PUTNAM CAPITAL MANAGER TRUST /MA/
N-30D, 1996-09-04
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Putnam
Capital
Manager
Trust


SEMIANNUAL REPORT
June 30, 1996

*  PCM Voyager Fund
*  PCM Global Growth Fund
*  PCM Growth and Income Fund
*  PCM Global Asset Allocation Fund
*  PCM High Yield Fund
*  PCM U.S. Government and High Quality Bond Fund
*  PCM Money Market Fund
*  PCM Utilities Growth and Income Fund
*  PCM Diversified Income Fund
*  PCM New Opportunities Fund
*  PCM Asia Pacific Growth Fund

A series of mutual fund portfolios for variable insurance product 
investors


[LOGO: BOSTON * LONDON * TOKYO]


To the shareholders of Putnam Capital Manager Trust


Global equities generally outperformed fixed-income securities as 
positive economic conditions in many countries boosted corporate 
earnings -- and stock prices -- during the first half of Putnam Capital 
Manager Trust's current fiscal year. For the period, the six months 
ended June 30, 1996, the U.S. stock market led global equity 
performance. Europe's high-yielding bond markets were the star 
performers in the fixed-income arena. Each country's markets, of course, 
responded to the unique interplay of economic, political, and interest-
rate conditions. Putnam's teamwork approach to portfolio management 
enhanced the ability of analysts and portfolio managers to seek optimum 
advantage from the investment opportunities that presented themselves 
during the period. 


EQUITIES

* United States Spurred by healthy consumer confidence, the U.S. economy 
remained strong throughout the period. The stock market followed suit, 
although its progress was interrupted by occasional episodes of short-
term volatility. Some of the market's unrest was the result of ongoing 
concern about the timing of a Federal Reserve Board interest-rate 
increase. Overall, stocks of earnings-driven growth companies -- 
particularly stocks of smaller companies -- outperformed value and 
cyclical issues, although earnings disappointments, excessive 
valuations, and rising interest rates resulted in a sharp correction for 
growth stocks just after the period's close. Technology and consumer 
cyclical stocks registered strong performance for the period, while 
financial services and health-care sectors underperformed. 

* Europe Returns from European stock markets varied during the period, 
although most showed improvement. Lower interest rates boosted some 
markets. So did a new focus on corporate efficiency and shareholder 
value a la the belt-tightening that U.S. corporations have undergone 
over the past few years. Markets in Italy, Spain, Ireland, Switzerland, 
and the Netherlands were all strong performers. The U.K. was the weakest 
of the major bourses as investors became increasingly concerned about 
the negative impact of a change in government.

* Pacific Rim Low interest rates and growing economic strength led the 
Japanese stock market to its highest level in more than two years. 
Elsewhere around the Pacific Rim, stock markets showed little change, 
with two key exceptions: Hong Kong and Singapore. Hong Kong remained one 
of the area's most attractive markets as investors bid up property and 
stock values in anticipation of its return to Chinese control in 1997. 
Singapore's market underperformed significantly during the period as a 
result of weakness in corporate earnings. In Australia, recent 
underperformance could soon change as the new fiscally conservative 
government institutes reforms that could help the corporate sector and, 
in turn, boost stock prices.


FIXED INCOME

* United States The economy's ongoing strength created a difficult 
environment for all fixed-income securities during the period. The 
release of robust employment statistics put upward pressure on Treasury 
bond yields throughout the period, causing prices to lag those in other 
bond market sectors. Treasury bond prices did recover somewhat in a 
week-long rally toward the end of June, although yields were higher for 
the period overall. High-yield corporate bonds led U.S. fixed-income 
performance, followed by mortgage-backed and asset-backed securities. 
Within the U.S. government sector, mortgage-backed securities 
outperformed Treasuries, helped by a decline in mortgage prepayments and 
reduced market volatility. 

* Global International fixed-income markets produced relatively 
lackluster returns during the first half of fiscal 1996 as concerns 
about accelerating economic activity, particularly in the United States 
and Japan, dominated market activity. Europe's higher-yielding bond 
markets, which include those of Italy, Spain, and Sweden, maintained 
their momentum, consistently leading all other global markets throughout 
the period. Core European markets, particularly in Germany and the 
Netherlands, performed in the middle of the pack in local currency 
terms, while strong economic growth and an easy monetary policy 
depressed Japanese bond returns. 

* High Yield Buoyed by the improving U.S. economy, high-yield bonds 
provided the highest returns in the domestic fixed-income markets. Hand 
in hand with the economy's continued vigor came increased corporate 
profitability, which, in turn, improved the creditworthiness of high-
yield bond issuers. Equity market strength led to new stock issues, with 
many issuers using proceeds to pay down debt, further reducing the 
number of outstanding high-yield bonds. Continued strong demand enhanced 
the value of those that remained. Putnam Management anticipates that 
high-yield securities will continue to perform well as long as the 
economy remains strong and equity markets maintain their performance 
momentum. 

<TABLE>
<CAPTION>

PERFORMANCE SUMMARY
- ---------------------------------------------------------------------------------------
<S>            <C>       <C>      <C>          <C>             <C>     <C>
Total return   PCM       PCM      PCM          PCM             PCM     PCM                
at net asset   Voyager   Global   Growth and   Global          High    U.S. Government    
value (as of   Fund      Growth   Income       Asset Alloca-   Yield   and High Quality   
6/30/96)*                Fund     Fund         tion Fund       Fund    Bond Fund          

 .......................................................................................
6 months       11.96%     9.71%     9.16%        6.30%         5.15%     -3.01%           
 .......................................................................................
1 year         34.13     21.47     25.67         17.91        13.01       4.52            
 .......................................................................................
5 years       158.22     79.87    102.18         76.62        99.14      51.53            
 .......................................................................................
Annualized     20.88     12.45     15.11         12.04        14.76       8.66            
 .......................................................................................
Life (since 
    2/1/88)   298.87     76.81+   231.84        138.57       139.46      99.79            
 .......................................................................................
Annualized     17.88     9.68      15.33         10.89        10.94       8.58            
- ---------------------------------------------------------------------------------------


