518106     272,126.72      14,662.00   X          5        14,662.00
   CORP COM
   GUESS INC COM   Equity  401617105  11,312,000.00     353,500.00   X          1       311,900.00
                                                                     X          1                                   41,600.00
                                          11,424.00         357.00   X          5           357.00
   GUIDANT CORP    Equity  401698105  29,994,265.00     509,500.00   X          2       509,500.00
   COM
                                       4,437,326.25      75,375.00   X          5        75,375.00
   GUILFORD MLS    Equity  401794102     107,898.39      14,031.00   X          5        14,031.00
   INC COM
   GULF CDA RES    Equity  40218L305      57,525.00      15,600.00   X          2        15,600.00
   LTD ORD
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 34               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   HNC SOFTWARE    Equity  40425P107     475,379.82       6,597.00   X          5         6,597.00
   INC COM
   HEALTH&RETIRE   Equity   40426W10   9,641,120.50   1,109,450.00   X          3       354,450.00
   PPTYS COM SH
   BE
                                                                     X          3                     755,000.00
                                       2,186,838.50     251,650.00   X          5       251,650.00
   HADCO CORP      Equity  404681108     319,809.10       4,930.00   X          5         4,930.00
   COM
   HAIN FOOD       Equity  405219106   3,994,964.30     141,100.00   X          1       141,100.00
   GROUP INC COM
                                         141,876.44       5,011.00   X          5         5,011.00
   HALL KINION &   Equity  406069104   2,964,561.60     123,200.00   X          1       123,200.00
   ASSOCS INC
   COM
   HALLIBURTON     Equity  406216101   3,025,486.24      73,577.00   X          5        73,577.00
   CO COM
                                         225,460.96       5,483.00   X          6         5,483.00
   JOHN HANCOCK    Equity  41014S106 235,191,704.13  13,020,994.00   X          6    10,646,060.00
   FINANCIAL
   SERVICES
                                                                     X          6                   2,374,934.00
   HANNA M A CO    Equity  410522106   6,383,364.00     564,400.00   X          3       262,000.00
   COM
                                                                     X          3                     302,400.00
                                         103,825.80       9,180.00   X          5         9,180.00
   HANNAFORD       Equity  410550107     769,581.25      10,435.00   X          5        10,435.00
   BROS CO COM
                                          59,000.00         800.00   X          6           800.00
   HANOVER         Equity  410768105     642,289.78      11,294.00   X          5        11,294.00
   COMPRESSOR
   CO COM
   HARBINGER       Equity  41145C103     274,951.04       9,442.00   X          5         9,442.00
   CORP COM
   HARCOURT GEN    Equity  41163G101     230,801.00       6,196.00   X          5         6,196.00
   INC COM
   HARDINGE BROS   Equity  412324303     339,275.00      33,100.00   X          3                      33,100.00
   INC COM
   HARKEN          Equity  412552101      74,142.00      74,142.00   X          5        74,142.00
   ENERGY CORP
   COM
   HARLEY          Equity  412822108  29,805,688.00     751,000.00   X          1       733,800.00
   DAVIDSON INC
   COM
                                                                     X          1                                   17,200.00
                                      12,065,152.00     304,000.00   X          2       303,400.00
                                                                     X          2                         600.00
                                       3,564,696.78      89,818.00   X          5        89,818.00
   HARMAN INTL     Equity  413086109   6,120,000.00     102,000.00   X          3        44,400.00
   IND INC NEW
                                                                     X          3                      57,600.00
                                         365,160.00       6,086.00   X          5         6,086.00
                                      11,574,120.00     192,902.00   X          6       182,098.00
                                                                     X          6                      10,804.00
   HARMONIC INC    Equity  413160102  38,245,050.00     459,400.00   X          1       425,900.00
   COM
                                                                     X          1                                   33,500.00
                                      21,003,975.00     252,300.00   X          2       252,300.00
                                         371,544.75       4,463.00   X          5         4,463.00
   HARRAHS         Equity  413619107   2,343,385.60     126,260.00   X          5       126,260.00
   ENTMT INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 35               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                      74,702,032.64   4,024,894.00   X          6     3,307,844.00
                                                                     X          6                     717,050.00
   HARRIS CORP     Equity  413875105     438,842.88      12,698.00   X          5        12,698.00
   DEL COM
   HARSCO CORP     Equity  415864107     392,542.16      13,564.00   X          5        13,564.00
   COM
   HARTFORD FINL   Equity  416515104   1,007,472.25      19,099.00   X          5        19,099.00
   SVCS COM
   HARTFORD LIFE   Equity  416592103   1,199,637.65      25,595.00   X          5        25,595.00
   INC CL A
   HASBRO INC COM  Equity  418056107   1,907,833.90     114,310.00   X          5       114,310.00
   HAVERTY         Equity  419596101   1,955,000.00     184,000.00   X          1       184,000.00
   FURNITURE INC
   COM
                                       6,045,625.00     569,000.00   X          3       274,900.00
                                                                     X          3                     294,100.00
                                           1,785.00         168.00   X          5           168.00
   HAWAIIAN ELEC   Equity  419870100   5,961,194.00     187,400.00   X          3        93,800.00
   INDS COM
                                                                     X          3                      93,600.00
                                         227,505.12       7,152.00   X          5         7,152.00
   HEARME          Equity  421903105  15,935,275.00     631,100.00   X          2       631,100.00
   HEALTH CARE     Equity  421915109   5,806,272.96     228,234.00   X          3       106,556.00
   PPTY INVS COM
                                                                     X          3                     121,678.00
                                         238,296.48       9,367.00   X          5         9,367.00
   HEALTHSOUTH     Equity  421924101     445,401.82      78,278.00   X          5        78,278.00
   CORP COM
   HEALTH MGMT     Equity  421933102  11,759,100.00     825,200.00   X          2       825,200.00
   ASSOC INC CL A
                                         883,628.25      62,009.00   X          5        62,009.00
   HEALTHCARE      Equity  421946104     220,848.75      13,185.00   X          5        13,185.00
   RLTY TR COM
   HEICO CORP      Equity  422806109   1,689,250.00     116,500.00   X          1       116,500.00
   NEW COM
   HEIDRICK&STRU   Equity  422819102   9,035,024.00     225,200.00   X          2       225,200.00
   INTL COM
                                         120,239.64       2,997.00   X          5         2,997.00
   HEINZ H J CO    Equity  423074103   2,039,476.56      58,488.00   X          5        58,488.00
   COM
                                      56,757,899.00   1,627,700.00   X          6     1,155,800.00
                                                                     X          6                     471,900.00
   HELIX           Equity  423319102   9,916,401.30     165,100.00   X          1       138,000.00
   TECHNOLOGY
   CORP COM
                                                                     X          1                                   27,100.00
                                       9,063,506.70     150,900.00   X          2       150,900.00
                                         514,739.91       8,570.00   X          5         8,570.00
   HELLER          Equity  423328103   1,226,843.00      53,341.00   X          5        53,341.00
   FINANCIAL INC
   HELMERICH &     Equity  423452101     673,568.00      21,728.00   X          5        21,728.00
   PAYNE INC COM
   HENRY JACK &    Equity  426281101     219,302.76       5,948.00   X          5         5,948.00
   ASSOC INC COM
                                          55,305.00       1,500.00   X          6         1,500.00
   HERCULES INC    Equity  427056106     893,354.28      55,419.00   X          5        55,419.00
   COM
                                       5,807,471.80     360,265.00   X          6       110,265.00
                                                                     X          6                     250,000.00
   HERLEY INDS     Equity  427398102   4,396,039.60     241,700.00   X          1       241,700.00
   INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 36               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   HERSHEY FOODS   Equity  427866108   2,067,828.75      42,417.00   X          5        42,417.00
   CORP COM
                                      12,243,562.50     251,150.00   X          6       217,650.00
                                                                     X          6                      33,500.00
   HERTZ CORP CL   Equity  428040109     820,028.56      24,076.00   X          5        24,076.00
   A
   HEWLETT         Equity  428236103  29,034,484.24     219,029.00   X          5       219,029.00
   PACKARD CO
   COM
   HIBERNIA CORP   Equity  428656102     182,847.00      17,414.00   X          5        17,414.00
   CL A
   HILLENBRAND     Equity  431573104     567,086.00      16,679.00   X          5        16,679.00
   INDS INC COM
   HILTON HOTELS   Equity  432848109     149,931.50      19,346.00   X          5        19,346.00
   CORP COM
   HISPANIC        Equity  43357B104   1,684,027.50      14,870.00   X          5        14,870.00
   BROADCASTING
   HOME DEPOT      Equity  437076102  30,444,000.00     472,000.00   X          1       461,350.00
   INC COM
                                                                     X          1                                   10,650.00
                                     135,211,350.00   2,096,300.00   X          2     2,096,300.00
                                      34,237,567.50     530,815.00   X          5       530,815.00
                                         171,763.50       2,663.00   X          6         2,663.00
   HOMESTAKE       Equity  437614100   1,075,416.00     179,236.00   X          5       179,236.00
   MNG CO COM
   HOMESTEAD       Equity  437851108   2,362,029.94     741,029.00   X          6       614,021.00
   VILLAGE INC
                                                                     X          6                     127,008.00
   HON INDS INC    Equity  438092108     208,085.75       8,081.00   X          5         8,081.00
   COM
   HONEYWELL INC   Equity  438516106  34,214,428.06     649,378.00   X          1       634,366.00
   COM
                                                                     X          1                                   15,012.00
                                      10,164,990.46     192,928.00   X          5       192,928.00
                                       6,032,512.56     114,495.00   X          6        77,495.00
                                                                     X          6                      37,000.00
   HOOPER HOMES    Equity  439104100   9,473,543.20     552,200.00   X          1       461,600.00
   INC
                                                                     X          1                                   90,600.00
                                         112,543.36       6,560.00   X          5         6,560.00
   HORACE MANN     Equity  440327104      15,028.60         815.00   X          5           815.00
   EDUCTR CP COM
                                      10,906,503.96     591,459.00   X          6       558,794.00
                                                                     X          6                      32,665.00
   HORMEL FOODS    Equity  440452100   1,933,327.56     117,599.00   X          5       117,599.00
   CORP COM
   HOSPITALITY     Equity  44106M102     236,418.75      11,675.00   X          5        11,675.00
   PPTYS TR COM
   SH BEN
   HOST MARRIOTT   Equity  44107P104     413,829.85      46,655.00   X          5        46,655.00
   CORP COM
   HOUGHTON        Equity  441560109     152,274.72       3,588.00   X          5         3,588.00
   MIFFLIN CO COM
                                      10,758,964.40     253,510.00   X          6       241,545.00
                                                                     X          6                      11,965.00
   HOUSEHOLD       Equity  441815107   4,882,685.08     130,868.00   X          5       130,868.00
   INTL INC COM
                                     859,823,127.80  23,045,380.00   X          6    19,531,515.00
                                                                     X          6                   3,513,865.00
   HOUSTON EXPL    Equity  442120101   7,153,200.00     397,400.00   X          1       332,200.00
   CO COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 37               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   65,200.00
                                         360,000.00      20,000.00   X          6                      20,000.00
   Houston         Equity  442161204   6,042,000.00      38,000.00   X          4        38,000.00
   Industries
   Conv. Pfd.
   HUBBELL INC CL  Equity  443510201  10,588,084.50     386,850.00   X          3       132,300.00
   B
                                                                     X          3                     254,550.00
                                         342,590.29      12,517.00   X          5        12,517.00
   HUDSON RIV      Equity  444128102     171,240.00      17,124.00   X          5        17,124.00
   BANCORP INC
   COM
   HUDSON UNITED   Equity  444165104   4,200,922.22     193,698.00   X          1       161,866.00
   BANCORP COM
                                                                     X          1                                   31,832.00
                                       5,422,390.38     250,018.00   X          3       138,378.00
                                                                     X          3                     111,640.00
                                         286,802.11      13,224.00   X          5        13,224.00
   HUGHES SUPPLY   Equity  444482103   4,749,200.00     306,400.00   X          3       141,800.00
   INC COM
                                                                     X          3                     164,600.00
                                          48,701.00       3,142.00   X          5         3,142.00
   HUMANA INC COM  Equity  444859102     130,812.45      17,895.00   X          5        17,895.00
   HUMAN GENOME    Equity  444903108     832,759.56      10,026.00   X          5        10,026.00
   SCIENCES COM
   HUNTINGTON      Equity  446150104     432,143.66      19,318.00   X          5        19,318.00
   BANCSHARES
   COM
   HUSSMANN INTL   Equity  448110106   5,216,859.00     411,100.00   X          3       190,200.00
   INC COM
                                                                     X          3                     220,900.00
                                         128,448.18      10,122.00   X          5        10,122.00
   HUTCHINSON      Equity  448407106   2,366,366.00     134,300.00   X          2       134,300.00
   TECHNOLOGY
   COM
                                          36,173.86       2,053.00   X          5         2,053.00
   HUTTIG BLDG     Equity  448451104      52,069.50      11,571.00   X          5        11,571.00
   PRODS INC COM
                                          12,505.50       2,779.00   X          6         2,779.00
   ICN             Equity  448924100     359,591.00      13,196.00   X          5        13,196.00
   PHARMACEUTICA
   NEW COM
                                             354.25          13.00   X          6            13.00
   HYPERION        Equity  44914M104   5,603,000.00     172,400.00   X          1       144,000.00
   SOLUTIONS CP
   COM
                                                                     X          1                                   28,400.00
                                         439,530.00      13,524.00   X          5        13,524.00
   IBP INC COM     Equity  449223106  14,880,600.00     944,800.00   X          3       787,200.00
                                                                     X          3                     157,600.00
                                         754,314.75      47,893.00   X          5        47,893.00
   ICG             Equity  449246107     287,262.36       7,953.00   X          5         7,953.00
   COMMUNICATION
   INC COM
   ICT GROUP INC   Equity  44929Y101     668,800.00     100,000.00   X          1       100,000.00
             COM
   IDEC            Equity  449370105  41,549,925.00     422,900.00   X          1       391,300.00
   PHARMACEUTICA
   COM
                                                                     X          1                                   31,600.00
                                      35,370,000.00     360,000.00   X          2       360,000.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 38               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                       1,538,398.50      15,658.00   X          5        15,658.00
                                          98,250.00       1,000.00   X          6         1,000.00
   IMC GLOBAL INC  Equity  449669100   7,154,030.00     487,000.00   X          2       487,000.00
   COM
                                         235,451.32      16,028.00   X          5        16,028.00
   IPC             Equity  44980K206     219,802.00       1,067.00   X          5         1,067.00
   COMMUNICATION
   INC COM NEW
   IMS HEALTH INC  Equity  449934108   1,077,926.08      63,632.00   X          5        63,632.00
   COM
   ISS GROUP INC   Equity  450306105  60,381,950.00     518,300.00   X          1       480,400.00
   COM
                                                                     X          1                                   37,900.00
                                         474,854.00       4,076.00   X          5         4,076.00
   ITC DELTACOM    Equity  45031T104     342,308.20       9,610.00   X          5         9,610.00
   INC
   ITT INDS INC INDEquity  450911102   1,232,553.98      39,683.00   X          5        39,683.00
   COM
                                     152,970,500.00   4,925,000.00   X          6     4,925,000.00
   IDACORP INC     Equity  451107106     401,258.25      11,547.00   X          5        11,547.00
   IDEXX LABS      Equity  45168D104     258,624.45      11,095.00   X          5        11,095.00
   CORP COM
   IGATE CAPITAL   Equity  45169U105     406,080.00       9,000.00   X          5         9,000.00
   IKON OFFICE     Equity  451713101      79,603.40      12,860.00   X          5        12,860.00
   SOLUTIONS COM
   ILLINOIS TOOL   Equity  452308109   2,823,109.25      51,097.00   X          5        51,097.00
   WKS INC COM
   IMAGEX.COM INC  Equity  45244D102   9,539,250.00     474,000.00   X          2       474,000.00
   IMATION CORP    Equity  45245A107     534,947.67      20,043.00   X          5        20,043.00
   COM
   IMCLONE         Equity   45245W10     566,916.25       7,375.00   X          5         7,375.00
   SYSTEMS INC
   IMMUNEX CORP    Equity  452528102  40,562,257.20     639,400.00   X          1       627,600.00
   NEW COM
                                                                     X          1                                   11,800.00
                                     137,546,271.60   2,168,200.00   X          2     2,168,200.00
                                       1,567,806.73      24,714.00   X          5        24,714.00
   IMPAC           Equity  45254P102     133,560.00      38,160.00   X          5        38,160.00
   MORTGAGE
   HOLDINGS INC
   IMPERIAL        Equity  452556103     202,802.00       6,542.00   X          5         6,542.00
   BANCORP COM
   IMPERIAL CR     Equity  452729106      50,040.00      11,120.00   X          5        11,120.00
   INDS INC COM
   IMPERIAL SUGAR  Equity  453096109      51,945.25      29,683.00   X          5        29,683.00
   CO NEW COM
   INAMED          Equity  453235103  14,053,050.00     283,900.00   X          2       283,900.00
   CORPORATION
   INCO LTD COM    Equity  453258402     356,120.82      19,386.00   X          5        19,386.00
   INCYTE          Equity  45337C102     673,288.00       7,700.00   X          5         7,700.00
   PHARMACEUTICA
   COM
   INDEPENDENCE    Equity  453414104     235,065.68      21,139.00   X          5        21,139.00
   CMNTY BK COM
   INDEPENDANT     Equity  45384X108  12,582,950.00     280,400.00   X          2       280,400.00
   ENERGY
   HOLDINGS PLC
   INDYMAC MTG     Equity  456607100     288,102.96      19,284.00   X          5        19,284.00
   HLDGS INC COM
   INFINITY        Equity  45662S102   1,203,225.27      37,171.00   X          5        37,171.00
   BROADCASTING
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 39               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   INFORMATICA     Equity  45666Q102   2,949,619.20      38,400.00   X          1        32,100.00
   CORP COM
                                                                     X          1                                    6,300.00
                                         129,276.28       1,683.00   X          5         1,683.00
   INFORMIX CORP   Equity  456779107   8,823,851.10     520,950.00   X          1       460,050.00
   COM
                                                                     X          1                                   60,900.00
                                       1,181,137.55      69,733.00   X          5        69,733.00
   INFORTE         Equity  45677R107     294,000.00       6,000.00   X          1         6,000.00
   CORPCOM
   INFOSPACE COM   Equity  45678T102  43,632,000.00     300,000.00   X          2       300,000.00
   INC COM
                                         943,323.84       6,486.00   X          5         6,486.00
                                          14,544.00         100.00   X          6           100.00
   INGERSOLL       Equity  456866102   5,014,808.25     113,329.00   X          5       113,329.00
   RAND CO COM
   INHALE          Equity  457191104     388,815.50       5,219.00   X          5         5,219.00
   THERAPEUTIC
   SYS COM
   INKTOMI CORP    Equity  457277101     136,500.00         700.00   X          2           700.00
   COM
                                       1,346,475.00       6,905.00   X          5         6,905.00
   INSIGHT         Equity  45765U103     223,231.44       6,126.00   X          5         6,126.00
   ENTERPRISES
   COM
   INSITUFORM      Equity  457667103     659,646.66      21,543.00   X          5        21,543.00
   TECH INC CL A
   INNKEEPERS      Equity  4576J0104   5,171,628.00     636,900.00   X          3       319,600.00
   USA TR COM
                                                                     X          3                     317,300.00
                                          55,280.96       6,808.00   X          5         6,808.00
   INTEGRATED      Equity  458118106  42,838,587.50   1,081,100.00   X          1       992,600.00
   DEVICE TECH
   COM
                                                                     X          1                                   88,500.00
                                         796,938.00      20,112.00   X          5        20,112.00
   INTEGRATED      Equity  45812C106       5,738.00      15,100.00   X          5        15,100.00
   HEALTH SVCS
   COM
   INTEL CORP COM  Equity  458140100  94,752,066.33     718,156.00   X          5       718,156.00
                                     110,795,595.19     839,755.00   X          6       467,655.00
                                                                     X          6                     372,100.00
                                      55,611,867.00     421,500.00   X          1       411,800.00
                                                                     X          1                                    9,700.00
                                      54,556,363.00     413,500.00   X          2       413,500.00
                                      13,550,032.60     102,700.00   X          3        85,200.00
                                                                     X          3                      17,500.00
   INTERIM SVCS    Equity  45868P100     300,059.52      16,167.00   X          5        16,167.00
   INC COM
   INTERMEDIA      Equity  458801107     437,350.43       9,053.00   X          5         9,053.00
   COMMUNICATN
   COM
   INTERMET CORP   Equity  45881K104   4,530,816.00     496,800.00   X          3       248,700.00
   COM
                                                                     X          3                     248,100.00
                                          34,327.68       3,764.00   X          5         3,764.00
   INTERNATIONAL   Equity  459200101  46,601,677.15     393,695.00   X          5       393,695.00
   BUS MACH COM
                                     163,835,917.00   1,384,100.00   X          6     1,082,950.00
                                                                     X          6                     301,150.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 40               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   INTERNATIONAL   Equity  459506101     502,865.58      14,343.00   X          5        14,343.00
   FLAV&FRA COM
                                          59,602.00       1,700.00   X          6         1,700.00
   INTL HOME       Equity  459655106      33,824.00       2,114.00   X          5         2,114.00
   FOODS INC COM
                                       2,792,560.00     174,535.00   X          6       167,325.00