PERFORMANCE SUMMARY (continued)
- ---------------------------------------------------------------------------------------
<S>            <C>       <C>           <C>          <C>              <C>
Total return    PCM      PCM           PCM           PCM             PCM
at net asset    Money    Utilities     Diversified   New             Asia
value (as of    Market   Growth and    Income        Opportunities   Pacific
6/30/96)*       Fund     Income Fund   Fund          Fund            Growth
                                                                     Fund
 .......................................................................................
6 months         2.46%       5.63%       1.38%        15.99%          6.03%
 .......................................................................................
1 year           5.24       21.55        8.56         44.58          10.01
 .......................................................................................
5 years         22.66          --          --            --             --
 .......................................................................................
Annualized       4.17          --          --            --             --
 .......................................................................................
Life (since                              
    2/1/88)     57.45        54.48##    18.32#        81.82**         8.47++
 .......................................................................................
Annualized       5.55        11.01       6.21         31.79           7.22
- ---------------------------------------------------------------------------------------

*  All total return figures are at net asset value. The charges and expenses at the insurance company separate account level are
   not reflected. Past performance is not indicative of future results.
+  Date of inception: May 1, 1990.
## Commencement of operations:  May 4, 1992. The fund's inception date was May 1, 1992. 
#  Date of inception: September 15, 1993. An expense limitation was in effect during the period; without the limitation, total 
   return would have been lower. 
** Date of inception: May 2, 1994. 
++ Date of inception: May 1, 1995. An expense limitation was in effect during the period; without the limitation, total return 
   would have been lower. 
</TABLE>


PCM Voyager Fund

Driven by strong earnings and economic growth, the stocks held in PCM 
Voyager Fund significantly outpaced the advancing market to turn in 
another outstanding performance. Total return at net asset value was 
11.96 % for the six months ended June 30, 1996.

During the first half of fiscal 1996, all three of the fund's portfolio 
segments -- foundation growth, premier growth, and opportunity -- 
tallied positive returns. In a rising market punctuated by some 
volatility, the foundation growth segment witnessed particularly robust 
performance. This portion of the portfolio encompasses stocks of small 
to midsize companies selected for exceptional earnings growth potential. 
In fact, it was this strong relative earnings growth that fueled the 
segment's stellar performance during the period. Premier growth stocks, 
which are similar to foundation growth stocks but have a larger average 
size, were the fund's second-best performers. Opportunity stocks -- 
stocks of larger companies currently making positive changes such as 
new-product development, improving productivity, and the like -- also 
contributed to fund returns.

In terms of industry sectors, a continued emphasis on 
telecommunications, business services, selected specialty retailers, and 
health-care issues positioned the fund in the market's strongest areas. 
In the technology sector, the fund reduced its positions in 
semiconductor and related stocks, which have underperformed in recent 
months.

Over the intermediate and long term, fund management remains convinced 
that growth stocks will continue to provide handsome returns, although 
present valuations have risen along with expectations. There may also be 
some short-term volatility, which management would use as an opportunity 
to add attractively priced issues to the portfolio.


- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Capital appreciation

- ------------------------------------------------------------------------
PORTFOLIO

Stocks of "emerging growth" companies with significant growth potential 
and established companies with positive growth prospects

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                   $32.24

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


PCM Global Growth Fund

Buoyed by a moderately upbeat investing environment and vigorous inflows 
of cash, many stock markets around the world have been relatively strong 
over the past several months. Astute stock selection and sector 
strategies enabled PCM Global Growth Fund to capitalize on this positive 
climate. Accordingly, the fund tallied an 9.71% total return at net 
asset value for the six months ended June 30, 1996.

Stock market and economic conditions differed markedly from region to 
region during the period. U.S. equities led other global markets and the 
fund's domestic investments easily outperformed the broad market 
averages. In Asia, strong economic growth in yen terms took the Japanese 
stock market up to levels not seen in more than two years, although most 
Southeast Asian stock markets showed little change. Two exceptions were 
Hong Kong, where stocks gained in response to strong earnings reports 
and eased tensions with China, and Singapore, where the market fell by 
3.22%. The portfolio was hedged against the yen, which helped offset the 
dollar's decline against the yen.

In Europe, interest-rate reductions boosted some markets, along with a 
new emphasis on corporate efficiency and shareholder value. The 
portfolio's overweighting in Italian and Spanish stocks served the fund 
well as did those of the Netherlands and Ireland. The portfolio's 
underweight position in the U.K. market minimized the negative effects 
of what was the worst performance among the major stock markets. 
Recently, fund management scaled back the portfolio's holdings in Spain 
largely for political considerations. While results of a recent Spanish 
election were less clear-cut than hoped, the fund's managers decided to 
take profits in stocks whose prices had reached their initial 
projections.

Looking ahead, management is cautiously optimistic about the potential 
for many global stock markets in the coming months and has reduced U.S. 
holdings somewhat as international markets have become relatively more 
attractive. Fund management will continue to evaluate market conditions 
carefully and remains convinced that global markets will stay on their 
course of growth.

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Capital appreciation

- ------------------------------------------------------------------------
PORTFOLIO

An internationally diversified common stock portfolio

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                   $15.80

- ------------------------------------------------------------------------
Foreign investments may be subject to certain risks, such as currency 
fluctuations and political developments, that are not present with 
domestic investments.


PCM Growth and Income Fund

During the semiannual period, PCM Growth and Income Fund once again 
demonstrated the positive effect that careful security selection, backed 
by meticulous fundamental analysis, can have on a portfolio. For the six 
months ended June 30, 1996, the fund delivered a total return at net 
asset value of 9.16%.

As the markets, the economy, and fiscal policymakers were sending out 
mixed signals, the time-tested value-oriented strategy that has served 
the fund so well proved especially beneficial. Fund management invests 
for long-term total return by focusing on undervalued stocks and stocks 
of companies with the potential for positive change -- a basic-value 
approach to equity investing that has driven the fund's performance 
since operations began on February 1, 1988.

Perhaps the most significant portfolio shift during the period was an 
increased emphasis on automotive and retail stocks. The specific stocks 
fund management identified in both sectors offered a winning combination 
of attractive price and solid appreciation potential. The managers' 
purchasing decisions were well rewarded, since retail and automotive 
holdings were the top performers over the period. The fund's investments 
in the chemical sector, an area management chose to emphasize throughout 
the period, also proved beneficial.

The fund's interest-rate-sensitive stock holdings did not fare as well. 
Rising interest rates adversely affected this sector, especially 
electric and telephone utility stocks, which performed weakly. Despite 
the interest-rate backup, however, portfolio holdings in the insurance 
and financial sectors were not directly affected and several of these 
stocks contributed significantly to returns.

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Capital growth and current income

- ------------------------------------------------------------------------
PORTFOLIO

Primarily common stocks and convertible securities

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                    $21.99

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


PCM Global Asset Allocation Fund

During the first half of fiscal 1996, all three portfolio sectors of PCM 
Global Asset Allocation Fund exemplified the benefits of investing in a 
globally oriented portfolio of stocks and fixed-income securities. Total 
return at net asset value was 6.30% for the six months ended June 30, 
1996.

The fund's overweight position in U.S. equities provided excellent 
returns during the period. This market turned in decisive gains even as 
interest rates rose rather sharply. Overall, growth stocks were 
particularly strong performers, benefiting from solid gains in corporate 
earnings derived from the robust economy. These issues did correct 
rather sharply in June, however, as equity investors became increasingly 
concerned about some earnings disappointments, excessive valuations, and 
rising interest rates.

Faltering under the impact of a stronger-than-expected economy and 
unanticipated interest rate increases, the U.S. bond market turned in a 
less impressive performance. Among fixed-income sectors, high-yield 
corporate bonds were the clear leaders as increased corporate 
profitability improved the creditworthiness of many high-yield bond 
issuers just as investor demand remained extremely strong. The U.S. 
government sector remained rather soft during the period, although it 
did recover somewhat in a late-June rally. The fund's more neutral bond 
allocation during the period reduced exposure to this market, allowing 
the fund to capitalize on opportunities in the better-performing 
domestic and foreign stock markets.

International stocks easily outperformed bonds, with the Japanese market 
rising to levels not seen in more than two years. In addition to solid 
gains among Japanese holdings, the portfolio enjoyed excellent returns 
from stocks in France, Switzerland, and the Netherlands. Europe's 
higher-yielding bond markets, including those of Italy, Spain, and 
Sweden, remained strong performers; fixed-income U.K. holdings also did 
well.

Given the U.S. stock market's sharp gains in 1995 and continued strength 
so far in 1996, fund management believes these issues may now be fully 
valued. As a result, the managers have begun to increase the portfolio's 
international equities position. On the fixed-income side, a reduced 
exposure to the U.S. government sector and greater international 
holdings should position the fund well for what lies ahead.

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

A high level of long-term total return consistent with preservation of 
capital

- ------------------------------------------------------------------------
PORTFOLIO

A managed asset allocation portfolio spread across domestic and 
international stock and bond markets

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                    $15.86
- ------------------------------------------------------------------------

Foreign investments may be subject to certain risks, such as currency 
fluctuations and political developments, that are not present with 
domestic investments.


PCM High Yield Fund

A combination of astute strategic moves and favorable market conditions 
contributed to PCM High Yield Fund's positive performance, producing a 
5.15% total return at net asset value for the six months ended June 30, 
1996. Demand for high-yield securities was extremely strong throughout 
the period as investors became increasingly convinced that a recession 
was unlikely in 1996. In addition, the market was able to absorb an 
exceptionally high level of new issuance while still outperforming other 
fixed-income categories. This fact attests further to the seemingly 
insatiable investor demand for the high-yield securities in today's 
market. Another indicator of market demand was the relatively strong 
level of new cash flows into high-yield funds compared with the flows 
into other types of bond funds.

The fund's investment strategy for the period capitalized on these 
positive market conditions. Its focus on growth-oriented sectors of the 
high-yield market, such as telecommunications, proved particularly 
beneficial. Although the long-awaited passage of the telecommunications 
deregulation bill and the vast amounts of new issuance that followed 
caused this sector to underperform other high-yield sectors, several 
fund holdings performed extremely well. The fund also continued to 
benefit from its exposure to the gaming industry. Retailers represented 
another substantial sector concentration and one that contributed much 
to performance. 

Indications of stronger-than-anticipated economic growth may provide 
continuing support for the high-yield market in the months to come. A 
stronger economy typically translates into improving cash flows for many 
high-yield issuers, enabling them to meet their debt payments more 
easily. Although the outlook for interest rates remains somewhat 
uncertain, management believes the coupon income currently available 
from high-yield bonds is attractive even in light of the risk of rising 
rates and their potential impact on high-yield issuers.

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

High current income, with a secondary objective of capital appreciation

- ------------------------------------------------------------------------
PORTFOLIO

Primarily high-yielding, lower-rated corporate bonds and notes

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                    $12.08

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

High-yield securities are rated lower than investment-grade securities 
because there is a greater possibility that negative changes in the 
issuer's financial condition or in general economic conditions may 
hinder the issuer's ability to pay principal and interest on the 
securities.


PCM U.S. Government and High Quality Bond Fund

Well-timed adjustments to duration and portfolio holdings helped 
mitigate the damage but could not entirely overcome the challenging 
market environment that prevailed during PCM U.S. Government and High 
Quality Bond Fund's semiannual period. For the six months ended June 30, 
1996, the fund tallied a -3.01% total return at net asset value.

As the U.S. economy continued to show above-average growth during the 
period, the bond market remained unsettled, and strong performance 
eluded most fixed-income securities. The market reacted negatively to 
each fresh release of positive economic data, particularly employment 
numbers. The generally stronger performance of foreign bonds, especially 
those of Germany and Italy, helped considerably in limiting the extent 
of the decline.

Corporate bonds outperformed comparable Treasuries throughout the period 
because of continued strong demand and tight supply. Supply shrank as 
companies slowed the pace of refinancing in the face of a more uncertain 
economic outlook. Demand rose on surprisingly strong fundamentals: sales 
and profits were fairly robust, particularly in the automotive and hard 
goods sectors; inventories have decreased; and employment levels are 
rising. Asset-backed securities represented the top-performing sector in 
the investment-grade corporate bond market, and the fund's overweighted 
position in this area helped boost performance.

In the portfolio's U.S. government securities sector, fund management 
took a defensive tack, shortening overall duration in order to decrease 
sensitivity to rising interest rates. The fund did take advantage of an 
outperforming mortgage-backed securities market relative to U.S. 
Treasury bonds by selling some GNMA holdings and buying Treasuries. The 
fund's Treasury position has been modestly barbelled with holdings 
concentrated in the shorter and longer ends of the maturity spectrum in 
order to benefit from the flattening yield curve.