                                                                     X          6                       7,210.00
   INTERNATIONAL   Equity  459902102     488,372.04      22,516.00   X          5        22,516.00
   GAME TEC COM
   INTL PAPER CO   Equity  460146103  29,672,775.00     694,100.00   X          1       678,200.00
   COM
                                                                     X          1                                   15,900.00
                                       5,431,216.50     127,046.00   X          5       127,046.00
   INTERNATL       Equity  460254105     506,081.12      13,276.00   X          5        13,276.00
   RECTIFIER CP
   COM
   INTL SPEEDWAY   Equity  460335201     357,677.46       7,959.00   X          5         7,959.00
   CORP - CL A
   INTERPOOL INC   Equity  46062R108      28,864.00       4,400.00   X          5         4,400.00
                                       5,097,598.88     777,073.00   X          6       733,413.00
                                                                     X          6                      43,660.00
   INTERPUBLIC     Equity  460690100   2,350,356.75      49,743.00   X          5        49,743.00
   GROUP COS COM
   INTERSIL        Equity  46069S109  18,343,893.75     354,900.00   X          2       353,900.00
   HOLDING CORP
                                                                     X          2                       1,000.00
   INTERSTATE      Equity  46072H108     165,129.00      11,588.00   X          5        11,588.00
   BAKERIES COM
   INTERVOICE INC  Equity  461142101     219,440.87       7,601.00   X          5         7,601.00
   COM
   INTEST CORP     Equity  461147100   2,761,722.20     131,900.00   X          1       131,900.00
             COM
   INTIMATE        Equity  461156101  35,324,352.76     857,637.00   X          1       806,017.00
   BRANDS INC CL A
                                                                     X          1                                   51,620.00
                                          72,408.50       1,758.00   X          5         1,758.00
   INTRAWARE INC   Equity  46118M103  10,215,963.00     247,300.00   X          2       247,300.00
   COM
                                          91,956.06       2,226.00   X          5         2,226.00
   INTUIT COM      Equity  461202103   1,728,367.93      31,789.00   X          5        31,789.00
   INVACARE CORP   Equity  461203101   6,925,856.00     252,400.00   X          3       111,300.00
   COM
                                                                     X          3                     141,100.00
                                          23,708.16         864.00   X          5           864.00
   INVESTMENT      Equity  46145F105     249,147.00       7,068.00   X          5         7,068.00
   TEC GRP NEW
   COM
   INVITROGEN      Equity  46185R100   8,233,333.40     141,800.00   X          1       118,300.00
   CORP COM
                                                                     X          1                                   23,500.00
                                             754.82          13.00   X          5            13.00
   IOMEGA CORP     Equity  462030107     128,591.31      33,751.00   X          5        33,751.00
   COM
   IPALCO          Equity  462613100     279,532.50      14,335.00   X          5        14,335.00
   ENTERPRISES
   INC COM
   IRON MTN INC    Equity  462846106     246,900.94       7,249.00   X          5         7,249.00
   DEL COM
   ISPAT INTL NV   Equity  464899103  15,083,250.00   1,014,000.00   X          2     1,014,000.00
   NY REG SHS
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 41               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   I2              Equity  465754109  17,109,712.50     140,100.00   X          1       134,400.00
   TECHNOLOGIES
   INC COM
                                                                     X          1                                    5,700.00
                                     152,070,050.00   1,245,200.00   X          2     1,245,200.00
                                       1,389,416.13      11,377.00   X          5        11,377.00
   IVAX CORP COM   Equity  465823102   5,950,964.00     218,384.00   X          5       218,384.00
   JDS UNIPHASE    Equity  46612J101  82,006,952.60     680,200.00   X          1       656,100.00
   CORP COM
                                                                     X          1                                   24,100.00
                                     273,611,700.35   2,269,450.00   X          2     2,267,950.00
                                                                     X          2                       1,500.00
                                       7,348,917.67      60,955.00   X          5        60,955.00
                                           6,028.15          50.00   X          6            50.00
   JABIL CIRCUIT   Equity  466313103  56,744,000.00   1,312,000.00   X          2     1,310,000.00
   INC COM
                                                                     X          2                       2,000.00
                                       1,150,536.50      26,602.00   X          5        26,602.00
                                       8,416,450.00     194,600.00   X          6       194,600.00
   JACK IN THE BOX Equity  466367109   4,627,052.30     217,100.00   X          1       181,200.00
   INC COM
                                                                     X          1                                   35,900.00
                                         333,846.83      15,664.00   X          5        15,664.00
   JAKKS PAC INC   Equity  47012E106   1,633,397.25      75,750.00   X          1        75,750.00
   COM
                                          18,846.06         874.00   X          5           874.00
   JEFFERSON       Equity  475070108   1,323,212.80      19,880.00   X          5        19,880.00
   PILOT CORP COM
   JOHN NUVEEN     Equity  478035108   1,086,300.00      28,400.00   X          1        28,400.00
   COMPANY
                                          71,718.75       1,875.00   X          5         1,875.00
   JOHNS MANVILLE  Equity  478129109     468,203.94      44,087.00   X          5        44,087.00
   CP NEW COM
   JOHNSON &       Equity  478160104  15,351,100.25     218,521.00   X          5       218,521.00
   JOHNSON COM
                                           1,053.75          15.00   X          6            15.00
   JOHNSON CTLS    Equity  478366107   4,598,181.42      85,057.00   X          5        85,057.00
   INC COM
   JONES APPAREL   Equity  480074103     903,256.92      28,566.00   X          5        28,566.00
   GROUP COM
   JONES PHARMA    Equity  480236108     527,283.94      17,362.00   X          5        17,362.00
   INC
   JOSTENS INC     Equity  481088102   6,923,517.00     284,100.00   X          3       124,800.00
   COM
                                                                     X          3                     159,300.00
                                         420,528.72      17,256.00   X          5        17,256.00
   JUNIPER         Equity  48203R104 188,183,625.00     714,000.00   X          2       714,000.00
   NETWORKS INC
   KLA-TENCOR      Equity  482480100  64,552,350.00     766,200.00   X          1       724,200.00
   CORP COM
                                                                     X          1                                   42,000.00
                                         143,225.00       1,700.00   X          2         1,700.00
                                       2,394,469.25      28,421.00   X          5        28,421.00
   K MART CORP     Equity  482584109     564,151.80      58,220.00   X          5        58,220.00
   COM
   KAMAN CORP CL   Equity  483548103   4,893,525.00     501,900.00   X          3       267,900.00
   A
                                                                     X          3                     234,000.00
                                          47,589.75       4,881.00   X          5         4,881.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 42               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   KANSAS CITY     Equity  485134100     293,190.00      10,110.00   X          5        10,110.00
   PWR< CO COM
   KANSAS CITY     Equity  485170104  25,919,504.00     301,600.00   X          2       301,600.00
   SOUTHN IND COM
                                       4,426,167.82      51,503.00   X          5        51,503.00
   KAUFMAN&BROA    Equity  486168107     284,187.20      13,255.00   X          5        13,255.00
   HOME CP COM
   KAYDON CORP     Equity  486587108     282,358.09      10,339.00   X          5        10,339.00
   COM
                                      13,416,310.60     491,260.00   X          6       468,785.00
                                                                     X          6                      22,475.00
   KEANE INC COM   Equity  486665102     514,090.00      20,360.00   X          5        20,360.00
   KEEBLER FOODS   Equity  487256109   1,236,940.66      43,114.00   X          5        43,114.00
   CO COM
   KELLOGG CO COM  Equity  487836108     992,714.00      38,552.00   X          5        38,552.00
   KELLY SVCS INC  Equity  488152208   5,329,044.00     222,600.00   X          3       113,500.00
   CL A
                                                                     X          3                     109,100.00
                                         297,981.18      12,447.00   X          5        12,447.00
   KEMET CORP      Equity  488360108   7,621,625.00     120,500.00   X          1       100,700.00
   COM
                                                                     X          1                                   19,800.00
                                         579,433.25       9,161.00   X          5         9,161.00
   KERR MCGEE      Equity  492386107  37,751,175.00     653,700.00   X          1       613,000.00
   CORP COM
                                                                     X          1                                   40,700.00
                                      46,841,025.00     811,100.00   X          3       562,800.00
                                                                     X          3                     248,300.00
                                       4,046,427.00      70,068.00   X          5        70,068.00
   Kerr-McGee Corp.Equity  492386305   6,790,500.00     150,900.00   X          4       150,900.00
   Conv. Pfd.
   KEY ENERGY      Equity  492914106  14,059,272.00   1,216,200.00   X          2     1,216,200.00
   SERVICES
                                         103,115.20       8,920.00   X          5         8,920.00
   KEYCORP NEW     Equity  493267108  10,884,150.00     572,850.00   X          3       192,000.00
   COM
                                                                     X          3                     380,850.00
                                       1,191,072.00      62,688.00   X          5        62,688.00
   KEYSPAN CORP    Equity   49337W10  13,612,517.00     492,850.00   X          3       173,900.00
   COM
                                                                     X          3                     318,950.00
                                         585,930.68      21,214.00   X          5        21,214.00
   KEYSTONE        Equity  493482103     287,306.80      15,640.00   X          5        15,640.00
   FINANCIAL INC
   COM
   KIMBALL INTL    Equity  494274103   4,065,600.00     369,600.00   X          3       185,900.00
   INC CL B
                                                                     X          3                     183,700.00
                                          39,655.00       3,605.00   X          5         3,605.00
   KIMBERLY CLARK  Equity  494368103     308,346.50       5,500.00   X          1         5,500.00
   CORP COM
                                       5,442,820.29      97,084.00   X          5        97,084.00
                                          69,966.62       1,248.00   X          6         1,248.00
   KIMCO REALTY    Equity  49446R109     491,962.50      13,119.00   X          5        13,119.00
   CORP COM
   KINDER MORGAN   Equity  494550106      64,099.35       1,615.00   X          5         1,615.00
   ENERGY UT LTD
   PART
                                         218,295.00       5,500.00   X          6         5,500.00
   KINDER MORGAN   Equity  49455P101     869,020.50      25,189.00   X          5        25,189.00
   INC KANS COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 43               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   KNIGHT RIDDER   Equity  499040103   3,733,921.25      72,857.00   X          5        72,857.00
   INC COM
   KNIGHT          Equity  499068104  37,597,200.00     737,200.00   X          1       695,500.00
   TRIMARK GROUP
   INC.
                                                                     X          1                                   41,700.00
                                         223,482.00       4,382.00   X          5         4,382.00
   KOALA CORP      Equity  499866101   3,016,725.80     226,600.00   X          1       226,600.00
            COM
   KOHLS CORP      Equity  500255104  62,443,000.00     609,200.00   X          2       609,200.00
   COM
                                       7,226,250.00      70,500.00   X          5        70,500.00
   KOPIN CORP COM  Equity  500600101     212,643.75       3,093.00   X          5         3,093.00
   KROGER CO COM   Equity  501044101   4,426,665.28     252,088.00   X          5       252,088.00
                                   1,012,700,266.48  57,670,858.00   X          6    49,428,918.00
                                                                     X          6                   8,241,940.00
   KULICKE & SOFFA Equity  501242101   7,130,211.90     111,300.00   X          1        93,100.00
   INDS COM
                                                                     X          1                                   18,200.00
                                      16,227,157.90     253,300.00   X          2       253,300.00
                                         404,365.66       6,312.00   X          5         6,312.00
   LG&E ENERGY     Equity  501917108   1,559,734.00      68,200.00   X          4        68,200.00
   CORP COM
                                       2,662,502.53     116,419.00   X          5       116,419.00
   LSI LOGIC CORP  Equity  502161102  48,774,950.00     671,600.00   X          1       635,100.00
   COM
                                                                     X          1                                   36,500.00
                                      44,076,112.50     606,900.00   X          2       605,500.00
                                                                     X          2                       1,400.00
                                       3,869,895.75      53,286.00   X          5        53,286.00
   LTC PPTYS INC   Equity  502175102     151,868.97      28,281.00   X          5        28,281.00
   COM
   LTX CORP COM    Equity  502392103   8,906,554.80     197,100.00   X          1       164,800.00
                                                                     X          1                                   32,300.00
                                         248,669.56       5,503.00   X          5         5,503.00
   L-3             Equity  502424104  11,816,350.00     227,500.00   X          2       227,500.00
   COMMUNICATNS
   HLDGS COM
                                         249,883.34       4,811.00   X          5         4,811.00
   LA Z BOY INC    Equity  505336107     162,599.23      10,579.00   X          5        10,579.00
   COM
   LABORATORY      Equity  50540R102      58,892.25      13,857.00   X          5        13,857.00
   AMER HLDGS
   COM
   LAFARGE CORP    Equity  505862102     569,453.75      23,977.00   X          5        23,977.00
   COM
   LAM RESH CORP   Equity  512807108  42,169,955.40     935,800.00   X          1       875,900.00
   COM
                                                                     X          1                                   59,900.00
                                         941,275.94      20,888.00   X          5        20,888.00
   LAMAR           Equity  512815101     231,003.50       5,077.00   X          5         5,077.00
   ADVERTISING CO
   CL A
                                      12,733,175.00     279,850.00   X          6       248,950.00
                                                                     X          6                      30,900.00
   LANCASTER       Equity  513847103   5,730,000.00     187,500.00   X          3        89,100.00
   COLONY CORP
   COM
                                                                     X          3                      98,400.00
                                         291,145.12       9,527.00   X          5         9,527.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 44               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   LANCE INC COM   Equity  514606102     135,139.50      12,725.00   X          5        12,725.00
   LANDAMERICA     Equity  514936103     232,052.60      11,980.00   X          5        11,980.00
   FINL GROUP COM
   LANDS END INC   Equity  515086106   9,656,325.00     157,500.00   X          2       157,500.00
   COM
                                         121,761.66       1,986.00   X          5         1,986.00
   LANDSTAR        Equity  515098101   7,073,700.00     129,200.00   X          1       108,000.00
   SYSTEM INC
                                                                     X          1                                   21,200.00
                                         172,791.00       3,156.00   X          5         3,156.00
                                       1,779,375.00      32,500.00   X          6        32,500.00
   LANTE CORP      Equity  516540101     607,500.00      20,000.00   X          1        20,000.00
   LASON INC COM   Equity  51808R107      73,649.84      11,176.00   X          5        11,176.00
   LATTICE         Equity  518415104     685,767.39      10,131.00   X          5        10,131.00
   SEMICONDUCTOR
   COM
   LAUDER ESTEE    Equity  518439104     845,263.10      16,885.00   X          5        16,885.00
   COS INC CL A
   LEAP WIRELESS   Equity  521863100      33,949.36         344.00   X          4           344.00
   INTL INC COM
                                         356,863.04       3,616.00   X          5         3,616.00
   LEAR CORP COM   Equity  521865105     347,225.76      12,348.00   X          5        12,348.00
   LEGATO SYS INC  Equity  524651106   1,544,208.96      34,608.00   X          5        34,608.00
   COM
   LEGGETT &       Equity  524660107     304,590.50      14,167.00   X          5        14,167.00
   PLATT INC COM
                                         107,500.00       5,000.00   X          6                       5,000.00
   LEGG MASON INC  Equity  524901105     708,651.25      16,385.00   X          5        16,385.00
   COM
   LEHMAN BROS     Equity  524908100  59,199,100.00     610,300.00   X          1       583,500.00
   HLDGS INC COM
                                                                     X          1                                   26,800.00
                                       6,077,050.00      62,650.00   X          5        62,650.00
   LENNAR CORP     Equity  526057104  15,127,380.00     697,500.00   X          1       655,500.00
   COM
                                                                     X          1                                   42,000.00
                                         206,144.44       9,505.00   X          5         9,505.00
   LEVEL 3         Equity  52729N100   3,763,959.75      35,593.00   X          5        35,593.00
   COMMUNICATION
   INC
   LEXMARK INTL    Equity  529771107  26,469,225.00     250,300.00   X          2       250,300.00
   GROUP INC CL A
                                       2,849,328.00      26,944.00   X          5        26,944.00
   LIBERTY DIGITAL Equity  530436104     257,103.00       6,678.00   X          5         6,678.00
   INC CL A
   LIBERTY PPTY    Equity  531172104  36,376,663.56   1,519,620.00   X          1     1,425,120.00
   TR SH BEN INT
                                                                     X          1                                   94,500.00
                                         837,111.86      34,970.00   X          5        34,970.00
   LIGHTBRIDGE     Equity  532226107   2,419,312.50     103,500.00   X          1       103,500.00
   INC             COM
   LILLY ELI & CO  Equity  532457108   9,767,530.22     155,981.00   X          5       155,981.00
   COM
   LIMITED INC COM Equity  532716107   2,594,170.80      61,590.00   X          5        61,590.00
   LINCARE HLDGS   Equity  532791100     345,773.56      12,188.00   X          5        12,188.00
   INC COM
   LINCOLN         Equity  533900106   7,099,765.00     293,500.00   X          3       144,500.00
   ELECTRIC
   HOLDINGS
                                                                     X          3                     149,000.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 45               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                         155,831.98       6,442.00   X          5         6,442.00
   LINCOLN NATL    Equity  534187109   7,532,944.00     224,864.00   X          5       224,864.00
   CORP IND COM
   LINDSAY MFG CO  Equity  535555106     143,311.52       8,371.00   X          5         8,371.00
   COM
                                      11,575,790.72     676,156.00   X          6       642,116.00
                                                                     X          6                      34,040.00
   LINEAR          Equity  535678106   4,030,345.00      73,279.00   X          5        73,279.00
   TECHNOLOGY
   CORP COM
                                         132,000.00       2,400.00   X          6         2,400.00
   LINENS N        Equity  535679104  12,737,575.00     371,900.00   X          2       371,900.00
   THINGS INC COM
                                         197,656.75       5,771.00   X          5         5,771.00
   LIZ CLAIBORNE   Equity  539320101  19,350,144.00     422,400.00   X          3       332,200.00
   COM
                                                                     X          3                      90,200.00
                                         751,054.95      16,395.00   X          5        16,395.00
   LOCKHEED        Equity  539830109     763,127.40      37,335.00   X          5        37,335.00
   MARTIN CORP
   COM
                                         287,386.40      14,060.00   X          6         5,730.00
                                                                     X          6                       8,330.00
   LOEWS CORP      Equity  540424108   8,115,000.00     162,300.00   X          2       162,300.00
   COM
                                         399,300.00       7,986.00   X          5         7,986.00
                                         800,000.00      16,000.00   X          6                      16,000.00
   LONE STAR       Equity  542307103     120,201.24      11,796.00   X          5        11,796.00
   STEAKHOUSE
   COM
   LONGVIEW FIBRE  Equity  543213102     200,644.25      13,603.00   X          5        13,603.00
   CO COM
   LORONIX         Equity  544183106   4,310,353.10     118,700.00   X          1       118,700.00
   INFORMATION
   SYS INC COM
   LOUIS DREYFUS   Equity  546011107   9,693,400.00     285,100.00   X          1       237,900.00
   NAT GAS COM
                                                                     X          1                                   47,200.00
                                          68,680.00       2,020.00   X          5         2,020.00
   LOUISIANA PAC   Equity  546347105     206,427.21      14,883.00   X          5        14,883.00
   CORP COM
   LOWES COS INC   Equity  548661107   3,359,777.20      57,560.00   X          5        57,560.00
   COM
   LUBRIZOL CORP   Equity  549271104   2,530,756.83      87,843.00   X          5        87,843.00
   COM
   LUBYS           Equity  549282101   4,983,376.00     527,900.00   X          3       261,300.00
   CAFETERIAS INC
   COM
                                                                     X          3                     266,600.00
                                          95,098.56      10,074.00   X          5        10,074.00
   LUCENT          Equity  549463107  37,104,706.00     598,463.00   X          5       598,463.00
   TECHNOLOGIES
   COM
                                          18,600.00         300.00   X          6           300.00
   LYCOS INC COM   Equity  550818108     445,244.50       6,338.00   X          5         6,338.00
   LYONDELL        Equity  552078107     432,027.50      29,290.00   X          5        29,290.00
   PETROCHEMICAL
   COM
   M & T BK CORP   Equity  55261F104     326,391.50         731.00   X          5           731.00
   COM
                                     132,360,460.00     296,440.00   X          6       296,440.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 46               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   MBIA INC COM    Equity  55262C100     372,593.42       7,157.00   X          5         7,157.00
   MBNA CORP COM   Equity  55262L100   4,246,821.00     166,542.00   X          5       166,542.00
   M D C HLDGS INC Equity  552676108   7,070,154.00     394,100.00   X          3       192,700.00
   COM
                                                                     X          3                     201,400.00
                                          86,273.46       4,809.00   X          5         4,809.00
   MCN ENERGY      Equity  55267J100 110,000,000.00   4,400,000.00   X          4     4,400,000.00
   GROUP INC COM
                                         308,875.00      12,355.00   X          5        12,355.00
   MCI WORLDCOM    Equity  55268B106  31,687,367.26     699,346.00   X          5       699,346.00
   INC COM
                                     490,341,602.99  10,821,929.00   X          6     8,970,818.00
                                                                     X          6                   1,851,111.00
   MDU RES GROUP   Equity  552690109     251,718.25      12,131.00   X          5        12,131.00
   INC COM
   MGC             Equity  552763302   9,745,450.00     136,300.00   X          2       136,300.00
   COMMUNICATION
   INC.
                                         208,994.50       2,923.00   X          5         2,923.00
   MGIC INVT CORP  Equity  552848103  24,377,650.00     558,800.00   X          1       546,000.00
   WIS COM
                                                                     X          1                                   12,800.00
                                       3,380,588.50      77,492.00   X          5        77,492.00
   MGI PPTYS INC   Equity  552885105     263,652.00      50,800.00   X          5        50,800.00
   COM
   MKS             Equity  55306N104  11,645,300.00     230,600.00   X          2       230,600.00
   INSTRUMENT
   INC COM
                                         131,300.00       2,600.00   X          5         2,600.00
   MRV             Equity  553477100     243,251.10       2,655.00   X          5         2,655.00
   COMMUNICATION
   INC COM
   MSC INDL        Equity  553530106      79,938.00       4,441.00   X          5         4,441.00
   DIRECT INC CL A
                                      18,188,694.00   1,010,483.00   X          6       967,693.00
                                                                     X          6                      42,790.00
   MTS SYS CORP    Equity  553777103   4,546,854.00     596,700.00   X          3       314,800.00
   COM
                                                                     X          3                     281,900.00
                                          20,627.34       2,707.00   X          5         2,707.00
   MYR GROUP INC   Equity  554053108   3,525,250.00     119,500.00   X          1       119,500.00
   COM
   MACROVISION     Equity  555904101  12,445,062.50     144,500.00   X          1       120,900.00
   CORP COM
                                                                     X          1                                   23,600.00
                                         372,576.75       4,326.00   X          5         4,326.00
   MACROMEDIA INC  Equity  556100105   1,467,085.95      16,245.00   X          5        16,245.00
   MADISON GAS &   Equity  557497104     280,433.91      15,693.00   X          5        15,693.00
   ELEC CO COM
   MAGELLAN        Equity  559079108   3,523,325.00     732,500.00   X          2       732,500.00
   HEALTH SVCS
   COM
                                          59,254.39      12,319.00   X          5        12,319.00
                                         101,972.00      21,200.00   X          6        19,400.00
                                                                     X          6                       1,800.00
   MALLINCKRODT    Equity  561232109  38,658,112.50   1,344,630.00   X          3       940,300.00
   INC NEW COM
                                                                     X          3                     404,330.00
                                         338,128.75      11,761.00   X          5        11,761.00
   MANITOWOC INC   Equity  563571108   5,967,720.00     217,008.00   X          1       181,584.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 47               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   35,424.00
                                         188,925.00       6,870.00   X          5         6,870.00
   MANOR CARE INC  Equity  564055101     206,226.00      15,276.00   X          5        15,276.00
   MANPOWER INC    Equity  56418H100  15,431,850.00     434,700.00   X          3       358,900.00
   COM
                                                                     X          3                      75,800.00
                                         704,036.00      19,832.00   X          5        19,832.00
   MARCHFIRST INC  Equity  566244109     718,047.11      20,119.00   X          5        20,119.00
   COM
   MARINE          Equity  568240204     261,997.12       9,548.00   X          5         9,548.00
   DRILLING COS
   COM PAR $0.0
   MARK IV INDS    Equity  570387100     326,090.92      14,782.00   X          5        14,782.00
   INC COM
   MARSH &         Equity  571748102  30,181,636.80     273,600.00   X          1       267,300.00
   MCLENNAN COS
   COM
                                                                     X          1                                    6,300.00
                                      10,321,104.91      93,562.00   X          5        93,562.00
   MARSHALL &      Equity  571834100     516,227.25       8,939.00   X          5         8,939.00
   ILSLEY CORP
   COM
   MARRIOTT INTL   Equity  571903202   1,789,326.00      56,804.00   X          5        56,804.00
   INC NEW CL A
   MARTIN          Equity  573284106  33,473,250.00     704,700.00   X          1       647,900.00
   MARIETTA
   MATLS COM
                                                                     X          1                                   56,800.00
                                         284,145.00       5,982.00   X          5         5,982.00
   MASCO CORP      Equity  574599106   2,982,319.50     145,479.00   X          5       145,479.00
   COM
                                          10,332.00         504.00   X          6           504.00
   MASCOTECH INC   Equity  574670105     172,684.68      14,028.00   X          5        14,028.00
   COM
   MASTEC INC COM  Equity  576323109     553,135.00       6,215.00   X          5         6,215.00
   MATTEL INC COM  Equity  577081102     308,962.50      29,425.00   X          5        29,425.00
                                         180,127.50      17,155.00   X          6         3,405.00
                                                                     X          6                      13,750.00
   MATTSON         Equity  577223100   3,111,625.00      73,000.00   X          1        73,000.00
   TECHNOLOGY INC
   MAXIM           Equity  57772K101  35,757,392.00     503,200.00   X          2       502,200.00
   INTEGRATED
   PRODS COM
                                                                     X          2                       1,000.00
                                       4,428,956.62      62,327.00   X          5        62,327.00
   MAY DEPT        Equity  577778103     822,766.50      28,869.00   X          5        28,869.00
   STORES CO COM
                                     316,082,413.50  11,090,611.00   X          6     8,865,603.00
                                                                     X          6                   2,225,008.00
   MAYTAG CORP     Equity  578592107     336,532.32      10,161.00   X          5        10,161.00
   COM
   MCCORMICK & CO  Equity  579780206  30,981,607.50     960,670.00   X          1       901,070.00
   INC COM NON
   VTG
                                                                     X          1                                   59,600.00
                                         303,827.25       9,421.00   X          5         9,421.00
   MCDERMOTT       Equity  580037109      50,545.00       5,500.00   X          2         5,500.00
   INTL INC COM
                                          78,942.10       8,590.00   X          5         8,590.00
   MCDONALDS       Equity  580135101   6,846,744.55     183,215.00   X          5       183,215.00
   RENT CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 48               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                   1,260,070,995.45  33,718,785.00   X          6    28,734,426.00
                                                                     X          6                   4,984,359.00
   MCGRATH         Equity  580589109   5,221,230.00     329,000.00   X          3       165,100.00
   RENTCORP COM
                                                                     X          3                     163,900.00
                                          63,003.90       3,970.00   X          5         3,970.00
   MCGRAW HILL     Equity  580645109  18,755,100.00     412,200.00   X          1       402,800.00
   COS INC COM
                                                                     X          1                                    9,400.00
                                       3,547,316.50      77,963.00   X          5        77,963.00
   MCKESSON        Equity  58155Q103     923,034.00      43,954.00   X          5        43,954.00
   HBOC INC
   MCLEODUSA INC   Equity  582266102   1,531,414.17      18,057.00   X          5        18,057.00
   COM
   MCWHORTER       Equity  582803102      12,804.00       1,067.00   X          5         1,067.00
   TECHNOLOGIES
   COM
                                       4,451,124.00     370,927.00   X          6       359,227.00
                                                                     X          6                      11,700.00
   MEAD CORP COM   Equity  582834107     350,028.92      10,018.00   X          5        10,018.00
                                       4,931,781.00     141,150.00   X          6       115,450.00
                                                                     X          6                      25,700.00
   MEDAREX INC     Equity  583916101   8,085,225.00     160,900.00   X          2       160,900.00
   MEDIA GEN INC   Equity  584404107     283,007.48       5,404.00   X          5         5,404.00
   CL A
   MEDIAONE        Equity  58440J104  17,061,030.00     210,630.00   X          5       210,630.00
   GROUP INC COM
   Mediaone Group  Equity  58440J401   1,721,875.00      14,500.00   X          4        14,500.00
   Conv. Pfd.
   MEDICIS         Equity  584690309  19,900,000.00     497,500.00   X          2       497,500.00
   PHARMACEUTICA
   CL A NEW
                                         399,360.00       9,984.00   X          5         9,984.00
   MEDIMMUNE INC   Equity  584699102 111,959,160.00     643,000.00   X          2       642,400.00
   COM
                                                                     X          2                         600.00
                                       3,228,881.28      18,544.00   X          5        18,544.00
   MEDITRUST       Equity  58501T306      20,876.68      11,164.00   X          5        11,164.00
   CORP PAIRED
   CTF NEW
   MEDTRONIC INC   Equity  585055106  32,376,336.00     629,400.00   X          2       629,400.00
   COM
                                      14,724,185.60     286,240.00   X          5       286,240.00
                                         156,223.28       3,037.00   X          6         3,037.00
   MELLON FINL     Equity  58551A108   6,337,434.25     213,023.00   X          5       213,023.00
   CORP COM
   MENS            Equity  587118100     215,248.54       7,267.00   X          5         7,267.00
   WEARHOUSE INC
   COM
   MENTOR          Equity  587200106     234,768.24      15,527.00   X          5        15,527.00
   GRAPHICS CORP
   COM
   MERCER          Equity  588056101   4,494,400.00     561,800.00   X          2       561,800.00
   INTERNATIONAL
   INC
   MERCK & CO INC  Equity  589331107  28,565,075.00     459,800.00   X          1       449,400.00
   COM
                                                                     X          1                                   10,400.00
                                      23,817,917.38     383,387.00   X          5       383,387.00
                                         100,021.25       1,610.00   X          6         1,610.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 49               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   MERCURY         Equity  589378108     211,802.58       4,334.00   X          5         4,334.00
   COMPUTER SYS
   COM
   MERCURY GENL    Equity  589400100   1,581,141.00      53,598.00   X          5        53,598.00
   CORP NEW COM
   MERCURY         Equity  589405109  15,873,775.00     200,300.00   X          2       200,300.00
   INTERACTIVE CP
   COM
                                       1,963,022.50      24,770.00   X          5        24,770.00
   MERISTAR        Equity  58984Y103   9,635,094.24     552,471.00   X          2       552,471.00
   HOSPITALITY
   CORPORATION
                                         248,310.72      14,238.00   X          5        14,238.00
   MERITOR         Equity  59000G100   5,731,125.00     362,500.00   X          3       175,800.00
   AUTOMOTIVE INC
   COM
                                                                     X          3                     186,700.00
                                         180,961.26      11,446.00   X          5        11,446.00
   MERIX CORP COM  Equity  590049102   3,875,775.00     166,700.00   X          1       166,700.00
                                           1,209.00          52.00   X          5            52.00
   MERRILL LYNCH   Equity  590188108  18,705,330.00     178,146.00   X          5       178,146.00
   & CO INC COM
   METHODE         Equity  591520200     460,459.00       9,118.00   X          5         9,118.00
   ELECTRS INC CL
   A
   METRIS COS INC  Equity  591598107   7,841,087.50     201,700.00   X          1       168,600.00
   COM
                                                                     X          1                                   33,100.00
                                         368,262.88       9,473.00   X          5         9,473.00
   METROMEDIA      Equity  591689104  31,482,450.00     325,400.00   X          2       325,400.00
   FIBER NETWK CL
   A
                                         857,592.00       8,864.00   X          5         8,864.00
   METSO CORP      Equity  592671101     351,000.00      26,000.00   X          2        26,000.00
   SPON ADR
   METTLER         Equity  592688105     425,366.60      10,390.00   X          5        10,390.00
   TOLEDO INTL
   COM
   MICHAEL FOOD    Equity  594079105   5,344,500.00     254,500.00   X          3       119,700.00
   INC NEW COM
                                                                     X          3                     134,800.00
                                          13,986.00         666.00   X          5           666.00
   MICHAELS        Equity  594087108     251,590.50       6,174.00   X          5         6,174.00
   STORES INC COM
   MICREL INC COM  Equity  594793101   1,085,472.00      11,307.00   X          5        11,307.00
   MICROS SYS INC  Equity  594901100     390,983.28       6,212.00   X          5         6,212.00
   COM
   MICROSOFT       Equity  594918104  52,071,000.00     490,080.00   X          1       478,880.00
   CORP COM
                                                                     X          1                                   11,200.00
                                      56,110,625.00     528,100.00   X          2       528,100.00
                                      95,170,462.50     895,722.00   X          5       895,722.00
                                         110,500.00       1,040.00   X          6         1,040.00
   MICROSTRATEGY   Equity  594972101   1,317,391.92      15,132.00   X          5        15,132.00
   INC
   MICROCHIP       Equity  595017104  29,449,425.00     447,900.00   X          1       417,900.00
   TECHNOLOGY
   COM
                                                                     X          1                                   30,000.00
                                       1,252,669.00      19,052.00   X          5        19,052.00
   MICROMUSE INC   Equity  595094103   7,898,459.70      56,900.00   X          1        47,500.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 50               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                                                     X          1                                    9,400.00
                                         700,866.84       5,049.00   X          5         5,049.00
   MICRON          Equity  595112103 141,372,000.00   1,122,000.00   X          2     1,122,000.00
   TECHNOLOGY
   INC COM
                                       9,725,436.00      77,186.00   X          5        77,186.00
   MILLENNIUM      Equity  599902103   1,592,076.33      12,259.00   X          5        12,259.00
   PHARMACEUTC
   COM
   MILLER HERMAN   Equity  600544100     444,332.00      15,869.00   X          5        15,869.00
   INC COM
   MILLIPORE CORP  Equity  601073109  49,648,508.60     879,700.00   X          1       832,300.00
   COM
                                                                     X          1                                   47,400.00
                                         419,955.16       7,441.00   X          5         7,441.00
   MINIMED INC COM Equity  60365K108  62,237,700.00     480,600.00   X          2       479,800.00
                                                                     X          2                         800.00
                                         695,415.00       5,370.00   X          5         5,370.00
   MINNESOTA MNG   Equity  604059105  13,374,951.12     151,027.00   X          5       151,027.00
   & MFG CO COM
                                     884,098,730.88   9,983,048.00   X          6     8,405,859.00
                                                                     X          6                   1,577,189.00
   MINNESOTA       Equity  604110106     253,754.16      15,268.00   X          5        15,268.00
   PWR & LT CO
   COM
   MIRAGE          Equity  60462E104     313,890.85      16,205.00   X          5        16,205.00
   RESORTS INC
   COM
   MISSISSIPPI     Equity  605288208      83,436.12      12,252.00   X          5        12,252.00
   CHEM CORP COM
   NEW
   MITCHELL        Equity  606592202   5,974,062.50     273,100.00   X          1       228,200.00
   ENERGY & DEV
   CL A
                                                                     X          1                                   44,900.00
                                          73,215.63       3,347.00   X          5         3,347.00
   MITCHELL        Equity  606592301   5,891,600.00     267,800.00   X          1       223,800.00
   ENERGY & DEV
                                                                     X          1                                   44,000.00
                                       7,209,400.00     327,700.00   X          3       123,800.00
                                                                     X          3                     203,900.00
   MODEM MEDIA     Equity  607533106   8,642,790.00     267,000.00   X          2       267,000.00
   POPPE TYSN CL A
                                           9,387.30         290.00   X          5           290.00
   MODINE MFG CO   Equity  607828100     248,260.96       9,883.00   X          5         9,883.00
   COM
   MODIS           Equity  607830106     232,123.05      18,765.00   X          5        18,765.00
   PROFESSIONAL
   SERVICES
   MOHAWK INDS     Equity  608190104     410,444.76      18,348.00   X          5        18,348.00
   INC COM
   MOLEX INC COM   Equity  608554101   2,029,988.75      34,553.00   X          5        34,553.00
   MOLEX INC - CL AEquity  608554200  14,290,968.75     322,050.00   X          6       268,925.00
                                                                     X          6                      53,125.00
   MONSANTO CO     Equity  611662107   9,347,044.00     181,496.00   X          5       181,496.00
   COM
                                   1,355,234,242.00  26,315,228.00   X          6    22,252,981.00
                                                                     X          6                   4,062,247.00
   MONTANA         Equity  612085100   1,483,520.00      23,180.00   X          5        23,180.00
   POWER CO COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 51               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   MONY GROUP      Equity  615337102     247,300.74       7,654.00   X          5         7,654.00
   INC COM
   MORGAN J P &    Equity  616880100  57,400,181.25     435,675.00   X          3       273,100.00
   CO INC COM
                                                                     X          3                     162,575.00
                                       9,175,070.00      69,640.00   X          5        69,640.00
   MORGAN STAN     Equity  617446448  29,321,175.00     353,800.00   X          1       345,800.00
   DEAN WITTR
   COM NEW
                                                                     X          1                                    8,000.00
                                     129,260,137.50   1,559,700.00   X          2     1,559,700.00
                                      40,984,256.63     494,531.00   X          5       494,531.00
                                      64,054,087.50     772,900.00   X          6       406,900.00
                                                                     X          6                     366,000.00
   MOTOROLA INC    Equity  620076109  26,761,800.00     183,300.00   X          1       179,200.00
   COM
                                                                     X          1                                    4,100.00
                                     126,422,860.00     865,910.00   X          2       865,910.00
                                      28,619,066.00     196,021.00   X          5       196,021.00
                                      67,386,446.00     461,551.00   X          6       362,835.00
                                                                     X          6                      98,716.00
   MUELLER INDS    Equity  624756102     265,919.72       8,756.00   X          5         8,756.00
   INC COM
   MURPHY OIL      Equity  626717102  35,773,600.00     620,800.00   X          1       582,700.00
   CORP COM
                                                                     X          1                                   38,100.00
                                         608,635.25      10,562.00   X          5        10,562.00
   MYLAN LABS INC  Equity  628530107     816,447.50      29,689.00   X          5        29,689.00
   COM
   NBT BANCORP     Equity  628778102     166,561.50      11,487.00   X          5        11,487.00
   INC COM
   NBTY INC COM    Equity  628782104     189,592.81      13,849.00   X          5        13,849.00
   NCR CORP NEW    Equity  62886E108     351,009.88       8,749.00   X          5         8,749.00
   COM
   NTL INC COM     Equity  629407107   1,802,370.20      19,420.00   X          5        19,420.00
   NABISCO GROUP   Equity  62952P102     738,783.54      61,259.00   X          5        61,259.00
   HLDG CP COM
   NABORS INDS     Equity  629568106  46,012,811.50   1,185,500.00   X          1     1,123,600.00
   INC COM
                                                                     X          1                                   61,900.00
                                      15,629,995.10     402,700.00   X          2       402,700.00
                                       1,127,828.15      29,058.00   X          5        29,058.00
                                           3,531.98          91.00   X          6            91.00
   NANOGEN INC     Equity  630075109   3,243,600.00      95,400.00   X          1        95,400.00
   COM
   NASH FINCH CO   Equity  631158102   2,539,124.00     312,700.00   X          3       195,300.00
   COM
                                                                     X          3                     117,400.00
                                          17,993.92       2,216.00   X          5         2,216.00
   NATCO GROUP     Equity   63227W20   6,612,900.00     629,800.00   X          2       629,800.00
   INC - A
   NATIONAL CITY   Equity  635405103   5,853,007.62     283,851.00   X          5       283,851.00
   CORP COM
   NATIONAL        Equity  635519101     612,146.50      12,062.00   X          5        12,062.00
   COMPUTER SYS
   COM
   NATIONAL FUEL   Equity  636180101   5,908,656.00     132,600.00   X          3        69,200.00
   GAS N J COM
                                                                     X          3                      63,400.00
                                         300,067.04       6,734.00   X          5         6,734.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 52               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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 GOLF   Equity  63623G109   6,035,796.00     286,600.00   X          3       127,300.00
   PPTYS COM
                                                                     X          3                     159,300.00
                                           8,213.40         390.00   X          5           390.00
   NATIONAL        Equity  63633D104     288,697.26      24,179.00   X          5        24,179.00
   HEALTH INVS
   COM
   NATIONAL INFO   Equity  636491102   8,510,275.00     244,900.00   X          2       244,900.00
   CONSORTIUM INC
   NATIONAL        Equity  636518102     403,308.48       8,592.00   X          5         8,592.00
   INSTRS CORP
   COM
   NATIONAL-       Equity  637071101     258,906.69       8,387.00   X          5         8,387.00
   OILWELL INC COM
   NATIONAL        Equity  637229105     119,728.50      12,603.00   X          5        12,603.00
   PROCESSING
   COM
   NATIONAL        Equity  637640103  94,770,000.00   1,560,000.00   X          2     1,560,000.00
   SEMICONDUCTOR
   COM
                                       3,660,977.25      60,263.00   X          5        60,263.00
   NATIONAL        Equity  638522102     254,745.00       3,145.00   X          5         3,145.00
   WESTN LFE INS
   CL A
   NATIONWIDE      Equity  638612101     573,972.75      19,623.00   X          5        19,623.00
   FINL SVCS CL A
   NAVISTAR INTL   Equity  63934E108   2,680,858.52      66,821.00   X          5        66,821.00
   CORP NEW COM
   NEIMAN MARCUS   Equity  640204202     251,652.69       9,049.00   X          5         9,049.00
   GROUP CL A
   NETWORKS        Equity  640938106   1,322,862.75      41,019.00   X          5        41,019.00
   ASSOCS INC COM
   NETRO CORP      Equity  64114R109  16,130,376.56     248,100.00   X          2       248,100.00
   NETIQ CORP      Equity  64115P102  10,543,012.50     157,800.00   X          2       157,800.00