Given management's expectation of more moderate economic growth ahead, 
the portfolio's duration was recently moved to a more neutral stance. 
Fund management also plans to look for opportunities to increase the 
mortgage-backed securities position in the months ahead. 

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Current income consistent with preservation of capital

- ------------------------------------------------------------------------
PORTFOLIO

Securities issued or backed by the full faith and credit of the U. S. 
government or its agencies or instrumentalities plus corporate bonds 
rated A or above

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                  $12.51

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


PCM Money Market Fund

During the six months ended June 30, 1996, PCM Money Market Fund once 
again delivered a competitive return. In a period marked by uncertainty 
and some volatility, fund management's prudent approach and focus on 
superior quality short-term investments continued to provide 
contractholders with the steady income stream and stable $1.00 net asset 
value that have been hallmarks since inception. The fund's overriding 
strategy is to preserve net asset price and income stream regardless of 
market and economic conditions. 

This strategy continued to serve the fund well during the volatility of 
the semiannual period. Foreseeing the potential for such volatility, 
fund management had earlier shifted the fund's portfolio into holdings 
with shorter maturities. This move gave the fund a considerable 
advantage over many other money market funds by positioning the fund to 
take advantage of incrementally higher yields as interest rates began to 
rise. At the same time, management's continuous focus on money market 
instruments of the highest quality -- in this period, predominantly 
high-quality corporate issues -- positioned the portfolio to ride out 
any additional volatility that might yet occur. 

Credit analysis and diversification remain two of the fund's most 
important tools for maintaining solid performance and superior quality. 
In today's complex economic environment, fund management believes its 
stringent investment standards and well-diversified portfolio are 
especially important in preserving the fund's consistent and positive 
results.

Of course, management will continue to monitor interest rates, the 
market, and the economy carefully in the months ahead. Given the 
market's uncertainty about inflation, business, and the future direction 
of interest rates, the manager believes the fund's conservative strategy 
and shortened average duration position it prudently for what lies 
ahead. 

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Current income consistent with preservation of capital and maintenance 
of liquidity

- ------------------------------------------------------------------------
PORTFOLIO

Primarily high-quality money market instruments

- ------------------------------------------------------------------------
NET ASSET VALUE
June 30, 1996                                                    $1.00

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

An investment in PCM Money Market Fund, in which the fund invests, is 
neither insured nor guaranteed by the U.S. government. There can be no 
assurance that PCM Money Market Fund will be able to maintain a stable 
net asset value of $1.00. 


PCM Utilities Growth and Income Fund

In a period that was rife with challenges for utility investors, a 
dynamic asset diversification strategy and an ability to identify 
sectors poised for recovery contributed to the positive performance of 
PCM Utilities Growth and Income Fund during its semiannual period. For 
the six months ended June 30, 1996, the fund posted a total return of 
5.63% at net asset value.

Allocating portfolio holdings among different sectors of the utility 
industries and including some nonutility securities are the cornerstones 
of management's proactive approach. In recent months, fund management 
believed this diversification strategy was essential in protecting the 
value of the portfolio from the impact of rising interest rates -- an 
important consideration, since utilities, especially electric utilities, 
tend to be highly sensitive to interest-rate changes.

In the equities portion of the portfolio, management recently built up 
holdings in telephone stocks, and continues to believe that long-
distance telephone stocks, in particular, remain attractive. Fund 
management also increased positions in natural gas and gas pipeline 
stocks, many of which were available at attractive valuations. In 
addition, the manager's expectations of a slower economy and a more 
positive direction for long-term interest rates means that the fund is 
once again seeking opportunities in electric utility stocks.

For much of the period, the fund's overseas holdings enabled it to 
benefit from the U.S. dollar's weakness. However, sensing this trend was 
drawing to a close, management recently began to take profits on these 
holdings while reinvesting the proceeds in U.S.-based stocks.

In view of today's volatile investment climate and imminent changes in 
the utility industry, the fund's manager believes there are many new 
opportunities for attractive long-term returns that have the potential 
to outperform those that have historically provided higher income. 
Consequently, while management is working hard to maintain the fund's 
current dividend level and does not anticipate any changes near-term, it 
plans to incorporate many of these long-term investment opportunities 
over time in order to position the fund for superior long-term 
performance.

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Capital growth and current income

- ------------------------------------------------------------------------
PORTFOLIO

Common stocks and bonds issued by public utility companies
- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                   $13.50

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


PCM Diversified Income Fund

Although the strengthening U.S. economy presented a difficult 
environment for most fixed-income securities, PCM Diversified Income 
Fund was able to turn in a positive performance for the semiannual 
period. Strategic asset allocations across the fund's sectors -- U.S. 
government, U.S. high-yield, and international bonds -- enhanced the 
portfolio's results. For the six months ended June 30, 1996, total 
return at net asset value was 1.38%. 

Of the fund's three sectors, high-yield corporate bonds again posted the 
strongest gains. These securities responded positively to the growing 
economy, which led to increased corporate profitability and, in turn, 
improved creditworthiness of many high-yield bond issuers. 

International bonds enjoyed the next best performance, as astute country 
allocations and well-timed currency positioning enhanced returns. The 
fund benefited particularly from an increased allocation to Europe's 
higher-yielding markets of Italy, Spain, and Sweden, which outperformed 
all other global bond markets during the period. A significant 
allocation to emerging markets also enhanced performance.
 
In the U.S. government sector, returns were somewhat subdued as the bond 
market remained uncertain about domestic economic growth. Since 
February, management has been emphasizing mortgage-backed securities, 
which have performed relatively well against a positive backdrop of 
lower mortgage prepayments and declining market volatility. Fund 
management anticipates improvement in the U.S. government sector in the 
future. 

In the coming months, fund management also anticipates that high-yield 
securities will continue to outperform both U.S. Treasury bonds and 
international fixed-income securities. Growing uncertainty about the 
pace of economic growth could temper the sector's performance over a 
longer time frame. Nevertheless, fund management is confident that the 
fund's diversified portfolio will continue to serve it well. 