   NETWORK         Equity  64120L104  42,790,025.00     517,100.00   X          1       488,400.00
   APPLIANCE INC
   COM
                                                                     X          1                                   28,700.00
                                      99,713,750.00   1,205,000.00   X          2     1,205,000.00
                                       6,286,352.00      75,968.00   X          5        75,968.00
   NETWORK         Equity  64121Q102  68,059,688.40     442,800.00   X          1       424,700.00
   SOLUTIONS INC
   CL A
                                                                     X          1                                   18,100.00
                                         454,346.07       2,956.00   X          5         2,956.00
   NETWORK PLUS    Equity  64122D506  15,102,450.00     372,900.00   X          2       372,900.00
   NEW CENTURY     Equity  64352U103  10,832,121.00     360,350.00   X          3       144,400.00
   ENERGIES COM
                                                                     X          3                     215,950.00
                                         763,343.64      25,394.00   X          5        25,394.00
   NEW ERA OF      Equity  644312100     202,804.75       5,167.00   X          5         5,167.00
   NETWORKS COM
   NEW PLAN RLTY   Equity  648053106   4,717,900.00     343,120.00   X          3       180,800.00
   TR SH BEN INT
                                                                     X          3                     162,320.00
                                         275,247.50      20,018.00   X          5        20,018.00
   NEW YORK        Equity  650111107  22,941,773.40     534,300.00   X          1       522,100.00
   TIMES CO CL A
                                                                     X          1                                   12,200.00
                                       6,596,951.38     153,639.00   X          5       153,639.00
   NEWELL          Equity  651229106   1,075,910.46      43,366.00   X          5        43,366.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 53               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   RUBBERMAID
   INC COM
                                      79,013,647.50   3,184,750.00   X          6     2,331,150.00
                                                                     X          6                     853,600.00
   NEWFIELD EXPL   Equity  651290108     463,008.75      13,135.00   X          5        13,135.00
   CO COM
   NEWMONT         Equity  651639106     545,471.52      24,308.00   X          5        24,308.00
   MINING CORP
   COM
   NEWPARK RES     Equity  651718504  15,619,200.00   1,952,400.00   X          2     1,952,400.00
   INC COM PAR
   $.01NEW
                                          72,784.00       9,098.00   X          5         9,098.00
   NEWPORT NEWS    Equity  652228107   6,515,850.00     215,400.00   X          3        98,300.00
   SHIPBLDG COM
                                                                     X          3                     117,100.00
                                         390,769.50      12,918.00   X          5        12,918.00
   NEXTEL          Equity  65332V103     733,837.50       4,950.00   X          2         4,950.00
   COMMUNICATION
   CL A
                                       8,633,338.75      58,235.00   X          5        58,235.00
                                          11,860.00          80.00   X          6            80.00
   NEXTLINK        Equity  65333H707  83,540,226.00     675,400.00   X          2       675,400.00
   COMMUNICATION
   CL A
                                       2,179,541.49      17,621.00   X          5        17,621.00
   NEXT LEVEL      Equity  65333U104  55,245,000.00     508,000.00   X          2       508,000.00
   COMMUNICATION,
   INC
   NIAGARA         Equity  653520106  14,318,100.00   1,060,600.00   X          2     1,060,600.00
   MOHAWK
   HOLDINGS INC
                                       1,409,521.50     104,409.00   X          5       104,409.00
   NICOR INC COM   Equity  654086107  40,036,923.00   1,215,450.00   X          3       841,950.00
                                                                     X          3                     373,500.00
                                         192,797.82       5,853.00   X          5         5,853.00
   NIKE INC CL B   Equity  654106103     591,447.36      14,928.00   X          5        14,928.00
   NISOURCE INC    Equity  65473P105     366,129.61      21,703.00   X          5        21,703.00
   COM
                                           1,214.64          72.00   X          6            36.00
                                                                     X          6                          36.00
   NOBLE           Equity  654894104   1,111,045.03      33,863.00   X          5        33,863.00
   AFFILIATES INC
   COM
   NOKIA CORP      Equity  654902204 424,275,300.00   1,911,150.00   X          2     1,911,150.00
   SPON ADR
                                     106,937,844.00     481,702.00   X          6       149,152.00
                                                                     X          6                     332,550.00
   NOBLE DRILLING  Equity  655042109  38,768,375.00     937,000.00   X          1       890,500.00
   CORP COM
                                                                     X          1                                   46,500.00
                                       3,511,413.50      84,868.00   X          5        84,868.00
   NORDSTROM INC   Equity  655664100     713,575.50      24,189.00   X          5        24,189.00
   COM
   NORFOLK         Equity  655844108     889,670.25      62,433.00   X          5        62,433.00
   SOUTHERN
   CORP COM
                                          68,400.00       4,800.00   X          6         4,500.00
                                                                     X          6                         300.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 54               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   NORTEL          Equity  656569100  25,338,600.00     201,100.00   X          1       196,000.00
   NETWORKS
                                                                     X          1                                    5,100.00
                                     105,323,400.00     835,900.00   X          2       835,900.00
                                      15,195,222.00     120,597.00   X          5       120,597.00
                                         209,790.00       1,665.00   X          6         1,665.00
   NORTH FORK      Equity  659424105     484,008.95      27,085.00   X          5        27,085.00
   BANCORP NY
   COM
                                         134,025.00       7,500.00   X          6         4,500.00
                                                                     X          6                       3,000.00
   NORTHEAST       Equity  664397106  59,447,500.00   2,765,000.00   X          4     2,765,000.00
   UTILS COM
                                       1,783,425.00      82,950.00   X          5        82,950.00
   NORTHN STS      Equity  665772109   1,593,574.00      80,200.00   X          3                      80,200.00
   PWR MINN COM
                                         655,610.65      32,995.00   X          5        32,995.00
   NORTHERN TR     Equity  665859104   2,542,890.84      37,639.00   X          5        37,639.00
   CORP COM
   NORTHROP        Equity  666807102  26,586,468.00     502,200.00   X          3       313,350.00
   GRUMMAN CORP
   COM
                                                                     X          3                     188,850.00
                                         495,518.40       9,360.00   X          5         9,360.00
   NOVA CORP GA    Equity  669784100     440,498.24      15,127.00   X          5        15,127.00
   COM
   NOVELL INC COM  Equity  670006105   1,935,885.42      67,641.00   X          5        67,641.00
   NOVELLUS SYS    Equity  670008101  63,516,662.50   1,131,700.00   X          1     1,085,800.00
   INC COM
                                                                     X          1                                   45,900.00
                                       1,825,241.13      32,521.00   X          5        32,521.00
   NSTAR COM       Equity  67019E107     677,796.00      16,138.00   X          5        16,138.00
   NUCOR CORP      Equity  670346105   2,926,750.00      58,535.00   X          5        58,535.00
   COM
   NVIDIA CORP     Equity  67066G104   7,088,207.60      83,900.00   X          1        70,200.00
   COM
                                                                     X          1                                   13,700.00
                                         180,626.79       2,138.00   X          5         2,138.00
   OGE ENERGY      Equity  670837103   5,787,704.00     301,600.00   X          3       146,700.00
   CORP COM
                                                                     X          3                     154,900.00
                                         215,388.56      11,224.00   X          5        11,224.00
   OM GROUP INC    Equity  670872100     261,625.00       5,750.00   X          5         5,750.00
   COM
   OAK             Equity  671802106   2,799,315.75     145,419.00   X          1       145,419.00
   TECHNOLOGY
   INC COM
   OCCIDENTAL      Equity  674599105   1,446,316.50      69,702.00   X          5        69,702.00
   PETE CP DEL
   COM
   OCEAN ENERGY    Equity  67481E106   9,003,062.50     626,300.00   X          1       523,600.00
   INC COM NEW
                                                                     X          1                                  102,700.00
                                      14,774,625.00   1,027,800.00   X          2     1,027,800.00
                                         433,233.75      30,138.00   X          5        30,138.00
   OCWEN FINL      Equity  675746101     195,832.00      24,479.00   X          5        24,479.00
   CORP COM
   OFFICE DEPOT    Equity  676220106   1,574,610.72     136,212.00   X          5       136,212.00
   INC COM
   OFFICEMAX INC   Equity  67622M108     210,340.00      32,360.00   X          5        32,360.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 55               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   OFFSHORE        Equity  676255102     192,987.18      13,914.00   X          5        13,914.00
   LOGISTICS INC
   COM
   OGDEN CORP      Equity  676346109     212,388.72      17,788.00   X          5        17,788.00
   COM
   OHIO CAS CORP   Equity  677240103  14,664,122.00     820,600.00   X          3       290,600.00
   COM
                                                                     X          3                     530,000.00
                                         375,734.62      21,026.00   X          5        21,026.00
   OLD KENT FINL   Equity  679833103     937,024.00      29,282.00   X          5        29,282.00
   CORP COM
   OLD REP INTL    Equity  680223104     275,618.75      20,045.00   X          5        20,045.00
   CORP COM
   OLIN CORP COM   Equity  680665205     183,144.50      10,318.00   X          5        10,318.00
   PAR $1
   OLSTEN CORP     Equity  681385100       2,159.36      15,424.00   X          5        15,424.00
   COM
   OMNICARE INC    Equity  681904108     131,779.62      10,927.00   X          5        10,927.00
   COM
   OMNICOM         Equity  681919106  24,145,887.50     257,900.00   X          1       252,000.00
   GROUP INC COM
                                                                     X          1                                    5,900.00
                                      98,353,062.50   1,050,500.00   X          2     1,050,500.00
                                       3,047,774.63      32,553.00   X          5        32,553.00
                                       1,770,916.88      18,915.00   X          6        14,640.00
                                                                     X          6                       4,275.00
   OMEGA           Equity  681936100     329,640.71      52,241.00   X          5        52,241.00
   HEALTHCARE
   INVS COM
   OMNOVA          Equity  682129101   4,598,284.00     818,200.00   X          3       404,700.00
   SOLUTIONS INC
   COM
                                                                     X          3                     413,500.00
                                          12,088.62       2,151.00   X          5         2,151.00
   ONEOK INC COM   Equity  682680103     246,600.00       9,864.00   X          5         9,864.00
   ONVIA.COM       Equity  68338T106   6,037,525.00     285,800.00   X          2       285,800.00
   OPTIMAL         Equity  68388R208  14,837,900.00     315,700.00   X          2       315,700.00
   ROBOTICS CORP
   ORACLE CORP     Equity  68389X105  46,548,966.90     596,300.00   X          1       582,700.00
   COM
                                                                     X          1                                   13,600.00
                                     218,186,085.00   2,795,000.00   X          2     2,795,000.00
                                      42,130,679.16     539,701.00   X          5       539,701.00
                                         275,562.39       3,530.00   X          6         3,530.00
   ORBITAL         Equity  685564106  11,653,500.00     776,900.00   X          2       776,900.00
   SCIENCES CORP
   COM
                                         134,460.00       8,964.00   X          5         8,964.00
   OSHKOSH         Equity  688239201   4,692,066.15     151,050.00   X          1       125,550.00
   TRUCK CORP
   COM
                                                                     X          1                                   25,500.00
                                          28,950.72         932.00   X          5           932.00
   OUTBACK         Equity  689899102     474,231.52      14,792.00   X          5        14,792.00
   STEAKHOUSE
   INC COM
   OWENS & MINOR   Equity  690732102   5,970,564.00     562,200.00   X          3       254,400.00
   INC
                                                                     X          3                     307,800.00
                                         139,175.10      13,105.00   X          5        13,105.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 56               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   OWENS           Equity  69073F103     864,018.22      44,606.00   X          5        44,606.00
   CORNING COM
   OWENS ILL INC   Equity  690768403     293,200.60      17,380.00   X          5        17,380.00
   COM NEW
   OXFORD HEALTH   Equity  691471106     321,775.00      21,100.00   X          5        21,100.00
   PLANS COM
   OXFORD INDS     Equity  691497309     216,026.64      11,922.00   X          5        11,922.00
   INC COM
   P-COM INC COM   Equity  693262107   6,650,750.00     359,500.00   X          1       300,200.00
                                                                     X          1                                   59,300.00
                                         313,556.50      16,949.00   X          5        16,949.00
   PECO ENERGY     Equity  693304107   1,550,567.85      42,055.00   X          5        42,055.00
   CO COM
                                          24,592.29         667.00   X          6           333.00
                                                                     X          6                         334.00
   PG&E CORP COM   Equity  69331C108   3,423,000.00     163,000.00   X          2       163,000.00
                                         701,379.00      33,399.00   X          5        33,399.00
                                          11,550.00         550.00   X          6           550.00
   PE CORP COM PE  Equity  69332S102 147,210,750.00   1,525,500.00   X          2     1,525,500.00
   BIO GRP
                                       3,481,044.50      36,073.00   X          5        36,073.00
   PE CORP CELERA  Equity  69332S201      92,120.00       1,000.00   X          2         1,000.00
   GEN GRP
                                         790,942.32       8,586.00   X          5         8,586.00
   PMA CAP CORP    Equity  693419202     218,522.50      12,487.00   X          5        12,487.00
   CL A
   PMC-SIERRA INC  Equity  69344F106  77,910,660.00     382,500.00   X          1       366,500.00
   COM
                                                                     X          1                                   16,000.00
                                     102,536,539.20     503,400.00   X          2       502,400.00
                                                                     X          2                       1,000.00
                                       5,031,704.66      24,703.00   X          5        24,703.00
                                         160,913.52         790.00   X          6           790.00
   PMI GROUP INC   Equity  69344M101  31,441,906.40     662,800.00   X          1       622,400.00
   COM
                                                                     X          1                                   40,400.00
                                         284,533.12       5,998.00   X          5         5,998.00
   PNC BK CORP     Equity  693475105  41,899,041.00     929,850.00   X          3       643,700.00
   COM
                                                                     X          3                     286,150.00
                                       2,429,995.68      53,928.00   X          5        53,928.00
                                         180,240.00       4,000.00   X          6         4,000.00
   PPG INDS INC    Equity  693506107     871,327.67      16,657.00   X          5        16,657.00
   COM
   PPL CORP        Equity  69351T106     321,052.08      15,332.00   X          5        15,332.00
   PSW             Equity  69364J103   2,333,325.00      58,700.00   X          1        58,700.00
   TECHNOLOGIES
   INCCOM
   PSS WORLD MED   Equity  69366A100     109,605.48      16,166.00   X          5        16,166.00
   PACCAR INC COM  Equity  693718108   9,948,850.00     198,977.00   X          5       198,977.00
   PACIFIC CENTY   Equity  694058108  15,563,553.00     766,300.00   X          2       766,300.00
   FINL CP COM
                                       7,187,709.00     353,900.00   X          3       165,200.00
                                                                     X          3                     188,700.00
                                         332,819.97      16,387.00   X          5        16,387.00
                                         287,056.00       7,456.00   X          5         7,456.00
   PACIFICARE HLT  Equity  695112102   2,124,162.78      42,594.00   X          5        42,594.00
   SYS DEL COM
   PACTIV CORP     Equity  695257105   5,267,009.00     606,100.00   X          3       227,300.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 57               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                     378,800.00
                                         179,874.31      20,699.00   X          5        20,699.00
   PAINE WEBBER    Equity  695629105   4,824,003.60     109,512.00   X          5       109,512.00
   GROUP INC COM
   PAIRGAIN        Equity  695934109     265,790.49      14,221.00   X          5        14,221.00
   TECHNOLOGIES
   COM
   PALL CORP COM   Equity  696429307     695,976.60      31,015.00   X          5        31,015.00
   PARACELUS       Equity  698891108       5,937.53      27,143.00   X          6        27,143.00
   HEALTHCARE
   CORP
   PARAMETRIC      Equity  699173100   1,803,030.84      85,614.00   X          5        85,614.00
   TECH CORP COM
   PARK NATL       Equity  700658107     270,248.00       3,071.00   X          5         3,071.00
   CORP COM
   PARK PL ENTMT   Equity  700690100     424,252.00      36,700.00   X          5        36,700.00
   CORP COM
   PARKER          Equity  701094104  14,702,229.00     355,900.00   X          3       294,100.00
   HANNIFIN CORP
   COM
                                                                     X          3                      61,800.00
                                       1,742,786.28      42,188.00   X          5        42,188.00
                                      26,698,653.00     646,300.00   X          6       562,300.00
                                                                     X          6                      84,000.00
   PARKWAY PPTYS   Equity  70159Q104   8,522,301.00     289,500.00   X          1       242,000.00
   INC SHS
                                                                     X          1                                   47,500.00
                                           3,532.56         120.00   X          5           120.00
   PATINA OIL &    Equity  703224105   1,601,790.30     118,100.00   X          1       118,100.00
   GAS CORP
   COM
   PATTERSON       Equity  703414102   9,871,075.00     310,900.00   X          1       259,900.00
   ENERGY INC COM
                                                                     X          1                                   51,000.00
                                          64,833.50       2,042.00   X          5         2,042.00
   PAXAR CORP      Equity  704227107      81,654.56       8,488.00   X          5         8,488.00
   COM
                                      10,270,350.48   1,067,604.00   X          6     1,013,559.00
                                                                     X          6                      54,045.00
   PAYCHEX INC     Equity  704326107   5,189,133.82      99,086.00   X          5        99,086.00
   COM
   PAYLESS         Equity  704379106   1,299,902.38      25,027.00   X          5        25,027.00
   SHOESOURCE
   INC COM
                                           9,141.44         176.00   X          6           176.00
   PEGASUS         Equity  705904100  10,739,225.00      76,300.00   X          2        76,300.00
   COMMUNICATION
   CORP
                                         255,883.50       1,818.00   X          5         1,818.00
   PENN TREATY     Equity  707874103     294,578.50      17,650.00   X          5        17,650.00
   AMERN CORP
   COM
   PENN VA CORP    Equity  707882106   1,374,736.00      80,300.00   X          3                      80,300.00
   COM
                                             770.40          45.00   X          5            45.00
   PENNEY J C INC  Equity  708160106  10,011,227.50     673,250.00   X          3       239,700.00
   COM
                                                                     X          3                     433,550.00
                                         458,100.09      30,807.00   X          5        30,807.00
   PENNZOIL-       Equity  709323109     262,806.12      25,173.00   X          5        25,173.00
   QUAKER ST CO
   NEW
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 58               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   PENTAIR INC COM Equity  709631105     879,656.16      23,736.00   X          5        23,736.00
   PEOPLES         Equity  711030106   5,408,424.00     197,100.00   X          3        95,900.00
   ENERGY CORP
   COM
                                                                     X          3                     101,200.00
                                         208,297.04       7,591.00   X          5         7,591.00
   PEOPLES         Equity  711147108  31,072,680.00   2,071,512.00   X          1     1,901,712.00
   HERITAGE FINL
   COM
                                                                     X          1                                  169,800.00
                                          58,740.00       3,916.00   X          5         3,916.00
   PEOPLESOFT INC  Equity  712713106     890,840.00      44,542.00   X          5        44,542.00
   COM
   PEPSI BOTTLING  Equity  713409100     213,420.00      10,671.00   X          5        10,671.00
   GROUP COM
   PEPSICO INC COM Equity  713448108   9,090,818.22     260,706.00   X          5       260,706.00
                                       2,961,439.36      84,928.00   X          6        63,128.00
                                                                     X          6                      21,800.00
   PEREGRINE       Equity  71366Q101     540,235.36       8,056.00   X          5         8,056.00
   SYSTEMS INC
   COM
   PERFORMANCE     Equity  713755106      72,433.44       3,312.00   X          5         3,312.00
   FOOD GROUP
   COM
                                       7,635,101.31     349,113.00   X          6       333,008.00
                                                                     X          6                      16,105.00
   PERICOM         Equity  713831105   3,122,700.00      87,500.00   X          1        87,500.00
   SEMICONDUCTOR
   CORP  COM
   PERKINELMER     Equity  714046109   7,793,800.00     117,200.00   X          1        98,000.00
   INC COM
                                                                     X          1                                   19,200.00
                                       1,314,572.00      19,768.00   X          5        19,768.00
                                       5,379,850.00      80,900.00   X          6        76,800.00
                                                                     X          6                       4,100.00
   PERSONELL       Equity  715338109      62,234.28      10,169.00   X          5        10,169.00
   GROUP AMER
   COM
   PHARMACIA &     Equity  716941109   7,265,128.50     122,103.00   X          5       122,103.00
   UPJOHN INC COM
                                      12,762,750.00     214,500.00   X          6       181,200.00
                                                                     X          6                      33,300.00