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

High current income consistent with preservation of capital

- ------------------------------------------------------------------------
PORTFOLIO

A managed asset allocation portfolio spread across all three sectors of 
the bond market -- U.S. government securities, high-yield bonds, and 
international instruments

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                   $10.50
- ------------------------------------------------------------------------

High-yield securities are rated lower than investment-grade securities 
because there is a greater possibility that negative changes in the 
issuer's financial condition or in general economic conditions may 
hinder the issuer's ability to pay principal and interest on the 
securities. Foreign investments may be subject to certain risks, such as 
currency fluctuations and political developments, that are not present 
with domestic investments.


PCM New Opportunities Fund

Once again, stocks from all sectors of the PCM New Opportunities Fund 
portfolio turned in exceptional performance during the semiannual 
period. Boosted by a market that particularly favored emerging growth 
companies, astute stock and sector selections enabled the fund to tally 
a 15.99% total return at net asset value for the six months ended June 
30, 1996.

The fund's focus on nimble, entrepreneurial companies served it well 
during the period as many of these firms rode the rising market and 
specific market developments to new heights. The fund's technology 
holdings, which remain its largest sector, performed especially well. 
Within this sector, stocks of companies involved in networking, computer 
services, and client-server software applications were the big winners. 
The major change here has been the continued reduction of semiconductor 
holdings, which have been weak performers of late.

Health care remains the second-largest sector, although this sector's 
performance was somewhat disappointing during the period. Managed care 
companies, health maintenance organizations in particular, are feeling 
the effects of price competition, just as costs are rising from an 
increased utilization of services and products, particularly drugs. The 
only health-care companies that have continued to do exceptionally well 
as a group are health-care information companies and physician practice 
management companies, which operate or manage networks of medical 
service providers.

Value-oriented consuming -- stocks of companies such as casual theme 
restaurants, lodging, and office-product superstores -- is the next 
largest portfolio sector. The fund's manager has increased the weighting 
here a bit, and these holdings have performed well. Other portfolio 
sectors include personal communications and media/entertainment stocks, 
both of which are now benefiting from the Telecommunications Act of 
1996, which eased regulation of the broadcast, cable television, and 
telephone industries. While the full implications of this legislation 
are not yet clear, some of the fund's investments have already benefited 
from industry consolidations, along with the introduction of new 
services such as local telephone networks to compete with the "Baby 
Bells."

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Capital appreciation

- ------------------------------------------------------------------------
PORTFOLIO

Common stocks of companies in market sectors with above-average long-
term growth potential

- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                    $18.13

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


PCM Asia Pacific Growth Fund

Although the PCM Asia Pacific Growth Fund has been operating for only a 
little more than a year, the fund's early returns are encouraging and 
fund management believes this investment region has almost unbounded 
potential. For the six months ended June 30, 1996, total return at net 
asset value was 6.03%.

Most of the Asia Pacific countries continued to enjoy robust economic 
growth, although this did not raise prices in all the region's stock 
markets. Japanese holdings remained the portfolio's heaviest weighting, 
and an economic recovery in that country carried the equity market to 
levels not seen in more than two years. While currency hedges helped 
protect portfolio returns from the yen's ongoing weakness, the Japanese 
government's failure to resolve costly banking problems had a dampening 
effect on returns from the fund's financial stocks. Fund management 
anticipates next quarter's corporate profit announcements to signal an 
upturn for this important sector. 

Elsewhere in the region, management took profits in Malaysia, where the 
economy continues to show signs of overheating. Fund management 
redeployed these assets to the Hong Kong market, which remains one of 
the area's most attractive as investors bid up property and equity 
values before the 1997 Chinese takeover. Fund management also reduced 
the portfolio's allocation in Singapore, where earnings weakness led to 
market underperformance during the period.
 
Investors rushing into smaller markets drove up prices and also boosted 
the fund's performance during the period. Some gains, however, were 
taken back as markets worldwide reacted to the U.S. economy's unexpected 
strength. This strength, in turn, dashed hopes for further interest-rate 
cuts. Lower U.S. interest rates often have a stimulative effect on Asian 
stock markets.

In the coming months, fund management anticipates continued strong 
economic growth in the Asia Pacific region. Of course, stock market 
performance will continue to vary according to events and circumstances 
within each market, but management believes the fund is well positioned 
to benefit from emerging opportunities. 

- ------------------------------------------------------------------------
INVESTMENT OBJECTIVE

Capital appreciation
- ------------------------------------------------------------------------
PORTFOLIO

Common stocks of companies located in Asia and the Pacific Basin
- ------------------------------------------------------------------------
NET ASSET VALUE

June 30, 1996                                                    $10.70
- ------------------------------------------------------------------------
Foreign investments may be subject to certain risks, such as currency 
fluctuations and political developments, that are not present with 
domestic investments.  


Fund manager changes

Robert Swift joined the management team of PCM Global Growth Fund. Mr. 
Swift came to Putnam in 1995 as a senior vice president. He previously 
served as director and portfolio manager at IAI International/Hill 
Samuel Investment Advisors, London.

Ami Kuan Danoff joined the managerial team of PCM Global Growth Fund. 
Ms. Danoff came to Putnam in 1993 and is now a vice president. Prior to 
joining Putnam, she attended the MIT Sloan School of Management and 
before July 1991, she was an international equities analyst at Fidelity 
Management and Research Company.




PCM Voyager Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMON STOCKS (94.9%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Advertising (0.4%)
        <S>          <C>                                                      <C>
 .............................................................................................
        201,674      Omnicom Group, Inc.                                      $9,377,841
 .............................................................................................
         61,900      Outdoor Systems, Inc. +                                   2,181,975
- ---------------------------------------------------------------------------------------------
                                                                              11,559,816
- ---------------------------------------------------------------------------------------------
Aerospace and Defense (0.6%)
 .............................................................................................
         78,000      Boeing Co.                                                6,795,750
 .............................................................................................
         56,100      Lockheed Martin Corp.                                     4,712,400
 .............................................................................................
         82,800      Northrop Grumman Corp.                                    5,640,750
- ---------------------------------------------------------------------------------------------
                                                                              17,148,900
- ---------------------------------------------------------------------------------------------
Alcoholic Beverages (0.9%)
 .............................................................................................
        111,183      Anheuser-Busch Cos., Inc.                                 8,338,725
 .............................................................................................
        455,379      Seagram Co., Ltd.                                        15,312,119
- ---------------------------------------------------------------------------------------------
                                                                              23,650,844
- ---------------------------------------------------------------------------------------------
Apparel (1.3%)
 .............................................................................................
        447,750      Gucci Group (Italy)+                                     28,879,875
 .............................................................................................
        153,300      Tommy Hilfiger Corp. +                                    8,220,713
- ---------------------------------------------------------------------------------------------
                                                                              37,100,588
- ---------------------------------------------------------------------------------------------
Automotive (0.9%)
 .............................................................................................
        390,109      Echlin, Inc.                                             14,775,378
 .............................................................................................
        202,847      Snap-On Inc.                                              9,609,877
- ---------------------------------------------------------------------------------------------
                                                                              24,385,255
- ---------------------------------------------------------------------------------------------
Banks (2.1%)
 .............................................................................................
        134,544      Bank of Boston Corp.                                      6,659,928
 .............................................................................................
        222,781      BankAmerica Corp.                                        16,875,661
 .............................................................................................
        289,600      Citicorp                                                 23,928,200
 .............................................................................................
        144,057      NationsBank Corp.                                        11,902,710
- ---------------------------------------------------------------------------------------------
                                                                              59,366,499
- ---------------------------------------------------------------------------------------------
Basic Industrial Products (0.3%)
 .............................................................................................
        210,650      General Signal Corp.                                      7,978,369
- ---------------------------------------------------------------------------------------------
Broadcasting (2.6%)
 .............................................................................................
        106,713      Chancellor Broadcasting Corp. Class A +                   3,334,781
 .............................................................................................
        248,550      Clear Channel Communications, Inc. +                     20,474,306
 .............................................................................................
         54,400      Evergreen Media Corp. Class A +                           2,325,600
 .............................................................................................
        151,400      Heartland Wireless
                     Communications, Inc. +                                    3,595,750
 .............................................................................................
        249,898      Infinity Broadcasting Corp. Class A +                     7,496,940
 .............................................................................................
        114,906      Jacor Communications, Inc. +                              3,547,723
 .............................................................................................
        102,396      LIN Television Corp. +                                    3,686,256
 .............................................................................................
        334,800      Paxson Communications Corp. +                             3,557,250
 .............................................................................................
        168,000      Providence Journal Co. Class A +                          2,583,000
 .............................................................................................
        272,314      Renaissance Communications Corp. +                        8,782,127
 .............................................................................................
         15,600      SFX Broadcasting, Inc. Class A +                            608,400
 .............................................................................................
        132,000      Sinclair Broadcast Group, Inc. Class A +                  5,742,000
 .............................................................................................
        376,983      Westwood One, Inc. +                                      5,748,991
 .............................................................................................
         39,900      Young Broadcasting Corp. Class A +                        1,526,175
- ---------------------------------------------------------------------------------------------
                                                                              73,009,299
- ---------------------------------------------------------------------------------------------
Building Products (0.2%)
 .............................................................................................
        211,175      Masco Corp.                                               6,388,044
- ---------------------------------------------------------------------------------------------
Business Services (7.3%)
 .............................................................................................
         81,650      ABR Information Services, Inc. +                          4,102,913
 .............................................................................................
         77,725      Accustaff, Inc. +                                         2,118,006
 .............................................................................................
         61,700      Affiliated Computer Services, Inc.
                     Class A +                                                 2,899,900
 .............................................................................................
        393,178      Airgas, Inc. +                                            7,470,382
 .............................................................................................
        229,400      Alco Standard Corp.                                      10,380,350
 .............................................................................................
        299,184      America Online, Inc. +                                   13,089,300
 .............................................................................................
        115,200      Corestaff, Inc. +                                         5,155,200
 .............................................................................................
        659,950      Corporate Express, Inc. +                                26,398,000
 .............................................................................................
        286,190      Danka Business Systems PLC ADR
                     (United Kingdom)                                          8,371,058
 .............................................................................................
        289,550      Dow Jones & Co., Inc.                                    12,088,713
 .............................................................................................
        135,340      Flight Safety International, Inc.                         7,342,195
 .............................................................................................
        133,500      IDT Corp. +                                               1,284,938
 .............................................................................................
        536,465      Input/Output, Inc. +                                     17,368,054
 .............................................................................................
         88,500      Interim Services Inc. +                                   3,805,500
 .............................................................................................
        189,560      Interpublic Group Cos. Inc.                               8,885,625
 .............................................................................................
        358,800      Metromedia International Group, Inc. +                    4,395,300
 .............................................................................................
        106,300      NETCOM On-Line Communication
                     Services, Inc. +                                          2,870,100
 .............................................................................................
         11,000      NOVA Corp. /Georgia +                                       371,250
 .............................................................................................
        458,164      Paychex, Inc.                                            22,049,143
 .............................................................................................
         38,850      Payment Services, Inc. +                                  1,112,081
 .............................................................................................
      2,697,800      Rentokil Group Ord. PLC
                     (United Kingdom)                                         17,126,978
 .............................................................................................
         99,748      Reuters Holdings PLC ADR Class B
                     (United Kingdom)                                          7,231,730
 .............................................................................................
        568,964      Robert Half International, Inc. +                        15,859,872
- ---------------------------------------------------------------------------------------------
                                                                             201,776,588
- ---------------------------------------------------------------------------------------------
Cable Television (0.7%)
 .............................................................................................
        152,939      Century Communications Corp.
                     Class A +                                                 1,299,982
 .............................................................................................
        288,905      Tele-Comm Liberty Media Group, Inc.
                      Class A +                                                7,655,983
 .............................................................................................
        522,531      Tele-Communications Inc. Class A +                        9,470,874
- ---------------------------------------------------------------------------------------------