   PFIZER INC COM  Equity  717081103  28,185,676.08     770,943.00   X          5       770,943.00
                                         519,444.48      14,208.00   X          6        11,295.00
                                                                     X          6                       2,913.00
   PHELPS DODGE    Equity  717265102     478,247.52      10,096.00   X          5        10,096.00
   CORP COM
   PHILIP MORRIS   Equity  718154107   5,556,850.00     267,800.00   X          2       267,800.00
   COS INC COM
                                      10,910,723.50     525,818.00   X          5       525,818.00
                                       4,578,695.00     220,660.00   X          6        89,350.00
                                                                     X          6                     131,310.00
   PHILLIPS PETE   Equity  718507106   3,491,042.50      75,482.00   X          5        75,482.00
   CO COM
                                          64,750.00       1,400.00   X          6         1,400.00
   PHONE.COM INC   Equity  71920Q100 138,215,812.50     847,300.00   X          2       847,300.00
   PHOTON          Equity  719364101  17,546,700.00     254,300.00   X          1       230,800.00
   DYNAMICS INC
   COM
                                                                     X          1                                   23,500.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 59               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   PHOTRONICS INC  Equity  719405102     302,642.01       8,571.00   X          5         8,571.00
   COM
   PIER 1 IMPORTS  Equity  720279108     272,609.00      26,596.00   X          5        26,596.00
   INC COM
   PINNACLE        Equity  72346N101  27,751,125.00     516,300.00   X          2       516,300.00
   HLDGS INC COM
                                         222,041.25       4,131.00   X          5         4,131.00
   PINNACLE        Equity  723481107     595,507.50      17,910.00   X          5        17,910.00
   SYSTEMS INC
   PINNACLE WEST   Equity  723484101     237,162.47       8,413.00   X          5         8,413.00
   CAP CORP COM
   PIONEER NAT     Equity  723787107     237,205.50      22,591.00   X          5        22,591.00
   RES CO COM
   PIONEER STD     Equity  723877106       5,355.00         340.00   X          5           340.00
   ELECTRS COM
                                       9,980,223.75     633,665.00   X          6       601,515.00
                                                                     X          6                      32,150.00
   PITNEY BOWES    Equity  724479100   1,216,506.49      27,221.00   X          5        27,221.00
   INC COM
                                          89,380.00       2,000.00   X          6         2,000.00
   PITTSTON CO     Equity  725701106     277,661.00      16,333.00   X          5        16,333.00
   COM BRINKS GRP
   PLACER DOME     Equity  725906101     365,684.20      45,035.00   X          5        45,035.00
   INC COM
   PLAINS RES INC  Equity  726540503     266,912.50      21,353.00   X          5        21,353.00
   COM PAR $0.10
   PLANTRONICS     Equity  727493108     320,759.98       3,442.00   X          5         3,442.00
   INC
   PLEXUS CORP     Equity  729132100     425,835.04       6,392.00   X          5         6,392.00
   COM
   POGO            Equity  730448107     431,998.56      15,126.00   X          5        15,126.00
   PRODUCING CO
   COM
   POLARIS INDS    Equity  731068102     269,092.08       8,934.00   X          5         8,934.00
   INC COM
   POLAROID CORP   Equity  731095105     330,742.50      13,926.00   X          5        13,926.00
   COM
   POLO RALPH      Equity  731572103     261,080.61      13,969.00   X          5        13,969.00
   LAUREN CORP
   CL A
   POLYCOM INC     Equity  73172K104   9,748,042.80     123,100.00   X          1       103,000.00
   COM
                                                                     X          1                                   20,100.00
                                         507,911.83       6,414.00   X          5         6,414.00
   POPULAR INC     Equity  733174106   2,536,228.24     114,296.00   X          5       114,296.00
   COM
   PORTAL          Equity  736126103  79,716,000.00   1,400,000.00   X          2     1,400,000.00
   SOFTWARE INC
   COM
                                         222,179.88       3,902.00   X          5         3,902.00
   POST PPTYS INC  Equity  737464107     301,438.18       7,478.00   X          5         7,478.00
   COM
   POTLATCH CORP   Equity  737628107     577,017.00      13,419.00   X          5        13,419.00
   COM
   POTOMAC ELEC    Equity  737679100     265,287.36      11,728.00   X          5        11,728.00
   PWR CO COM
   POWER-ONE INC   Equity  739308104   9,720,375.00     161,000.00   X          1       134,500.00
   COM
                                                                     X          1                                   26,500.00
                                          10,263.75         170.00   X          5           170.00
   POWERWAVE       Equity  739363109   8,700,000.00      69,600.00   X          1        58,200.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 60               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   TECHNOLOGIES
   COM
                                                                     X          1                                   11,400.00
                                         424,125.00       3,393.00   X          5         3,393.00
   POWERTEL INC    Equity  73936C109     275,722.15       3,985.00   X          5         3,985.00
   COM
   PRAXAIR INC COM Equity  74005P104     483,832.50      11,625.00   X          5        11,625.00
   PRE PAID LEGAL  Equity  740065107      42,308.25       1,425.00   X          5         1,425.00
   SVCS COM
                                       8,437,007.30     284,170.00   X          6       271,010.00
                                                                     X          6                      13,160.00
   PRECISION       Equity  740189105   6,164,850.00     168,900.00   X          3        80,700.00
   CASTPARTS CP
   COM
                                                                     X          3                      88,200.00
                                         659,628.00      18,072.00   X          5        18,072.00
                                      20,385,505.50     558,507.00   X          6       531,152.00
                                                                     X          6                      27,355.00
   PRENTISS PPTYS  Equity  740706106   8,266,966.50     370,500.00   X          1       309,700.00
   TR SH BEN INT
                                                                     X          1                                   60,800.00
                                         262,445.51      11,762.00   X          5        11,762.00
   PRESIDENTIAL    Equity  740884101   5,405,125.00     393,100.00   X          3       176,500.00
   LIFE CORP COM
                                                                     X          3                     216,600.00
                                          42,336.25       3,079.00   X          5         3,079.00
   PRICE T ROWE &  Equity  741477103   2,395,754.00      60,652.00   X          5        60,652.00
   ASSOC COM
   PRIME RETAIL    Equity  741570105      30,767.31      14,049.00   X          5        14,049.00
   INC COM
   PRIMEDIA INC    Equity  74157K101     295,744.00       9,242.00   X          5         9,242.00
   COM
   PRIMEX          Equity  741597108   3,216,131.70     150,900.00   X          1       150,900.00
   TECHNOLOGIES
   COM
                                       5,927,145.30     278,100.00   X          3       138,400.00
                                                                     X          3                     139,700.00
                                             426.26          20.00   X          5            20.00
   PRIMUS          Equity  74163Q100  12,246,400.00     142,400.00   X          2       142,400.00
   KNOWLEDGE
   SOLUTIONS
   PRIMA ENERGY    Equity  741901201   3,296,700.00     122,100.00   X          1       122,100.00
   CORP           COM
   PRIME           Equity  741917108      73,718.00      10,168.00   X          5        10,168.00
   HOSPITALITY
   CORP COM
   PRIMUS          Equity  741929103     309,106.20       5,980.00   X          5         5,980.00
   TELECOM
   GROUP COM
   PRIDE INTL INC  Equity  741932107     240,135.00      10,500.00   X          5        10,500.00
   COM
   PRINTRAK INTL   Equity  742574106   2,694,900.00     207,300.00   X          1       207,300.00
   INC           COM
   PRISON REALTY   Equity  74264N105     378,855.54     123,809.00   X          5       123,809.00
   TR COM
   PROCTER &       Equity  742718109  12,934,630.25     227,923.00   X          5       227,923.00
   GAMBLE CO COM
                                       2,611,351.25      46,015.00   X          6        33,715.00
                                                                     X          6                      12,300.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 61               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   PROGENICS       Equity  743187106   7,714,000.00     110,200.00   X          2       110,200.00
   PHARMACEUICAL
   INC
   PROGRESS        Equity  743312100     284,561.60      12,140.00   X          5        12,140.00
   SOFTWARE
   CORP COM
   PROGRESSIVE     Equity  743315103     544,285.36       7,156.00   X          5         7,156.00
   CORP OHIO COM
   PROJECT         Equity  74339P101     205,321.00       3,634.00   X          5         3,634.00
   SOFTWARE &
   DEV COM
   PROLOGIS TR SH  Equity  743410102     410,217.50      21,310.00   X          5        21,310.00
   BEN INT
                                      18,996,458.25     986,829.00   X          6       762,493.00
                                                                     X          6                     224,336.00
   PROTECTIVE      Equity  743674103     132,111.75       4,161.00   X          5         4,161.00
   LIFE CORP COM
                                      11,639,550.00     366,600.00   X          6       287,100.00
                                                                     X          6                      79,500.00
   PROTEIN DESIGN  Equity  74369L103  12,004,500.00     151,000.00   X          2       151,000.00
   LABS COM
                                         300,669.00       3,782.00   X          5         3,782.00
   PROVIDENCE &    Equity  743737108   1,549,487.50     210,100.00   X          1       210,100.00
   WORCESTER RR
   COCOM
   PROVIDENT FINL  Equity  743866105     884,878.80      25,980.00   X          5        25,980.00
   GROUP COM
   PROVIDIAN FINL  Equity  74406A102  33,175,555.88     382,979.00   X          1       359,029.00
   CORP COM
                                                                     X          1                                   23,950.00
                                       2,279,450.25      26,314.00   X          5        26,314.00
   PROXIM INC COM  Equity  744284100     434,235.32       3,628.00   X          5         3,628.00
   PSINET INC COM  Equity  74437C101  25,127,172.00     738,600.00   X          2       737,100.00
                                                                     X          2                       1,500.00
                                         438,483.78      12,889.00   X          5        12,889.00
   PUBLIC SVC CO N Equity  744499104   5,343,975.00     339,300.00   X          3       175,300.00
   MEX COM
                                                                     X          3                     164,000.00
                                         269,262.00      17,096.00   X          5        17,096.00
   PUBLIC SVC      Equity  744573106  35,358,875.00   1,193,750.00   X          3       777,100.00
   ENTERPRISE
   COM
                                                                     X          3                     416,650.00
                                       1,822,755.56      61,538.00   X          5        61,538.00
                                           3,969.08         134.00   X          6            67.00
                                                                     X          6                          67.00
   PUGET SOUND     Equity  745332106     839,026.09      37,811.00   X          5        37,811.00
   ENERGY INC COM
   PULTE CORP COM  Equity  745867101     206,592.13       9,899.00   X          5         9,899.00
   QLOGIC CORP     Equity  747277101  46,124,200.00     340,400.00   X          1       322,500.00
   COM
                                                                     X          1                                   17,900.00
                                     123,901,200.00     914,400.00   X          2       914,400.00
                                       3,160,944.00      23,328.00   X          5        23,328.00
   QUAKER OATS     Equity  747402105   6,192,393.62     102,151.00   X          5       102,151.00
   CO COM
   QUALCOMM INC    Equity  747525103 249,287,976.00   1,669,600.00   X          2     1,669,600.00
   COM
                                       1,644,052.41      11,011.00   X          4        11,011.00
                                      20,426,653.17     136,807.00   X          5       136,807.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 62               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                         209,780.55       1,405.00   X          6         1,405.00
   QUANTA SVCS     Equity  74762E102  11,882,514.60     293,700.00   X          1       245,550.00
   INC COM
                                                                     X          1                                   48,150.00
                                         218,149.54       5,392.00   X          5         5,392.00
   QUANTUM CORP    Equity  747906204     121,668.60      10,190.00   X          5        10,190.00
   COM DSSG
   QUEST           Equity  74834L100     244,979.25       6,163.00   X          5         6,163.00
   DIAGNOSTICS
   INC COM
                                           9,937.50         250.00   X          6           250.00
   QUINTILES       Equity  748767100     249,297.78      14,613.00   X          5        14,613.00
   TRANSNATIONL
   COM
   QUIXOTE CORP    Equity  749056107   4,075,575.00     332,700.00   X          1       332,700.00
   QUORUM          Equity  749084109     244,810.10      24,335.00   X          5        24,335.00
   HEALTH GRP INC
   COM
   QWEST           Equity  749121109   1,585,728.00      33,036.00   X          5        33,036.00
   COMMUNICATION
   COM
   R & B FALCON    Equity  74912E101  13,064,315.00     663,500.00   X          2       663,500.00
   CORP
                                         223,540.57      11,353.00   X          5        11,353.00
                                         137,830.00       7,000.00   X          6         7,000.00
   Quest Trends    Equity  74912L105   4,317,500.00      55,000.00   X          4        55,000.00
   Conv. Pfd. 144A
   RCN CORP COM    Equity  749361101     571,183.61      10,603.00   X          5        10,603.00
   R G S ENERGY    Equity  74956K104   5,684,375.00     267,500.00   X          3       144,200.00
   GROUP INC COM
                                                                     X          3                     123,300.00
                                         143,543.75       6,755.00   X          5         6,755.00
   RPM INC OHIO    Equity  749685103     118,987.00      10,817.00   X          5        10,817.00
   COM
   RSA SEC INC COM Equity  749719100     715,806.96      13,816.00   X          5        13,816.00
   RF              Equity  749941100  38,243,125.00     284,600.00   X          1       269,700.00
   MICRODEVICES
   INC COM
                                                                     X          1                                   14,900.00
                                     145,393,750.00   1,082,000.00   X          2     1,080,800.00
                                                                     X          2                       1,200.00
                                         910,793.75       6,778.00   X          5         6,778.00
                                          88,687.50         660.00   X          6           660.00
   RADIAN GROUP    Equity  750236101     963,971.66      20,243.00   X          5        20,243.00
   INC COM
   RADIANT         Equity  75025N102  19,711,469.25     470,250.00   X          1       435,000.00
   SYSTEMS INC
   COM
                                                                     X          1                                   35,250.00
                                          11,024.17         263.00   X          5           263.00
   RAMBUS INC DEL  Equity  750917106   1,478,390.00       5,020.00   X          5         5,020.00
   COM
   RALCORP HLDGS   Equity  751028101     272,817.50      18,815.00   X          5        18,815.00
   INC NEW COM
   RALSTON         Equity  751277302   2,809,812.50     102,175.00   X          5       102,175.00
   PURINA CO COM
   RAL-PUR GP
   RARE            Equity  753820109   2,721,320.00     140,000.00   X          1       140,000.00
   HOSPITALITY
   INTL INC   COM
   RARE MEDIUM     Equity  75382N109  12,808,036.00     290,300.00   X          2       290,300.00
   GROUP INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 63               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                         222,541.28       5,044.00   X          5         5,044.00
   RATIONAL        Equity  75409P202  41,440,050.00     541,700.00   X          1       512,500.00
   SOFTWARE
   CORP COM NEW
                                                                     X          1                                   29,200.00
                                      34,738,650.00     454,100.00   X          2       452,600.00
                                                                     X          2                       1,500.00
                                       2,061,369.00      26,946.00   X          5        26,946.00
   RAYMOND         Equity  754730109   6,088,050.00     293,400.00   X          3       144,500.00
   JAMES FINL INC
   COM
                                                                     X          3                     148,900.00
                                         180,919.25       8,719.00   X          5         8,719.00
   RAYONIER INC    Equity  754907103     406,672.50       8,342.00   X          5         8,342.00
   COM
   RAYTHEON CO     Equity  755111309   2,953,170.00     157,000.00   X          2       157,000.00
   CL A
                                          21,932.46       1,166.00   X          5         1,166.00
                                      11,445,885.00     608,500.00   X          6       428,500.00
                                                                     X          6                     180,000.00
   RAYTHEON CO     Equity  755111408   1,775,000.00     100,000.00   X          2       100,000.00
   CL B
                                         602,168.75      33,925.00   X          5        33,925.00
                                         421,917.50      23,770.00   X          6         6,270.00
                                                                     X          6                      17,500.00
   READERS         Equity  755267101  30,104,125.00     851,000.00   X          1       798,800.00
   DIGEST ASSN CL
   A NON VTG
                                                                     X          1                                   52,200.00
                                         588,498.50      16,636.00   X          5        16,636.00
   REALNETWORKS    Equity  75605L104   5,967,102.40     104,800.00   X          1       104,800.00
   INC COM
                                         240,790.80       4,229.00   X          5         4,229.00
   REDBACK         Equity  757209101   6,868,580.20      45,800.00   X          1        45,800.00
   NETWORKS INC
   COM
                                      75,854,320.20     505,800.00   X          2       505,800.00
                                          97,179.91         648.00   X          5           648.00
                                          42,741.17         285.00   X          6           285.00
   REEBOK INTL     Equity  758110100     309,708.50      33,482.00   X          5        33,482.00
   LTD COM
   REGIS CORP      Equity  758932107      97,923.72       6,612.00   X          5         6,612.00
   MINN COM
                                       5,390,632.66     363,986.00   X          6       344,945.00
                                                                     X          6                      19,041.00
   REGIONS FINL    Equity  758940100     748,282.05      32,805.00   X          5        32,805.00
   CORP COM
   RELIANCE        Equity  759464100      68,176.50      19,479.00   X          5        19,479.00
   GROUP HLDGS
   COM
   RELIANT ENERGY  Equity  75952J108   1,055,652.92      44,807.00   X          5        44,807.00
   RELIASTAR FINL  Equity  75952U103     337,616.16       9,968.00   X          5         9,968.00
   CORP COM
   REMEDY CORP     Equity  759548100     374,067.72       8,881.00   X          5         8,881.00
   COM
   RENAISSANCE     Equity  75968A109      96,460.38      18,479.00   X          5        18,479.00
   WORLDWIDE
   COM
   REPLIGEN CORP   Equity  759916109   2,845,651.33     347,826.00   X          2       347,826.00
   RENAL CARE      Equity  759930100  11,909,979.00     549,100.00   X          2       549,100.00
   GROUP INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 64               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                         253,447.65      11,685.00   X          5        11,685.00
   REPSOL SA ADR   Equity  76026T205  26,248,475.00   1,231,600.00   X          3       746,600.00
                                                                     X          3                     485,000.00
   REPUBLIC SVCS   Equity  760759100   5,623,160.00     514,000.00   X          2       514,000.00
   INC CL A
                                          65,596.24       5,996.00   X          5         5,996.00
   RESEARCH IN     Equity  760975102  45,363,675.00     425,950.00   X          2       425,950.00
   MOTION
                                         127,800.00       1,200.00   X          6         1,200.00
   RESTORATION     Equity  760981100     224,043.75      42,675.00   X          5        42,675.00
   HARDWARE COM
   RESMED INC COM  Equity  761152107     254,719.53       3,569.00   X          5         3,569.00
   RESOURCE        Equity  761197102      91,234.64      23,156.00   X          5        23,156.00
   BANCSHARS
   MTG COM
   RESOURCEPHOE    Equity  76122L106   8,005,400.00     615,800.00   X          2       615,800.00
   INC
   REVLON INC CL A Equity  761525500     283,815.00      32,436.00   X          5        32,436.00
   REYNOLDS &      Equity  761695105     659,853.00      24,439.00   X          5        24,439.00
   REYNOLDS CO
   CL A
   REYNOLDS        Equity  761763101     661,611.78       9,894.00   X          5         9,894.00
   METALS CO COM
   REYNOLDS R J    Equity  76182K105   8,431,388.00     495,964.00   X          3       190,632.00
   TOB HLDGS COM
                                                                     X          3                     305,332.00
                                       1,381,216.00      81,248.00   X          5        81,248.00
   RITE AID CORP   Equity  767754104     188,199.00      34,218.00   X          5        34,218.00
   COM
   RIVIANA FOODS   Equity  769536103     639,561.00      40,300.00   X          3                      40,300.00
   INC
                                             158.70          10.00   X          5            10.00
   ROBERT HALF     Equity  770323103  16,856,622.00     355,400.00   X          2       355,400.00
   INTL INC COM
                                       2,238,980.58      47,206.00   X          5        47,206.00
   ROCKWELL INTL   Equity  773903109     671,301.36      16,056.00   X          5        16,056.00
   CORP NEW COM
                                     294,878,613.25   7,052,825.00   X          6     5,710,270.00
                                                                     X          6                   1,342,555.00
   ROHM & HAAS CO  Equity  775371107   1,816,257.10      40,705.00   X          5        40,705.00
   COM
   ROLLINS INC COM Equity  775711104     194,008.89      13,047.00   X          5        13,047.00
   ROLLINS TRUCK   Equity  775741101   5,317,200.00     630,000.00   X          3       307,500.00
   LEASING COM
                                                                     X          3                     322,500.00
                                         105,930.44      12,551.00   X          5        12,551.00
   ROMAC INTL INC  Equity  775835101   6,500,550.00     717,500.00   X          2       717,500.00
   COM
                                         146,400.54      16,159.00   X          5        16,159.00
   ROPER INDS INC  Equity  776696106     256,450.64       7,556.00   X          5         7,556.00
   NEW COM
                                       3,764,964.20     110,930.00   X          6       105,200.00
                                                                     X          6                       5,730.00
   ROSS STORES     Equity  778296103     331,883.64      13,794.00   X          5        13,794.00
   INC COM
   ROWAN COS INC   Equity  779382100  17,546,240.00     596,000.00   X          2       596,000.00
   COM
                                         912,787.20      31,005.00   X          5        31,005.00
   ROYAL DUTCH     Equity  780257804  23,662,860.90     409,300.00   X          1       398,700.00
   PETE CO NY REG
   GLD1.
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 65               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   10,600.00
                                       8,265,119.92     142,963.00   X          5       142,963.00
                                          92,500.80       1,600.00   X          6         1,600.00
   RUBY TUESDAY    Equity  781182100   3,283,000.00     187,600.00   X          1       156,900.00
   INC COM
                                                                     X          1                                   30,700.00
                                         131,775.00       7,530.00   X          5         7,530.00
   RUDDICK CORP    Equity  781258108     154,516.56      14,124.00   X          5        14,124.00
   COM
   RUSS BERRIE &   Equity  782233100   6,060,600.00     327,600.00   X          3       155,100.00
   CO COM
                                                                     X          3                     172,500.00
                                          78,236.50       4,229.00   X          5         4,229.00
   RUSSELL CORP    Equity  782352108     198,265.05      13,855.00   X          5        13,855.00
   COM
   RYDER SYS INC   Equity  783549108     332,226.98      14,642.00   X          5        14,642.00
   COM
   SBC             Equity  78387G103  39,015,461.16     926,293.00   X          5       926,293.00
   COMMUNICATION
   INC COM
                                         113,681.88       2,699.00   X          6         2,699.00
   SCI SYS INC COM Equity  783890106   1,881,142.50      34,998.00   X          5        34,998.00
   SCM             Equity  784018103     226,689.00       2,337.00   X          5         2,337.00
   MICROSYSTEMS
   INC COM
   SDL INC COM     Equity  784076101  72,377,500.00     340,000.00   X          1       326,200.00
                                                                     X          1                                   13,800.00
                                     106,990,975.00     502,600.00   X          2       502,600.00
                                       2,087,026.50       9,804.00   X          5         9,804.00
   SEI             Equity  784117103   8,315,005.40      73,300.00   X          1        61,300.00
   INVESTMENTS
   CO COM
                                                                     X          1                                   12,000.00
                                         725,662.89       6,397.00   X          5         6,397.00
   SFX ENTMT INC   Equity  784178105  14,203,512.40     348,040.00   X          2       348,040.00
   CL A
                                         256,041.94       6,274.00   X          5         6,274.00
                                      21,498,708.00     526,800.00   X          6       470,400.00
                                                                     X          6                      56,400.00
   SLM HLDG CORP   Equity  78442A109     355,917.35      10,685.00   X          5        10,685.00
   COM
   SPS             Equity  784626103      56,913.00       1,866.00   X          5         1,866.00
   TECHNOLOGIES
   INC COM
                                      10,753,629.00     352,578.00   X          6       336,598.00
                                                                     X          6                      15,980.00
   SPX CORP COM    Equity  784635104   1,864,514.16      16,364.00   X          5        16,364.00
   S1              Equity  78463B101     688,861.91       8,039.00   X          5         8,039.00
   CORPORATION
   COM
   S3 INC COM      Equity  784849101     227,661.00      10,841.00   X          5        10,841.00
   SABRE HLDGS     Equity  785905100     618,264.78      16,737.00   X          5        16,737.00
   CORP CL A
                                     345,624,603.32   9,356,378.00   X          6     7,687,101.00
                                                                     X          6                   1,669,277.00
   SAFECO CORP     Equity  786429100   4,618,305.92     173,882.00   X          5       173,882.00
   COM
   SAFEGUARD       Equity  786449108   1,289,334.00      18,686.00   X          5        18,686.00
   SCIENTIFICS COM
   SAFETY KLEEN    Equity  78648R203      52,393.45      39,995.00   X          5        39,995.00
   CORP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 66               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   SAFEWAY INC     Equity  786514208  36,724,900.00     811,600.00   X          1       793,000.00
   COM NEW
                                                                     X          1                                   18,600.00
                                       4,948,042.25     109,349.00   X          5       109,349.00
   SAGA SYSTEMS    Equity  786610105     246,281.75       6,889.00   X          5         6,889.00
   INC
   ST JUDE MED     Equity  790849103     213,835.85       8,285.00   X          5         8,285.00
   INC COM
   ST MARY LD &    Equity  792228108   3,946,487.50     132,100.00   X          1       132,100.00
   EXPL CO COM
                                       4,833,775.00     161,800.00   X          3        86,400.00
                                                                     X          3                      75,400.00
                                          85,950.38       2,877.00   X          5         2,877.00
                                      10,797,661.50     361,428.00   X          6       342,178.00
                                                                     X          6                      19,250.00
   ST PAUL COS INC Equity  792860108   8,352,576.00     244,800.00   X          2       244,800.00
   COM
                                       3,298,653.36      96,678.00   X          5        96,678.00
                                          13,648.00         400.00   X          6           400.00
   SAKS HLDGS INC  Equity   79377W10     242,164.50      16,701.00   X          5        16,701.00
   COM
   SALESLOGIX      Equity  79466P105   7,793,280.00     288,000.00   X          2       288,000.00
   CORP COM
                                           5,412.00         200.00   X          5           200.00
   SALTON INC COM  Equity  795757103   3,691,212.50      85,100.00   X          1        71,100.00
                                                                     X          1                                   14,000.00
                                          21,774.25         502.00   X          5           502.00
   SANDISK CORP    Equity  80004C101  64,177,750.00     523,900.00   X          1       481,700.00
   COM
                                                                     X          1                                   42,200.00
                                         910,420.00       7,432.00   X          5         7,432.00
   SANMINA CORP    Equity  800907107  59,702,772.00     883,700.00   X          2       883,700.00
   COM
                                       1,857,629.76      27,496.00   X          5        27,496.00
   SANTA FE        Equity  80218K105   5,802,647.50     610,805.00   X          3       296,875.00
   SNYDER CORP
   COM
                                                                     X          3                     313,930.00
                                         827,032.00      87,056.00   X          5        87,056.00
   SAPIENT CORP    Equity  803062108     320,299.53       3,819.00   X          5         3,819.00
   COM
   SARA LEE CORP   Equity  803111103   1,417,644.00      78,758.00   X          5        78,758.00
   COM
                                       2,466,000.00     137,000.00   X          6       102,000.00
                                                                     X          6                      35,000.00
   SAWTEC INC      Equity  805468105     251,920.08       4,793.00   X          5         4,793.00
   SCANA CORP      Equity  80589M102     891,159.60      36,285.00   X          5        36,285.00
   COM
                                           7,760.96         316.00   X          6           158.00
                                                                     X          6                         158.00
   SCHERING        Equity  806605101  27,873,450.00     750,800.00   X          1       733,400.00
   PLOUGH CORP
   COM
                                                                     X          1                                   17,400.00
                                       6,688,662.75     180,166.00   X          5       180,166.00
                                       3,389,809.50      91,308.00   X          6        67,008.00
                                                                     X          6                      24,300.00
   SCHLUMBERGER    Equity  806857108   6,854,476.50      89,601.00   X          5        89,601.00
   LTD COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 67               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   SCHOLASTIC      Equity  807066105     211,498.74       3,921.00   X          5         3,921.00
   CORP COM
   SCHWAB          Equity  808513105   7,914,849.00     138,857.00   X          5       138,857.00
   CHARLES CP
   NEW COM
   SCIENTIFIC      Equity  808655104  80,707,000.00   1,276,000.00   X          1     1,230,800.00
   ATLANTA INC
   COM
                                                                     X          1                                   45,200.00
                                       2,664,406.25      42,125.00   X          5        42,125.00
   SCOTTS CO CL A  Equity  810186106     401,436.00       9,558.00   X          5         9,558.00
   SEA             Equity  811371707   5,268,984.00     238,200.00   X          3       107,700.00
   CONTAINERS
   LTD CL A
                                                                     X          3                     130,500.00
                                          13,825.00         625.00   X          5           625.00
   SEACHANGE       Equity  811699107   9,243,750.00     150,000.00   X          1       150,000.00
   INTL INC
   COM
   SEAGATE         Equity  811804103   2,002,194.00      32,556.00   X          5        32,556.00
   TECHNOLOGY
   COM
                                          61,500.00       1,000.00   X          6         1,000.00
   SEAGRAM LTD     Equity  811850106  19,581,450.00     329,100.00   X          1       320,500.00
   COM
                                                                     X          1                                    8,600.00
                                       2,203,820.50      37,039.00   X          5        37,039.00
   SEALED AIR      Equity  81211K100     695,874.03      12,813.00   X          5        12,813.00
   CORP COM
   Sealed Air Corp.Equity  81211K209   1,973,644.00      38,000.00   X          4        38,000.00
   Conv. Pfd.
   SEARS ROEBUCK   Equity  812387108   1,748,922.54      57,117.00   X          5        57,117.00
   & CO COM
   SECURITY CAP    Equity  81413P204      59,882.68       4,147.00   X          5         4,147.00
   GROUP INC CL B
                                       3,151,255.64     218,231.00   X          6        26,895.00
                                                                     X          6                     191,336.00
   SELECTIVE INS   Equity  816300107   5,938,586.00     348,100.00   X          3       180,800.00
   GROUP COM
                                                                     X          3                     167,300.00
                                          97,770.86       5,731.00   X          5         5,731.00
   SEMTECH CORP    Equity  816850101   7,386,463.90     115,300.00   X          1        96,400.00
   COM
                                                                     X          1                                   18,900.00
                                         884,645.97      13,809.00   X          5        13,809.00
   SEMPRA          Equity  816851109   1,880,706.75     112,281.00   X          5       112,281.00
   ENERGY COM
   SEMITOOL INC    Equity  816909105   4,212,340.80     231,600.00   X          1       231,600.00
   COM
   SENIOR HSG      Equity  81721M109     187,503.25      18,293.00   X          5        18,293.00
   PPTYS TR SH
   BEN INT
   SENSORMATIC     Equity  817265101     533,578.32      23,778.00   X          5        23,778.00
   ELECTRS CP COM
   SEPRACOR INC    Equity  817315104  11,067,120.00     152,000.00   X          2       152,000.00
   COM
                                       1,447,681.23      19,883.00   X          5        19,883.00
   SERENA          Equity  817492101  13,138,875.00     412,200.00   X          1       344,850.00
   SOFTWARE INC
   COM
                                                                     X          1                                   67,350.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 68               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                          57,534.38       1,805.00   X          5         1,805.00
   SERVICE CORP    Equity  817565104     272,046.00      90,682.00   X          5        90,682.00
   INTL COM
   SERVICEMASTER   Equity  81760N109     177,997.50      15,822.00   X          5        15,822.00
   COMPANY
                                          17,156.25       1,525.00   X          6         1,525.00
   7-ELEVEN INC    Equity  817826100     166,695.00      44,452.00   X          5        44,452.00
   COM
   SHARED MED      Equity  819486101     213,237.57       4,111.00   X          5         4,111.00
   SYS CORP COM
                                      23,300,418.96     449,208.00   X          6       428,023.00
                                                                     X          6                      21,185.00
   SHAW GROUP      Equity  820280105  11,868,675.00     336,700.00   X          2       336,700.00
   INC COM
                                          69,019.50       1,958.00   X          5         1,958.00
   SHAW INDS INC   Equity  820286102     160,239.31      10,549.00   X          5        10,549.00
   COM
                                       7,852,166.70     516,930.00   X          6       388,155.00
                                                                     X          6                     128,775.00
   SHERWIN         Equity  824348106   1,416,387.84      64,032.00   X          5        64,032.00
   WILLIAMS CO
   COM
   SHIRE           Equity  82481R106  16,676,750.00     325,400.00   X          2       325,400.00
   PHARMACEUTICA
   GROUP
   SHOPKO STORES   Equity  824911101      47,871.75       2,697.00   X          5         2,697.00
   INC COM
                                      10,714,503.50     603,634.00   X          6       572,779.00
                                                                     X          6                      30,855.00
   SHOREWOOD       Equity  825229107     226,427.84      10,561.00   X          5        10,561.00
   PACKAGING CP
   COM
   SHURGARD        Equity  82567D104   6,321,040.00     242,000.00   X          3       116,600.00
   STORAGE CTRS
   COM
                                                                     X          3                     125,400.00
                                         289,932.00      11,100.00   X          5        11,100.00
   SICOR INC COM   Equity  825846108     165,785.19      15,987.00   X          5        15,987.00
   SIEBEL          Equity  826170102  41,098,615.80     344,100.00   X          1       337,400.00
                                                                     X          1                                    6,700.00
                                     172,743,179.40   1,446,300.00   X          2     1,446,300.00
                                       4,488,718.92      37,582.00   X          5        37,582.00
                                         136,159.32       1,140.00   X          6         1,140.00
   SIERRA PAC RES  Equity  826428104     161,187.50      12,895.00   X          5        12,895.00
   COM
   SIERRACITIES INCEquity  826521106   7,711,816.00     576,800.00   X          2       576,800.00
                                          22,555.19       1,687.00   X          5         1,687.00
   SIGCORP INC     Equity  826912107     241,638.00       9,476.00   X          5         9,476.00
   COM
   SILICON         Equity  827056102     269,913.60      25,560.00   X          5        25,560.00
   GRAPHICS INC
   COM
   SILICON VY      Equity  827064106     739,542.30      10,290.00   X          5        10,290.00
   BANCSHARES
   COM
   SIMON           Equity  828806109     545,617.17      23,407.00   X          5        23,407.00
   PROPERTY
   GROUP INC
                                         123,543.00       5,300.00   X          6                       5,300.00
   SIRIUS          Equity  82966U103  24,852,000.00     436,000.00   X          2       436,000.00
   SATELLITE
   RADIO COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 69               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                          48,678.00         854.00   X          5           854.00
   SKY FINL GROUP  Equity  83080P103     225,111.25      13,853.00   X          5        13,853.00
   INC COM
   SKYWEST INC     Equity  830879102     213,595.20       5,460.00   X          5         5,460.00
   SMARTFORCE      Equity  83170A206   8,757,537.50     190,900.00   X          2       190,900.00
   PLC SPON ADR
   SMITH INTL INC  Equity  832110100   1,012,227.50      13,061.00   X          5        13,061.00
   COM
   SMITH CHARLES   Equity  832197107     311,282.16       8,618.00   X          5         8,618.00
   RESIDNTL COM
   SMITHFIELD      Equity  832248108     335,340.00      16,767.00   X          5        16,767.00
   FOODS INC COM
   SMURFIT-STONE   Equity  832727101  14,595,504.00     861,600.00   X          2       861,600.00
   CONTAINR COM
                                         163,420.18       9,647.00   X          5         9,647.00
   SNYDER          Equity  832914105     272,835.00      12,126.00   X          5        12,126.00
   COMMUNICATION
   COM
   SOLECTRON       Equity  834182107  41,772,944.00   1,041,200.00   X          2     1,041,200.00
   CORP COM
                                       5,242,319.92     130,666.00   X          5       130,666.00
                                     109,230,912.60   2,722,605.00   X          6     2,369,495.00
                                                                     X          6                     353,110.00
   SOLUTIA INC COM Equity  834376105   1,518,925.59     113,607.00   X          5       113,607.00
   SONOCO PRODS    Equity  835495102     269,997.00      11,739.00   X          5        11,739.00
   CO COM
   SOURCE INFO     Equity  836151209      94,447.50       5,397.00   X          5         5,397.00
   MGMT CO COM
   NEW
                                         119,000.00       6,800.00   X          6         6,800.00
   SOUTHDOWN       Equity  841297104     423,815.25       7,153.00   X          5         7,153.00
   INC COM
   SOUTHERN CO     Equity  842587107   4,992,712.50     229,550.00   X          5       229,550.00
   COM
   SOUTHTRUST      Equity  844730101   2,577,886.08     101,332.00   X          5       101,332.00
   CORP COM
   SOUTHWEST       Equity  844741108   2,280,422.23     109,583.00   X          5       109,583.00
   AIRLS CO COM
                                       3,896,256.30     187,230.00   X          6       137,230.00
                                                                     X          6                      50,000.00
   SOUTHWESTERN    Equity  845467109      71,555.58      10,809.00   X          5        10,809.00
   ENERGY CO COM
   SOVEREIGN       Equity  845905108   4,687,200.00     620,000.00   X          2       620,000.00
   BANCORP INC
   COM
                                         427,480.20      56,545.00   X          5        56,545.00
   SPARTECH CORP   Equity  847220209     131,980.80       3,840.00   X          5         3,840.00
   COM NEW
                                         105,515.90       3,070.00   X          6            40.00
                                                                     X          6                       3,030.00
   SPECIALTY       Equity  847497203     216,713.00      10,444.00   X          5        10,444.00
   EQUIP CO INC
   COM NEW
   SPIEKER PPTYS   Equity  848497103     205,100.50       4,609.00   X          5         4,609.00
   INC COM
   SPRINGS INDS    Equity  851783100  11,310,700.00     297,650.00   X          3        99,600.00
   INC CL A
                                                                     X          3                     198,050.00
                                         250,838.00       6,601.00   X          5         6,601.00
   SPRINT CORP     Equity  852061100  13,772,934.00     218,618.00   X          5       218,618.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 70               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                   1,015,595,595.00  16,120,565.00   X          6    12,983,903.00
                                                                     X          6                   3,136,662.00
   SPRINT          Equity  852061506     655,000.00      10,000.00   X          2        10,000.00
   CORP.(PCS
   GROUP)
                                      13,656,946.50     208,503.00   X          5       208,503.00
                                       1,821,162.00      27,804.00   X          6         6,438.00
                                                                     X          6                      21,366.00
   SPYGLASS INC    Equity  852192103     256,845.60       3,312.00   X          5         3,312.00
   COM
   STAFF LEASING   Equity  852381102   3,363,217.13     578,618.00   X          6       550,968.00
   INC COM
                                                                     X          6                      27,650.00
   STANLEY         Equity  854305208   2,673,750.00     138,000.00   X          1       138,000.00
   FURNITURE INC
       COM
   STANLEY WKS     Equity  854616109   1,004,406.93      38,089.00   X          5        38,089.00
   COM
   STAPLES INC     Equity  855030102   1,954,200.00      97,710.00   X          5        97,710.00
   COM
                                         100,000.00       5,000.00   X          6         5,000.00
   STARBUCKS       Equity  855244109   1,956,628.65      43,665.00   X          5        43,665.00
   CORP COM
   STARWOOD        Equity  85590A203   1,782,183.25      69,211.00   X          5        69,211.00
   HOTELS &
   RESORTS
   WORLDW
   STATE STREET    Equity  857477103   4,824,610.35      49,805.00   X          5        49,805.00
   CORP COM
                                         116,728.35       1,205.00   X          6         1,205.00
   STATEN IS       Equity  857550107     238,019.36      13,903.00   X          5        13,903.00
   BANCORP INC
   COM
   STEIN MART      Equity  858375108     138,426.75      16,779.00   X          5        16,779.00
   STERIS CORP     Equity  859152100     134,039.25      13,077.00   X          5        13,077.00
   COM
   STERLING        Equity  859547101  13,070,525.00     399,100.00   X          3       332,700.00
   SOFTWARE INC
   COM
                                                                     X          3                      66,400.00
                                         551,510.00      16,840.00   X          5        16,840.00
   STEWART         Equity  860370105     220,156.04      44,566.00   X          5        44,566.00
   ENTERPRISES CL
   A
                                             691.60         140.00   X          6                         140.00
   STILLWATER      Equity  86074Q102     414,720.00      10,368.00   X          5        10,368.00
   MNG CO COM
   STONE ENERGY    Equity  861642106  11,721,500.00     238,000.00   X          2       238,000.00
   CORP COM
                                         718,508.25      14,589.00   X          5        14,589.00
   STORAGE USA     Equity  861907103     285,010.96       9,308.00   X          5         9,308.00
   INC COM
   STRATTEC        Equity  863111100   4,819,375.00     140,200.00   X          1       140,200.00
   SECURITY CORP.