                                                                              18,426,839
- ---------------------------------------------------------------------------------------------
Chemicals (2.3%)
 .............................................................................................
        133,700      Air Products & Chemicals, Inc.                            7,721,175
 .............................................................................................
         67,325      Betz Laboratories, Inc.                                   2,953,884
 .............................................................................................
        133,627      Great Lakes Chemical Corp.                                8,318,281
 .............................................................................................
         40,000      Loctite Corp.                                             1,860,000
 .............................................................................................
         44,800      Mallinckrodt Group, Inc.                                  1,741,600
 .............................................................................................
        255,500      Praxair, Inc.                                            10,794,875
 .............................................................................................
        235,050      Raychem Corp.                                            16,894,219
 .............................................................................................
          8,000      Sandoz AG (Switzerland)                                   9,138,660
 .............................................................................................
        133,300      Witco Chemical Corp.                                      4,582,188
- ---------------------------------------------------------------------------------------------
                                                                              64,004,882
- ---------------------------------------------------------------------------------------------
Computer Services (1.9%)
 .............................................................................................
         90,200      CBT Group PLC ADR (Ireland) +                             4,171,750
 .............................................................................................
        175,720      Electronic Data Systems Corp.                             9,444,950
 .............................................................................................
        638,000      EMC Corp. +                                              11,882,750
 .............................................................................................
        271,820      First Data Corp.                                         21,643,668
 .............................................................................................
         89,380      Sterling Commerce, Inc. +                                 3,318,233
 .............................................................................................
         24,000      Transaction Systems Architects, Inc.
                     Class A +                                                 1,608,000
- ---------------------------------------------------------------------------------------------
                                                                              52,069,351
- ---------------------------------------------------------------------------------------------
Computer Software (8.4%)
 .............................................................................................
         21,800      Arbor Software Corp. +                                    1,302,550
 .............................................................................................
        561,800      Baan Co., N.V. (Netherlands) +                           19,101,200
 .............................................................................................
        106,800      Business Objects S.A., ADR (France) +                     4,298,700
 .............................................................................................
         71,100      Cadence Design Systems, Inc. +                            2,399,625
 .............................................................................................
         41,500      Citrix Systems, Inc. +                                    1,577,000
 .............................................................................................
         27,000      Clarify, Inc. +                                           1,336,500
 .............................................................................................
        454,645      Computer Associates Intl., Inc.                          32,393,456
 .............................................................................................
        596,756      Electronic Arts, Inc. +                                  15,963,223
 .............................................................................................
        232,000      Electronics for Imaging, Inc. +                          16,095,000
 .............................................................................................
        174,700      Fulcrum Technologies, Inc. +                              2,249,263
 .............................................................................................
        153,300      Geoworks +                                                5,442,150
 .............................................................................................
        131,100      GT Interactive Software Corp. +                           2,195,925
 .............................................................................................
         59,900      Legato Systems, Inc. +                                    3,294,500
 .............................................................................................
          1,400      Lycos, Inc. +                                                15,575
 .............................................................................................
        112,600      McAfee Associates, Inc. +                                 5,517,400
 .............................................................................................
        220,629      Microsoft Corp. +                                        26,503,059
 .............................................................................................
        221,643      Netscape Communications Corp. +                          13,797,277
 .............................................................................................
         59,956      Objective Systems Integrators, Inc. +                     2,188,394
 .............................................................................................
        785,200      Parametric Technology Corp. +                            34,058,050
 .............................................................................................
        189,664      PeopleSoft, Inc. +                                       13,513,560
 .............................................................................................
         13,700      Project Software & Development, Inc. +                      642,188
 .............................................................................................
         67,800      Pure Software, Inc. +                                     2,305,200
 .............................................................................................
         28,100      Raptor Systems, Inc. +                                      744,650
 .............................................................................................
        127,450      Rational Software Corp. +                                 6,850,438
 .............................................................................................
         43,600      Security Dynamics Technologies, Inc. +                    3,586,100
 .............................................................................................
        171,900      Softkey International, Inc. +                             3,255,356
 .............................................................................................
        156,300      Synopsys, Inc. +                                          6,212,925
 .............................................................................................
         98,600      Vantive Corp. +                                           3,303,100
 .............................................................................................
         42,900      Viasoft, Inc. +                                           2,772,413
- ---------------------------------------------------------------------------------------------
                                                                             232,914,777
- ---------------------------------------------------------------------------------------------
Conglomerates (1.5%)
 .............................................................................................
        866,176      Thermo Electron Corp. +                                  36,054,576
 .............................................................................................
        223,615      Whitman Corp.                                             5,394,712
- ---------------------------------------------------------------------------------------------
                                                                              41,449,288
- ---------------------------------------------------------------------------------------------
Consumer Non Durables (0.2%)
 .............................................................................................
         92,700      Luxottica Group S.P.A. ADR (Italy)                        6,801,863
- ---------------------------------------------------------------------------------------------
Consumer Products (1.0%)
 .............................................................................................
        267,050      Kimberly-Clark Corp.                                     20,629,613
 .............................................................................................
        167,530      Lowe's Cos., Inc.                                         6,052,021
- ---------------------------------------------------------------------------------------------
                                                                              26,681,634
- ---------------------------------------------------------------------------------------------
Containers (0.1%)
 .............................................................................................
         43,910      Temple Inland, Inc.                                       2,052,793
- ---------------------------------------------------------------------------------------------
Cosmetics (0.2%)
 .............................................................................................
         13,620      Douglas Holding AG (Germany)                                542,833
 .............................................................................................
        159,700      Thermolase Corp. +                                        4,351,825
- ---------------------------------------------------------------------------------------------
                                                                               4,894,658
- ---------------------------------------------------------------------------------------------
Electronics and Electrical Equipment (1.3%)
 .............................................................................................
        467,700      ADT Ltd. +                                                8,827,838
 .............................................................................................
        100,800      CHS Electronics, Inc. +                                   1,360,800
 .............................................................................................
        111,100      General Electric Co.                                      9,610,150
 .............................................................................................
        123,025      Honeywell, Inc.                                           6,704,863
 .............................................................................................
        126,400      Lernout & Hauspie Speech Products N.V.
                     (Belgium)+                                                2,844,000
 .............................................................................................
        180,926      Thermo Instrument Systems, Inc. +                         5,834,864
- ---------------------------------------------------------------------------------------------
                                                                              35,182,515
- ---------------------------------------------------------------------------------------------
Entertainment (0.8%)
 .............................................................................................
        355,753      Disney (Walt) Productions, Inc.                          22,367,970
- ---------------------------------------------------------------------------------------------
Environmental Control (0.4%)
 .............................................................................................