   STRYKER CORP    Equity  863667101   8,711,775.00     124,900.00   X          1       124,900.00
   COM
                                       2,896,578.00      41,528.00   X          5        41,528.00
   STURM RUGER &   Equity  864159108   5,759,250.00     658,200.00   X          3       308,900.00
   CO INC COM
                                                                     X          3                     349,300.00
                                          20,483.75       2,341.00   X          5         2,341.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 71               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   SUIZA FOODS     Equity  865077101   7,180,600.00     178,400.00   X          2       178,400.00
   CORP COM
                                         703,610.25      17,481.00   X          5        17,481.00
   SUMMIT          Equity  866005101     470,898.75      17,939.00   X          5        17,939.00
   BANCORP COM
   SUN             Equity  866810104  38,165,231.90     407,300.00   X          1       398,100.00
   MICROSYSTEMS
   INC COM
                                                                     X          1                                    9,200.00
                                     262,387,140.60   2,800,200.00   X          2     2,800,200.00
                                      29,049,054.44     310,012.00   X          5       310,012.00
                                         152,735.89       1,630.00   X          6         1,630.00
   SUNBEAM CORP    Equity  867071102     134,804.87      32,173.00   X          5        32,173.00
   COM
   SUNGARD DATA    Equity  867363103   1,023,251.50      27,106.00   X          5        27,106.00
   SYS INC COM
   SUNOCO INC COM  Equity  86764P109     601,318.90      21,970.00   X          5        21,970.00
                                          27,370.00       1,000.00   X          6         1,000.00
   SUNTRUST BKS    Equity  867914103   6,713,148.75     116,245.00   X          5       116,245.00
   INC COM
   SUPERIOR INDS   Equity  868168105     296,079.67       9,343.00   X          5         9,343.00
   INTL INC COM
   SUPERVALU INC   Equity  868536103  30,219,783.24   1,595,722.00   X          1     1,500,122.00
   COM
                                                                     X          1                                   95,600.00
                                      27,784,886.70   1,467,150.00   X          3       944,550.00
                                                                     X          3                     522,600.00
                                       1,925,559.03     101,677.00   X          5       101,677.00
   SUSQUEHANNA     Equity  869099101   5,274,039.00     381,900.00   X          3       197,300.00
   BKSHS PA COM
                                                                     X          3                     184,600.00
                                         140,323.41      10,161.00   X          5        10,161.00
   SWIFT TRANSN    Equity  870756103     251,494.00      12,268.00   X          5        12,268.00
   CO COM
   SYBASE INC COM  Equity  871130100     346,894.80      17,080.00   X          5        17,080.00
   SYBRON INTL     Equity  87114F106     663,549.00      22,881.00   X          5        22,881.00
   CORP COM
   SYLVAN          Equity  871399101     172,534.56      10,824.00   X          5        10,824.00
   LEARNING SYS
   COM
   SYMANTEC CORP   Equity  871503108   9,030,025.00     120,200.00   X          1       100,400.00
   COM
                                                                     X          1                                   19,800.00
                                       4,849,844.63      64,557.00   X          5        64,557.00
   SYMBOL          Equity  871508107  37,253,430.25     678,878.00   X          1       641,828.00
   TECHNOLOGIES
   COM
                                                                     X          1                                   37,050.00
                                       1,562,126.63      28,467.00   X          5        28,467.00
   SYNOPSYS INC    Equity  871607107     604,402.50      12,398.00   X          5        12,398.00
   COM
   SYNOVUS FINL    Equity  87161C105     372,663.63      19,749.00   X          5        19,749.00
   CORP COM
   SYSCO CORP      Equity  871829107   2,049,557.16      56,743.00   X          5        56,743.00
   COM
   SYSTEMS &       Equity  871873105     178,944.09       7,657.00   X          5         7,657.00
   COMPTR TECH
   COM
                                         406,638.00      17,400.00   X          6        17,400.00
   TCBY            Equity  872245105      68,511.25      11,915.00   X          5        11,915.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 72               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   ENTERPRISES
   INC COM
   TCF FINL CORP   Equity  872275102   1,700,795.92      71,432.00   X          5        71,432.00
   COM
   TECO ENERGY     Equity  872375100     276,670.08      14,232.00   X          5        14,232.00
   INC COM
   TJX COS INC     Equity  872540109   1,116,534.23      50,317.00   X          5        50,317.00
   NEW COM
   TNP             Equity  872594106     277,317.30       6,330.00   X          5         6,330.00
   ENTERPRISES
   INC COM
   TRW INC COM     Equity  872649108  67,087,800.00   1,146,800.00   X          1     1,121,100.00
                                                                     X          1                                   25,700.00
                                       1,100,677.50      18,815.00   X          5        18,815.00
                                          70,200.00       1,200.00   X          6         1,200.00
   TMP             Equity  872941109   3,242,175.00      41,700.00   X          1        41,700.00
   WORLDWIDE INC
   COM
                                         516,337.75       6,641.00   X          5         6,641.00
   TALK.COM INC    Equity  874264104     178,720.00      11,170.00   X          5        11,170.00
   TANDY CORP      Equity  875382103   2,115,818.25      41,691.00   X          5        41,691.00
   COM
   TARGET CORP     Equity  87612E106   9,533,689.75     127,541.00   X          5       127,541.00
   TECH DATA       Equity  878237106     241,035.71       7,333.00   X          5         7,333.00
   CORP COM
   TECHNE CORP     Equity  878377100     421,176.00       6,104.00   X          5         6,104.00
   COM
   TECHNITROL INC  Equity  878555101     210,806.75       3,619.00   X          5         3,619.00
   COM
   TECHNOLOGY      Equity  87872T108     299,382.24      32,827.00   X          5        32,827.00
   SOLUTIONS COM
   TECUMSEH        Equity  878895200   5,214,000.00     118,500.00   X          3        61,200.00
   PRODUCTS CO
   CL A
                                                                     X          3                      57,300.00
                                       1,223,200.00      27,800.00   X          5        27,800.00
   TEKTRONIX INC   Equity  879131100  47,236,000.00     843,500.00   X          1       775,700.00
   COM
                                                                     X          1                                   67,800.00
                                       1,223,768.00      21,853.00   X          5        21,853.00
   TELCOM          Equity  87921P107   7,208,575.00     238,300.00   X          1       238,300.00
   SEMICONDUCTOR
   INC    COM
                                      10,448,350.00     345,400.00   X          2       345,400.00
   TELEFLEX INC    Equity  879369106     187,637.85       5,305.00   X          5         5,305.00
   COM
                                       8,545,745.70     241,610.00   X          6       232,440.00
                                                                     X          6                       9,170.00
   TELEPHONE &     Equity  879433100   2,328,891.00      20,981.00   X          5        20,981.00
   DATA SYS COM
   TELESCAN INC    Equity  879516102   4,598,814.00     194,700.00   X          2       194,700.00
   COM
                                           3,826.44         162.00   X          5           162.00
   TELIGENT INC CL Equity  87959Y103     361,308.48       5,408.00   X          5         5,408.00
   A
   TELLABS INC COM Equity  879664100   6,054,960.18      96,141.00   X          5        96,141.00
   TEMPLE INLAND   Equity  879868107     763,836.35      15,335.00   X          5        15,335.00
   INC COM
                                          64,753.00       1,300.00   X          6         1,300.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 73               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   TENET           Equity  88033G100  19,191,200.00     834,400.00   X          2       834,400.00
   HEALTHCARE
   CORP COM
                                       2,259,014.00      98,218.00   X          5        98,218.00
                                     390,933,438.00  16,997,106.00   X          6    13,066,433.00
                                                                     X          6                   3,930,673.00
   TENNECO         Equity  880349105     962,486.80     121,220.00   X          3        45,460.00
   AUTOMOTIVE INC
                                                                     X          3                      75,760.00
                                         721,936.56      90,924.00   X          5        90,924.00
   TERADYNE INC    Equity  880770102  46,723,600.00     569,800.00   X          1       556,700.00
   COM
                                                                     X          1                                   13,100.00
                                      37,293,600.00     454,800.00   X          2       453,600.00
                                                                     X          2                       1,200.00
                                       2,527,814.00      30,827.00   X          5        30,827.00
   TERAYON         Equity  880775101  30,750,000.00     150,000.00   X          2       150,000.00
   COMMUNACTN
   SYS COM
                                         534,025.00       2,605.00   X          5         2,605.00
   TEVA            Equity  881624209   7,902,787.50     211,800.00   X          6       203,800.00
   PHARMACEUTICA
   INDUSTRIES
                                                                     X          6                       8,000.00
   TEXACO INC COM  Equity  881694103  27,305,000.00     508,000.00   X          1       496,300.00
                                                                     X          1                                   11,700.00
                                       7,440,827.50     138,434.00   X          5       138,434.00
                                          75,250.00       1,400.00   X          6         1,400.00
   TEXAS INDS INC  Equity  882491103     221,213.52       6,996.00   X          5         6,996.00
   COM
   TEXAS INSTRS    Equity  882508104  27,328,000.00     170,800.00   X          1       166,900.00
   INC COM
                                                                     X          1                                    3,900.00
                                     143,968,000.00     899,800.00   X          2       899,800.00
                                      30,063,520.00     187,897.00   X          5       187,897.00
                                         100,800.00         630.00   X          6           610.00
                                                                     X          6                          20.00
   TEXAS UTILS CO  Equity  882848104   3,296,955.74     111,046.00   X          5       111,046.00
   COM
   TEXTRON INC     Equity  883203101   4,564,154.34      74,982.00   X          5        74,982.00
   COM
                                     464,495,622.15   7,630,945.00   X          6     6,288,905.00
                                                                     X          6                   1,342,040.00
   THERMO          Equity  883556102     416,586.87      20,451.00   X          5        20,451.00
   ELECTRON CORP
   COM
                                         133,667.94       6,562.00   X          6         3,187.00
                                                                     X          6                       3,375.00
   THERMO          Equity  88355H108   2,768,800.00     100,000.00   X          1       100,000.00
   BIOANALYSIS
   COM
   THOMAS &        Equity  884315102  45,954,275.00   1,626,700.00   X          3       954,100.00
   BETTS CORP COM
                                                                     X          3                     672,600.00
                                         152,747.75       5,407.00   X          5         5,407.00
   THOR INDS INC   Equity  885160101     935,935.00      38,500.00   X          3                      38,500.00
   COM
                                          25,598.43       1,053.00   X          5         1,053.00
   3COM CORP COM   Equity  885535104   4,781,484.54      85,967.00   X          5        85,967.00
   THREE FIVE SYS  Equity  88554L108   5,970,000.00     149,250.00   X          1       149,250.00
   INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 74               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                         112,120.00       2,803.00   X          5         2,803.00
   TIBCO           Equity  88632Q103  70,546,400.00     865,600.00   X          2       865,600.00
   SOFTWARE INC
                                          53,382.50         655.00   X          5           655.00
   TIDEWATER INC   Equity  886423102   1,540,272.01      48,421.00   X          5        48,421.00
   COM
   TIFFANY & CO    Equity  886547108  27,360,464.00     327,200.00   X          2       327,200.00
   NEW COM
                                       1,282,981.66      15,343.00   X          5        15,343.00
   TIMBERLAND CO   Equity  887100105     215,934.00       4,234.00   X          5         4,234.00
   CL A
   TIME WARNER     Equity  887315109  23,977,300.00     239,773.00   X          5       239,773.00
   INC COM
                                         860,000.00       8,600.00   X          6                       8,600.00
   TIMES MIRROR    Equity  887364107  18,931,470.60     203,700.00   X          1       193,800.00
   CO NEW COM
   SER A
                                                                     X          1                                    9,900.00
                                       1,124,642.74      12,101.00   X          5        12,101.00
   Times Mirror    Equity  887364503     424,000.00       4,000.00   X          4         4,000.00
   Company Conv.
   Pfd.
   TITAN CORP COM  Equity  888266103     335,325.30       6,610.00   X          5         6,610.00
   TOO INC COM     Equity  890333107  26,380,355.40     835,800.00   X          1       785,500.00
                                                                     X          1                                   50,300.00
                                         225,296.69       7,138.00   X          5         7,138.00
   TOPPS INC COM   Equity  890786106     119,481.18      14,378.00   X          5        14,378.00
   TORCHMARK       Equity  891027104     203,617.84       8,807.00   X          5         8,807.00
   CORP COM
   TOSCO CORP      Equity  891490302   3,519,524.04     114,942.00   X          5       114,942.00
   COM NEW
                                       3,062,000.00     100,000.00   X          6       100,000.00
   TOTAL RENAL     Equity  89151A107      46,400.64      14,872.00   X          5        14,872.00
   CARE HLDGS
   COM
   TOWER           Equity  891707101     207,571.60      12,680.00   X          5        12,680.00
   AUTOMOTIVE INC
   COM
   TOYS R US INC   Equity  892335100   1,040,787.56      70,276.00   X          5        70,276.00
   COM
                                          41,201.42       2,782.00   X          6         2,782.00
   TRANSACTION     Equity  893416107     259,454.69       8,987.00   X          5         8,987.00
   SYS ARCHIT CL A
   TRANSATLANTIC   Equity  893521104     506,502.00       5,924.00   X          5         5,924.00
   HLDGS COM
   TRANSWITCH      Equity  894065101  15,795,740.63     164,325.00   X          1       137,400.00
   CORP COM
                                                                     X          1                                   26,925.00
                                      44,443,393.75     462,350.00   X          2       462,350.00
                                         796,972.38       8,291.00   X          5         8,291.00
   TRENWICK        Equity  895290104      63,201.12       4,476.00   X          5         4,476.00
   GROUP INC COM
                                       5,791,388.60     410,155.00   X          6       389,169.00
                                                                     X          6                      20,986.00
   TRIAD           Equity  89579K109     244,248.50      14,582.00   X          5        14,582.00
   HOSPITALS INC
   COM
   TRICON GLOBAL   Equity  895953107   2,107,048.28      67,838.00   X          5        67,838.00
   REST COM
                                       7,423,340.00     239,000.00   X          6       239,000.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 75               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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 CO      Equity  896047107     914,548.40      25,015.00   X          5        25,015.00
   NEW COM
                                       3,674,280.00     100,500.00   X          6        52,600.00
                                                                     X          6                      47,900.00
   Tribune/AOL     Equity  896047305   8,636,375.00      60,500.00   X          4        60,500.00
   Conv. Pfd.
   TRIGON          Equity  89618L100     295,116.25       8,255.00   X          5         8,255.00
   HEALTHCARE
   INC COM
                                       6,075,390.75     169,941.00   X          6       161,351.00
                                                                     X          6                       8,590.00
   TRINITY INDS    Equity  896522109   5,740,087.00     242,300.00   X          3       120,100.00
   INC COM
                                                                     X          3                     122,200.00
                                         202,241.53       8,537.00   X          5         8,537.00
   TRIQUINT        Equity  89674K103     452,025.00       6,150.00   X          5         6,150.00
   SEMICONDUCTOR
   COM
   TRUE NORTH      Equity  897844106  11,600,381.00     295,100.00   X          2       295,100.00
   COMM COM
                                         470,068.98      11,958.00   X          5        11,958.00
   TRUST CO NJ     Equity  898304100     197,903.29      10,217.00   X          5        10,217.00
   JERSEY CTY COM
   TRUSTCO BANK    Equity  898349105     135,241.61      11,569.00   X          5        11,569.00
   CORP NY
   TRUSTMARK       Equity  898402102     890,823.18      44,122.00   X          5        44,122.00
   CORP COM
   TUPPERWARE      Equity  899896104  15,414,750.00     975,000.00   X          2       975,000.00
   CORP COM
                                      14,266,944.00     902,400.00   X          3       733,000.00
                                                                     X          3                     169,400.00
                                         318,334.35      20,135.00   X          5        20,135.00
   21ST CENTURY    Equity  90130N103     200,272.50       9,315.00   X          5         9,315.00
   INSURANCE
   GROUP
   TYCO INTL LTD   Equity  902124106  37,538,612.50     748,900.00   X          1       729,900.00
   NEW COM
                                                                     X          1                                   19,000.00
                                       9,042,700.38     180,403.00   X          5       180,403.00
                                         100,250.00       2,000.00   X          6                       2,000.00
   TYLER           Equity  902252105      71,813.58      12,234.00   X          5        12,234.00
   TECHNOLOGIES
   INC
   TYSON FOODS     Equity  902494103  11,832,792.00   1,064,100.00   X          2     1,064,100.00
   INC CL A
                                          84,556.48       7,604.00   X          5         7,604.00
   UAL CORP COM    Equity  902549500      54,752.50         905.00   X          5           905.00
   PAR $0.01
                                     106,881,115.00   1,766,630.00   X          6     1,297,780.00
                                                                     X          6                     468,850.00
   UCAR INTL INC   Equity  90262K109   8,316,295.00     630,500.00   X          2       630,500.00
   COM
                                         128,958.63       9,777.00   X          5         9,777.00
                                       7,023,160.59     532,461.00   X          6       509,095.00
                                                                     X          6                      23,366.00
   UGI CORP NEW    Equity  902681105   6,410,330.00     296,500.00   X          3       147,300.00
   COM
                                                                     X          3                     149,200.00
                                          91,344.50       4,225.00   X          5         4,225.00
   USX MARATHON    Equity  902905827  60,732,002.60   2,330,200.00   X          1     2,230,700.00
   GROUP COM NEW
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 76               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   99,500.00
                                      12,881,637.75     494,250.00   X          3       152,550.00
                                                                     X          3                     341,700.00
                                       4,240,841.04     162,715.00   X          5       162,715.00
                                       1,720,158.00      66,000.00   X          6        50,000.00
                                                                     X          6                      16,000.00
   UST INC COM     Equity  902911106  21,290,060.00   1,363,000.00   X          3       959,300.00
                                                                     X          3                     403,700.00
                                       1,370,061.44      87,712.00   X          5        87,712.00
                                       1,474,528.00      94,400.00   X          6        72,200.00
                                                                     X          6                      22,200.00
   US BANCORP      Equity  902973106   5,507,412.75     251,825.00   X          5       251,825.00
   DEL COM
   USA NETWORKS    Equity  902984103     376,797.12      16,702.00   X          5        16,702.00
   INC COM
   U S G CORP COM  Equity  903293405   2,316,010.68      55,222.00   X          5        55,222.00
   NEW
   U S             Equity  90331R101   1,016,584.25      39,479.00   X          5        39,479.00
   FOODSERVICE
   COM
   US LEC CORP CL  Equity  90331S109  10,350,900.00     260,400.00   X          2       260,400.00
   A
                                          25,281.00         636.00   X          5           636.00
   USEC INC COM    Equity  90333E108     141,165.25      29,719.00   X          5        29,719.00
   USX-U S STL COM Equity  90337T101  39,186,250.00   1,567,450.00   X          3       891,450.00
                                                                     X          3                     676,000.00
                                         171,350.00       6,854.00   X          5         6,854.00
   UTI ENERGY      Equity  903387108  14,881,050.00     394,200.00   X          2       394,200.00
   CORP COM
                                          68,440.75       1,813.00   X          5         1,813.00
   US ONCOLOGY     Equity   90338W10      56,425.50      12,539.00   X          5        12,539.00
   INC COM
   ULTIMATE        Equity  903849107   1,750,000.00      80,000.00   X          2        80,000.00
   ELECTRONICS
   INC
   ULTRAMAR        Equity  904000106   6,837,215.00     269,500.00   X          2       269,500.00
   DIAMOND
   SHMRK COM
                                      43,599,309.06   1,718,538.00   X          3     1,141,950.00
                                                                     X          3                     576,588.00
                                       2,204,729.11      86,903.00   X          5        86,903.00
   UNIFI INC COM   Equity  904677101     150,442.32      16,828.00   X          5        16,828.00
   UNIFY CORP      Equity  904743101   5,426,289.00     265,500.00   X          1       221,900.00
           COM
                                                                     X          1                                   43,600.00
   UNILEVER N V N  Equity  904784709   1,378,686.12      28,651.00   X          5        28,651.00
   Y SHS NEW
                                          99,319.68       2,064.00   X          6         2,064.00
   UNICOM CORP     Equity  904911104     899,725.00      24,650.00   X          5        24,650.00
   COM
   UNIGRAPHICS     Equity  904928108   2,885,348.80      97,600.00   X          1        97,600.00
   SOLUTIONS CL A
                                             118.25           4.00   X          5             4.00
   UNION CARBIDE   Equity  905581104   1,409,411.01      24,171.00   X          5        24,171.00
   CORP COM
   UNION PACIFIC   Equity  907818108   4,328,080.32     110,636.00   X          5       110,636.00
   CORP COM
   Union Pacific   Equity  907824403     401,250.00      10,000.00   X          4        10,000.00
   Conv. Pfd.
   UNION PAC RES   Equity  907834105     374,491.50      25,827.00   X          5        25,827.00
   GROUP COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 77               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   UNION           Equity  908068109  36,816,409.50   1,194,950.00   X          3       629,100.00
   PLANTERS CORP
   COM
                                                                     X          3                     565,850.00
                                         419,385.72      13,612.00   X          5        13,612.00
   UNIONBANCAL     Equity  908906100   2,290,621.84      83,114.00   X          5        83,114.00
   CORP COM
   UNISOURCE       Equity  909205106     319,037.42      21,718.00   X          5        21,718.00
   ENERGY CORP
   COM
   UNISYS CORP     Equity  909214108   1,630,236.02      63,458.00   X          5        63,458.00
   COM
                                       7,662,042.50     298,250.00   X          6       298,000.00
                                                                     X          6                         250.00
   UNITED          Equity  910197102   5,670,731.46     563,691.00   X          3       294,091.00
   DOMINION
   RLTYTR COM
                                                                     X          3                     269,600.00
                                         210,636.28      20,938.00   X          5        20,938.00
   UNITED          Equity  910581107   3,962,643.30      66,465.00   X          5        66,465.00
   HEALTHCARE
   CORP COM
   UNITED ILLUM    Equity  910637107   5,078,950.00     129,400.00   X          3        71,000.00
   CO COM
                                                                     X          3                      58,400.00
                                         159,198.00       4,056.00   X          5         4,056.00
   UNITED PARCEL   Equity  911312106     409,423.83       6,500.00   X          6         5,700.00
   SERVICE
                                                                     X          6                         800.00
   US AIRWAYS      Equity  911905107     227,875.14       8,194.00   X          5         8,194.00
   GROUP INC COM
   U S INDS INC    Equity  912080108   1,737,902.04     157,134.00   X          5       157,134.00
   NEW COM
   US WEST INC     Equity  91273H101  12,350,846.50     170,075.00   X          3        52,450.00
   NEW COM
                                                                     X          3                     117,625.00
                                       6,193,033.60      85,280.00   X          5        85,280.00
   U S TR CORP     Equity  91288L105   1,043,934.35       5,515.00   X          5         5,515.00
   NEW COM
   UNITED          Equity  913004107     350,475.80       9,820.00   X          5         9,820.00
   STATIONERS INC
   COM
   UNITED          Equity  913017109  25,060,360.80     396,600.00   X          1       387,600.00
   TECHNOLOGIES
   CP COM
                                                                     X          1                                    9,000.00
                                      10,605,094.79     167,834.00   X          5       167,834.00
   UNITEDGLOBALC   Equity  913247508     693,779.58       9,243.00   X          5         9,243.00

   UnitedGlobal.comEquity  913247805   2,512,500.00      37,500.00   X          4        37,500.00
   Conv. Pfd.
   UNITRIN INC COM Equity  913275103     458,079.00      11,524.00   X          5        11,524.00
   UNIVERSAL       Equity  913456109   4,816,188.00     319,800.00   X          3       152,800.00
   CORP VA COM
                                                                     X          3                     167,000.00
                                         165,690.12      11,002.00   X          5        11,002.00
   UNIVERSAL       Equity  913538104   6,759,331.00     316,300.00   X          3       150,700.00
   FOODS CORP
   COM
                                                                     X          3                     165,600.00
                                         384,446.30      17,990.00   X          5        17,990.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 78               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   UNIVERSAL FST   Equity  913543104   5,427,956.00     438,800.00   X          3       188,400.00
   PRODS COM
                                                                     X          3                     250,400.00
                                          44,061.94       3,562.00   X          5         3,562.00
   UNIVISION       Equity  914906102   2,190,053.00      19,381.00   X          5        19,381.00
   COMMUNICATION
   - A
   UNOCAL CORP     Equity  915289102     648,817.75      21,809.00   X          5        21,809.00
   COM
                                     257,116,695.50   8,642,578.00   X          6     7,054,463.00
                                                                     X          6                   1,588,115.00
   UNUMPROVIDEN    Equity  91529Y106   7,673,820.00     453,000.00   X          2       453,000.00
   CORP COM
                                         242,563.86      14,319.00   X          5        14,319.00
   USFREIGHTWAYS   Equity  916906100   5,567,328.00     148,700.00   X          3        73,700.00
   CORP COM
                                                                     X          3                      75,000.00
                                         193,901.76       5,179.00   X          5         5,179.00
   UTILICORP UTD   Equity  918005109   1,875,639.36     103,856.00   X          5       103,856.00
   INC COM
   Utilicorp UnitedEquity  918005877   4,314,275.00     193,900.00   X          4       193,900.00
   Conv. Pfd.
   V F CORP COM    Equity  918204108     456,201.66      18,961.00   X          5        18,961.00
   VALASSIS        Equity  918866104  37,508,439.22   1,125,940.00   X          1     1,070,540.00
   COMMUNICATNS
   COM
                                                                     X          1                                   55,400.00
                                         440,164.67      13,213.00   X          5        13,213.00
   VALENCE         Equity  918914102     326,188.20      13,845.00   X          5        13,845.00
   TECHNOLOGY
   INC COM
   VALERO ENERGY   Equity  91913Y100   4,858,227.00     158,300.00   X          2       158,300.00
   CORP NEW COM
                                         417,291.93      13,597.00   X          5        13,597.00
   VALSPAR CORP    Equity  920355104     788,649.66      20,586.00   X          5        20,586.00
   COM
   VALUEVISION     Equity  92047K107     211,442.07       5,111.00   X          5         5,111.00
   INTL INC CL A
   VARIAN INC COM  Equity  922206107   7,164,612.50     186,700.00   X          1       156,100.00
                                                                     X          1                                   30,600.00
                                         279,638.63       7,287.00   X          5         7,287.00
   VARIAN          Equity  922207105   9,104,737.50     143,100.00   X          1       119,600.00
   SEMICONDUCTOR
                                                                     X          1                                   23,500.00
                                      17,388,712.50     273,300.00   X          2       273,300.00
                                         200,546.00       3,152.00   X          5         3,152.00
   VARIAN MEDICAL  Equity  92220P105     416,008.78       9,119.00   X          5         9,119.00
   SYSTEMS INC
   VASTAR RES INC  Equity  922380100     753,131.85      10,135.00   X          5        10,135.00
   COM
   VENTAS INC COM  Equity  92276F100      42,924.08      12,968.00   X          5        12,968.00
   VERIO INC COM   Equity  923433106     389,633.82       8,647.00   X          5         8,647.00
   Verio Inc. Conv.Equity  923433502   1,107,500.00      20,000.00   X          4        20,000.00
   Pfd. 144A
   VERITAS         Equity  923436109  92,373,864.00     705,144.00   X          1       674,769.00
   SOFTWARE CO
   COM
                                                                     X          1                                   30,375.00
                                      95,544,850.00     729,350.00   X          2       729,350.00
                                      12,146,844.00      92,724.00   X          5        92,724.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 79               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
                                         149,078.00       1,138.00   X          6         1,138.00
   VERITY INC COM  Equity  92343C106     312,960.00       7,680.00   X          5         7,680.00
   VERISIGN INC    Equity  92343E102  13,170,950.00      88,100.00   X          1        84,500.00
   COM
                                                                     X          1                                    3,600.00
                                      61,115,600.00     408,800.00   X          2       408,800.00
                                       1,764,698.00      11,804.00   X          5        11,804.00
                                          71,012.50         475.00   X          6           475.00
   VERITAS DGC     Equity  92343P107  12,004,428.00     426,900.00   X          2       426,900.00
   INC COM
                                          68,247.24       2,427.00   X          5         2,427.00
   VERTEX          Equity  92532F100     241,726.84       5,164.00   X          5         5,164.00
   PHARMACEUTICA
   COM
   VERTICALNET     Equity  92532L107     855,168.00       6,288.00   X          5         6,288.00
   INC COM
   VIACOM INC CL B Equity  925524308   7,648,064.25     144,987.00   X          5       144,987.00
   THE VIALINK CO  Equity  92552Q101  13,817,100.00     418,700.00   X          2       418,700.00
   VIAD CORP COM   Equity  92552R109     450,516.13      19,699.00   X          5        19,699.00
                                           4,574.00         200.00   X          6                         200.00
   VIA NET         Equity  925912107     664,075.00      25,000.00   X          1        25,000.00
   NETWORKS
   VIGNETTE CORP   Equity  926734104  80,253,200.00     500,800.00   X          2       500,800.00
   COM
                                         613,276.75       3,827.00   X          5         3,827.00
   VINTAGE PETE    Equity  927460105     333,388.40      16,570.00   X          5        16,570.00
   INC COM
   VISHAY          Equity  928298108  32,134,562.50     577,700.00   X          1       565,300.00
   INTERTECHNOLO
   COM
                                                                     X          1                                   12,400.00
                                       3,562,503.13      64,045.00   X          5        64,045.00
   VISUAL          Equity  928444108     288,800.75       5,089.00   X          5         5,089.00
   NETWORKS INC
   COM
   VITAL SIGNS INC Equity  928469105      57,602.34       2,511.00   X          5         2,511.00
   COM
                                         987,337.60      43,040.00   X          6        37,130.00
                                                                     X          6                       5,910.00
   VITESSE         Equity  928497106   3,560,095.00      36,988.00   X          5        36,988.00
   SEMICONDUCTOR
   COM
                                         142,450.00       1,480.00   X          6         1,480.00
   VIVUS INC COM   Equity  928551100     134,765.28      16,276.00   X          5        16,276.00
   VOICESTREAM     Equity  928615103   2,450,996.68      19,028.00   X          5        19,028.00
   WIRELESS COM
   VORNADO RLTY    Equity  929042109     743,298.00      22,188.00   X          5        22,188.00
   TR SH BEN INT
   VULCAN MATLS    Equity  929160109     569,418.30      12,430.00   X          5        12,430.00
   CO COM
   WFS FINL INC    Equity  92923B106   3,283,078.20     168,900.00   X          1       168,900.00
   COM
                                             622.02          32.00   X          5            32.00
   WPP GROUP PLC-  Equity  929309300     975,937.50      11,250.00   X          6        11,250.00
   SPONSORED ADR
   WABASH NATL     Equity  929566107   5,754,150.00     403,800.00   X          3       191,900.00
   CORP COM
                                                                     X          3                     211,900.00
                                         102,072.75       7,163.00   X          5         7,163.00
   WACHOVIA CORP   Equity  929771103   3,759,443.76      55,646.00   X          5        55,646.00
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 80               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   WADDELL &       Equity  930059100  22,349,198.40     792,300.00   X          1       744,000.00
   REED FINL CL A
                                                                     X          1                                   48,300.00
                                         330,287.47      11,709.00   X          5        11,709.00
   WAL MART        Equity  931142103  27,184,975.00     481,150.00   X          1       470,350.00
   STORES INC COM
                                                                     X          1                                   10,800.00
                                      88,642,850.00   1,568,900.00   X          2     1,568,900.00
                                      38,270,388.00     677,352.00   X          5       677,352.00
                                         148,877.50       2,635.00   X          6         2,635.00
   WALGREEN CO     Equity  931422109   5,508,079.50     213,906.00   X          5       213,906.00
   COM
   WALLACE         Equity  932270101   5,501,098.00     465,800.00   X          3       219,300.00
   COMPUTER SVCS
   COM
                                                                     X          3                     246,500.00
                                          83,650.23       7,083.00   X          5         7,083.00
                                       7,272,184.65     615,765.00   X          6       580,615.00
                                                                     X          6                      35,150.00
   WARNACO         Equity  934390105     204,773.59      17,339.00   X          5        17,339.00
   GROUP INC CL A
   WARNER          Equity  934488107  28,720,272.00     294,000.00   X          1       287,100.00
   LAMBERT CO
   COM
                                                                     X          1                                    6,900.00
                                      19,128,384.97     195,811.00   X          5       195,811.00
   WASHINGTON      Equity  938824109   6,474,300.80     339,680.00   X          3       180,250.00
   FED INC COM
                                                                     X          3                     159,430.00
                                         111,215.10       5,835.00   X          5         5,835.00
   WASHINGTON      Equity  938837101   6,280,890.00     231,000.00   X          3       113,900.00
   GAS LT CO COM
                                                                     X          3                     117,100.00
                                         175,538.64       6,456.00   X          5         6,456.00
   WASHINGTON      Equity  939322103  13,886,000.00     524,000.00   X          2       524,000.00
   MUTUAL INC.
                                       4,415,377.00     166,618.00   X          5       166,618.00
                                         186,984.00       7,056.00   X          6         7,056.00
   WASHINGTON      Equity  939640108   1,048,999.00       1,939.00   X          5         1,939.00
   POST CO CL B
   WASHINGTON R    Equity  939653101     195,120.00      13,008.00   X          5        13,008.00
   EST IN TR SH
   BEN IN
   WASTE MGMT      Equity  94106L109   1,592,927.33     116,357.00   X          5       116,357.00
   INC DEL COM
                                     343,691,557.00  25,105,300.00   X          6    20,302,126.00
                                                                     X          6                   4,803,174.00
   WATCHGUARD      Equity  941105108  16,911,000.00     187,900.00   X          2       187,900.00
   TECHNOLOGIES
   INC
   WATERS CORP     Equity  941848103  98,441,446.50   1,033,506.00   X          1       989,706.00
   COM
                                                                     X          1                                   43,800.00
                                      38,528,625.00     404,500.00   X          2       404,500.00
                                       1,482,280.50      15,562.00   X          5        15,562.00
                                      12,477,750.00     131,000.00   X          6       116,700.00
                                                                     X          6                      14,300.00
   WATSON          Equity  942683103   1,205,782.20      30,380.00   X          5        30,380.00
   PHARMACEUTICA
   COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 81               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   WAUSAU-         Equity  943315101   6,088,114.72     470,488.00   X          3       207,188.00
   MOSINEE PAPER
   COM
                                                                     X          3                     263,300.00
                                         263,471.34      20,361.00   X          5        20,361.00
   WEATHERFORD     Equity  947074100  23,604,750.00     403,500.00   X          2       403,500.00
   INTL INC COM
                                       1,333,858.50      22,801.00   X          5        22,801.00
   WEBMETHODS      Equity  94768C108   1,689,625.00       7,000.00   X          1         7,000.00
   INC
   WEBLINK         Equity  94769A101     148,326.78      11,094.00   X          5        11,094.00
   WIRELESS INC
   CL A
   WEBTRENDS       Equity  94844D104  11,001,600.00     152,800.00   X          1       127,700.00
   CORP COM
                                                                     X          1                                   25,100.00
                                          38,952.00         541.00   X          5           541.00
   WELLPOINT HLT   Equity  94973H108   4,242,716.01      60,723.00   X          5        60,723.00
   NETW NEW COM
   WELLS FARGO &   Equity  949746101  24,464,710.75     600,361.00   X          5       600,361.00
   CO DEL COM
                                   1,344,603,870.50  32,996,414.00   X          6    27,761,854.00
                                                                     X          6                   5,234,560.00
   WERNER          Equity  950755108     176,290.00      10,370.00   X          5        10,370.00
   ENTERPRISES
   INC COM
   WESTAMERICA     Equity  957090103   4,775,775.00     172,100.00   X          1       143,800.00
   BANCORP COM
                                                                     X          1                                   28,300.00
                                         154,151.25       5,555.00   X          5         5,555.00
   WESTELL         Equity  957541105  18,545,153.00     581,900.00   X          2       581,900.00
   TECHNOLOGIES
   CL A
                                          13,959.06         438.00   X          5           438.00
   WESTCORP INC    Equity  957907108   1,801,800.00     128,700.00   X          1       128,700.00
   COM
                                          18,914.00       1,351.00   X          5         1,351.00
   WESTERN         Equity  958102105     183,812.64      24,706.00   X          5        24,706.00
   DIGITAL CORP
   COM
   WESTERN INVT    Equity  959261108     183,690.25      17,921.00   X          5        17,921.00
   RL EST TR SH
   BEN IN
   WESTERN RES     Equity  959425109   7,942,944.00     502,400.00   X          2       502,400.00
   INC COM
                                       1,062,352.95      67,195.00   X          5        67,195.00
   WESTERN         Equity  95988E204     503,680.95      10,995.00   X          5        10,995.00
   WIRELESS CORP
   CL A
   WESTINGHOUSE    Equity  960386100   5,295,132.00     498,600.00   X          3       253,200.00
   AIR BRAKE COM
                                                                     X          3                     245,400.00
                                           4,248.00         400.00   X          5           400.00
   WESTPOINT       Equity  961238102     248,520.00      13,080.00   X          5        13,080.00
   STEVENS INC
   COM
   WESTVACO        Equity  961548104  44,695,778.00   1,339,400.00   X          3       890,100.00
   CORP COM
                                                                     X          3                     449,300.00
                                         518,469.69      15,537.00   X          5        15,537.00
   WESTWOOD        Equity  961815107  34,557,125.00     953,300.00   X          1       870,800.00
   ONE INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 82               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                                   82,500.00
                                       1,213,831.25      33,485.00   X          5        33,485.00
   WEYERHAEUSER    Equity  962166104   3,777,789.00      66,277.00   X          5        66,277.00
   CO COM
   WHIRLPOOL       Equity  963320106  36,640,431.00     625,050.00   X          3       480,150.00
   CORP COM
                                                                     X          3                     144,900.00
                                       1,983,935.28      33,844.00   X          5        33,844.00
   WHITEHALL       Equity  965063100  12,607,750.00     536,500.00   X          2       536,500.00
   JEWELLERS COM
                                           1,034.00          44.00   X          5            44.00
   WHITMAN CORP    Equity  96647R107     368,615.42      26,443.00   X          5        26,443.00
   COM
                                       3,146,258.00     225,700.00   X          6       189,800.00
                                                                     X          6                      35,900.00
   WHOLE FOODS     Equity  966837106     255,684.80       6,170.00   X          5         6,170.00
   MKT INC COM
   WILLAMETTE      Equity  969133107  36,786,600.00     916,800.00   X          1       861,000.00
   INDS INC COM
                                                                     X          1                                   55,800.00
                                       1,354,018.13      33,745.00   X          5        33,745.00
   WILLIAMS COS    Equity  969457100   2,058,632.94      46,851.00   X          5        46,851.00
   INC DEL COM
                                          87,880.00       2,000.00   X          6         1,000.00
                                                                     X          6                       1,000.00
   WILLIAMS-       Equity  969904101  15,565,100.00     502,100.00   X          2       502,100.00
   SONOMA INC
                                         389,174.00      12,554.00   X          5        12,554.00
   WILMINGTON      Equity  971807102     235,661.14       4,847.00   X          5         4,847.00
   TRUST CORP
   COM
   WIND RIVER      Equity  973149107     437,102.50      12,058.00   X          5        12,058.00
   SYSTEMS INC
   COM
   WINN DIXIE      Equity  974280109     274,453.92      14,118.00   X          5        14,118.00
   STORES INC COM
   WINSTAR         Equity  975515107  69,075,000.00   1,151,250.00   X          2     1,149,750.00
   COMMUNICATION
   COM
                                                                     X          2                       1,500.00
                                         484,560.00       8,076.00   X          5         8,076.00
   WISCONSIN       Equity  976592105     141,426.25      11,545.00   X          5        11,545.00
   CENT TRANSN
   COM
   WISCONSIN       Equity  976657106     353,596.02      17,733.00   X          5        17,733.00
   ENERGY CORP
   COM
   WITNESS         Equity  977424100     151,875.00       5,000.00   X          1         5,000.00
   SYSTEMS INC
                                       9,838,462.50     323,900.00   X          2       323,900.00
   WORLD ACCESS    Equity  98141A101     198,924.48      10,404.00   X          5        10,404.00
   INC COM
   WORLD FUEL      Equity  981475106   4,977,618.75     680,700.00   X          3       395,500.00
   SVCS CORP
                                                                     X          3                     285,200.00
   WORLDGATE       Equity  98156L307  21,447,810.00     713,500.00   X          2       712,300.00
   COMM INC COM
                                                                     X          2                       1,200.00
                                              90.18           3.00   X          5             3.00
   WORTHINGTON     Equity  981811102     430,908.95      34,835.00   X          5        34,835.00
   INDS INC COM
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 83               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   R            ---------------------------------------
                    Class                Value          Amount     E D.V D.Othr            Sole        Shared         None
- -----------------------------------------------------------------------------------------------------------------------------
<S>                <C>     <C>       <C>             <C>           <C> <C> <C> <C>    <C>           <C>             <C>
   WRIGLEY WM JR   Equity  982526105   1,358,461.66      17,686.00   X          5        17,686.00
   CO COM
                                       1,313,451.00      17,100.00   X          6         6,400.00
                                                                     X          6                      10,700.00
   WYNDHAM INTL    Equity  983101106      47,200.67      25,241.00   X          5        25,241.00
   INC CL A
   XILINX INC COM  Equity  983919101 118,418,300.00   1,430,000.00   X          2     1,430,000.00
                                       7,162,733.76      86,496.00   X          5        86,496.00
                                         132,496.00       1,600.00   X          6         1,600.00
   XIRCOM INC COM  Equity  983922105     281,163.00       7,599.00   X          5         7,599.00
   XEROX CORP      Equity  984121103   1,903,356.00      73,206.00   X          5        73,206.00
   COM
   YAHOO INC COM   Equity  984332106  94,253,500.00     550,000.00   X          2       550,000.00
                                      10,680,463.88      62,324.00   X          5        62,324.00
   YORK INTL CORP  Equity  986670107     146,857.08       6,284.00   X          5         6,284.00
   NEW COM
                                         586,587.00      25,100.00   X          6        20,900.00
                                                                     X          6                       4,200.00
   YOUNG &         Equity  987425105  28,519,600.00     606,800.00   X          2       605,800.00
   RUBICAM INC
   COM
                                                                     X          2                       1,000.00
                                         250,651.00       5,333.00   X          5         5,333.00
                                      12,379,800.00     263,400.00   X          6       233,400.00
                                                                     X          6                      30,000.00
   ZALE CORP NEW   Equity  988858106     339,626.43       7,197.00   X          5         7,197.00
   COM
   ZEBRA           Equity  989207105     494,900.00       9,898.00   X          5         9,898.00
   TECHNOLOGIES
   CP CL A
   ZENITH NATL INS Equity  989390109     382,200.56      17,224.00   X          5        17,224.00
   CORP COM
   ZIONS           Equity  989701107     510,552.54      12,267.00   X          5        12,267.00
   BANCORPORATIO
   COM
   ZORAN CORP      Equity  98975F101   2,646,711.00      47,000.00   X          1        47,000.00
             COM
   ACE LTD ORD     Equity  G0070K103  41,724,000.00   1,824,000.00   X          1     1,710,000.00
                                                                     X          1                                  114,000.00
                                      26,450,362.50   1,156,300.00   X          2     1,156,300.00
                                      99,031,387.88   4,329,241.00   X          6     3,564,531.00
                                                                     X          6                     764,710.00
   AMDOCS LTD      Equity  G02602103  91,271,600.00   1,233,400.00   X          1     1,175,200.00
                                                                     X          1                                   58,200.00
                                      29,903,400.00     404,100.00   X          2       404,100.00
   ANNUITY AND     Equity  G03910109   7,014,800.00     269,800.00   X          2       269,800.00
   LIFE RE HLDGS
                                       8,617,362.00     331,437.00   X          6       307,967.00
                                                                     X          6                      23,470.00
   EVEREST RE      Equity   G3223R10  11,444,850.00     350,800.00   X          2       350,800.00
   GROUP LTD
                                      15,301,125.00     469,000.00   X          6       385,200.00
                                                                     X          6                      83,800.00
   FLAG TELECOM    Equity  G3529L102     565,625.00      25,000.00   X          1        25,000.00
   HOLDINGS LTD
   GEMSTAR INTL    Equity  G3788V106  27,382,400.00     318,400.00   X          1       311,200.00
   GROUP LTD
                                                                     X          1                                    7,200.00
                                     263,435,200.00   3,063,200.00   X          2     3,062,000.00
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
Page: 84               Form 13F              Reporting Manager:  Pimco Advisors L.P.   I.D. # 28-2701              Qtr 1 2000
- -----------------------------------------------------------------------------------------------------------------------------
                                                                   Item 6 Inv.
                                                                   Discretion  Item 7                    Item 8
       Item 1       Item 2   Item 3      Item 4         Item 5     S S   S    Managers               Voting Authority
       Name of      Title    Cusip        Fair         Shares or   O H   H     Instr.V                  (Shares)
       Issuer        of      Number      Market        Principal   L R   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                       1,200.00
                                         172,860.00       2,010.00   X          6         2,010.00
   LORAL SPACE     Equity  G56462107   9,861,750.00     974,000.00   X          2       974,000.00
   COMMUNICATION

   PARTNER RE LTD  Equity  G6852T105     267,810.94       7,275.00   X          6         7,275.00
   RENAISSANCERE   Equity   G7496G10  27,325,101.00     668,504.00   X          6       634,734.00
   HOLDINGS LTD
                                                                     X          6                      33,770.00
   TRITON ENERGY   Equity  G90751101   7,019,612.60     200,200.00   X          1       167,100.00
   LTD-ORD CL A
                                                                     X          1                                   33,100.00
   XL CAPITAL      Equity  G98255105 505,964,033.00   9,137,048.00   X          6     7,628,232.00
   LIMITED CL A
                                                                     X          6                   1,508,816.00
   MILLICOM INTL   Equity  L6388F102   8,570,787.50     150,200.00   X          2       150,200.00
   CELLULAR S.A.
   CHECK POINT     Equity  M22465104  28,567,437.50     167,000.00   X          2       167,000.00
   SOFTWARE TECH
   GILAT SATELLITE Equity  M51474100  23,485,175.00     200,300.00   X          2       200,300.00
   NETWORKS LTD
   TECNOMATIX      Equity   M8743P10   3,374,575.00      77,800.00   X          1        77,800.00
   TECHNOLOGIES
   INC ORD
   ASM             Equity  N07059111  98,971,387.50     885,650.00   X          2       885,650.00
   LITHOGRAPHY
   HOLDINGS NV
                                         134,100.00       1,200.00   X          6         1,200.00
   CNH GLOBAL N.V. Equity  N20935107  17,036,350.00   1,725,200.00   X          2     1,725,200.00
   METRON          Equity  N5665B105   6,333,600.00     301,600.00   X          2       301,600.00
   TECHNOLOGY
   N.V.
                          Total Market V55,272,616,211.05
</TABLE>


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