        155,400      Memtec Ltd. ADR (Australia)                               5,710,950
 .............................................................................................
        190,400      WMX Technologies, Inc.                                    6,235,600
- ---------------------------------------------------------------------------------------------
                                                                              11,946,550
- ---------------------------------------------------------------------------------------------
Finance (2.1%)
 .............................................................................................
        429,096      American Express Co.                                     19,148,409
 .............................................................................................
        127,309      Federal Home Loan Mortgage Corp.                         10,884,920
 .............................................................................................
        512,664      Federal National Mortgage Association                    17,174,244
 .............................................................................................
        102,550      Financial Federal Corp. +                                 1,602,344
 .............................................................................................
         76,306      Morgan (J.P.) & Co., Inc.                                 6,457,395
 .............................................................................................
         46,184      Student Loan Marketing Assn.                              3,417,616
- ---------------------------------------------------------------------------------------------
                                                                              58,684,928
- ---------------------------------------------------------------------------------------------
Financial Services (1.7%)
 .............................................................................................
          6,700      First USA Paymentech, Inc. +                                268,000
 .............................................................................................
        973,638      MBNA Corp.                                               27,748,683
 .............................................................................................
        507,398      Mercury Finance Co.                                       6,469,325
 .............................................................................................
        109,200      Olympic Financial Ltd. +                                  2,511,600
 .............................................................................................
        258,575      TCF Financial Corp.                                       8,597,619
- ---------------------------------------------------------------------------------------------
                                                                              45,595,227
- ---------------------------------------------------------------------------------------------
Food and Beverages (1.2%)
 .............................................................................................
        444,400      Archer Daniels Midland Co.                                8,499,150
 .............................................................................................
        230,176      IBP, Inc.                                                 6,358,612
 .............................................................................................
        307,790      PepsiCo, Inc.                                            10,888,071
 .............................................................................................
        199,742      Sara Lee Corp.                                            6,466,647
- ---------------------------------------------------------------------------------------------
                                                                              32,212,480
- ---------------------------------------------------------------------------------------------
Funeral/Cemetery Services (0.2%)
 .............................................................................................
        161,700      Loewen Group, Inc.                                        4,891,425
- ---------------------------------------------------------------------------------------------
Gaming (1.4%)
 .............................................................................................
         47,700      Anchor Gaming +                                           2,873,925
 .............................................................................................
        537,600      Circus Circus Enterprises, Inc. +                        22,041,600
 .............................................................................................
        205,591      Mirage Resorts, Inc. +                                   11,101,914
 .............................................................................................
        138,200      Rio Hotel & Casino, Inc. +                                2,124,825
- ---------------------------------------------------------------------------------------------
                                                                              38,142,264
- ---------------------------------------------------------------------------------------------
Gas Pipelines (0.7%)
 .............................................................................................
        345,225      Enron Corp.                                              14,111,072
 .............................................................................................
        132,810      Sonat, Inc.                                               5,976,450
- ---------------------------------------------------------------------------------------------
                                                                              20,087,522
- ---------------------------------------------------------------------------------------------
Gas Utilities (0.6%)
 .............................................................................................
        311,775      Columbia Gas System, Inc.                                16,251,272
- ---------------------------------------------------------------------------------------------
HMOs (0.5%)
 .............................................................................................
        255,800      Healthsource, Inc. +                                      4,476,500
 .............................................................................................
        149,360      Oxford Health Plans Inc. +                                6,142,430
 .............................................................................................
        107,800      Sierra Health Services +                                  3,395,700
- ---------------------------------------------------------------------------------------------
                                                                              14,014,630
- ---------------------------------------------------------------------------------------------
Health Care Information Systems (1.1%)
 .............................................................................................
        466,210      HBO & Co.                                                31,585,728
- ---------------------------------------------------------------------------------------------
Health Care Services (2.6%)
 .............................................................................................
        235,764      Apria Healthcare Group, Inc. +                            7,397,096
 .............................................................................................
        465,300      Healthsouth Rehabilitation Corp. +                       16,750,800
 .............................................................................................
        277,190      Lincare Holdings, Inc. +                                 10,879,708
 .............................................................................................
        157,900      Medaphis Corp. +                                          6,276,525
 .............................................................................................
         64,322      Owen Healthcare, Inc. +                                     892,468
 .............................................................................................
        161,200      Renal Treatment Centers, Inc. +                           4,634,500
 .............................................................................................
        150,258      Rotech Medical Corp. +                                    2,930,031
 .............................................................................................
        123,800      Total Renal Care Holdings, Inc. +                         5,230,550
 .............................................................................................
        325,968      Vencor, Inc. +                                            9,942,024
 .............................................................................................
        176,337      Vivra, Inc. +                                             5,797,079
- ---------------------------------------------------------------------------------------------
                                                                              70,730,781
- ---------------------------------------------------------------------------------------------
Home Building (0.5%)
 .............................................................................................
        699,725      Clayton Homes, Inc.                                      13,994,500
- ---------------------------------------------------------------------------------------------
Hospital Management (0.8%)
 .............................................................................................
        776,397      Health Management Assoc., Inc. +                         15,722,039
 .............................................................................................
        286,600      Physician Reliance Network, Inc. +                        6,376,850
- ---------------------------------------------------------------------------------------------
                                                                              22,098,889
- ---------------------------------------------------------------------------------------------
Household Products (0.4%)
 .............................................................................................
        258,050      Blyth Industries, Inc. +                                 11,709,019
- ---------------------------------------------------------------------------------------------
Insurance (1.4%)
 .............................................................................................
        300,401      American General Corp.                                   10,927,086
 .............................................................................................
         83,959      American International Group, Inc.                        8,280,456
 .............................................................................................
        301,269      Amerin Corp. +                                            8,058,946
 .............................................................................................
         24,676      General RE Corp.                                          3,756,921
 .............................................................................................
        130,000      HCC Insurance Holdings, Inc.                              2,925,000
 .............................................................................................
        222,196      USF&G Corp.                                               3,638,460
- ---------------------------------------------------------------------------------------------
                                                                              37,586,869
- ---------------------------------------------------------------------------------------------
Lodging (3.0%)
 .............................................................................................
        140,400      Doubletree Corp. +                                        4,984,200
 .............................................................................................
         75,525      Extended Stay America, Inc. +                             2,379,038
 .............................................................................................
        841,484      HFS, Inc. +                                              58,903,880
 .............................................................................................
          8,800      Interstate Hotels Co. +                                     195,800
 .............................................................................................
        116,800      Prime Hospitality Corp. +                                 1,927,200
 .............................................................................................
        133,100      Promus Hotel Corp. +                                      3,943,088
 .............................................................................................
        429,000      Renaissance Hotel Group N.V.
                     (Hong Kong)+                                              9,116,250
 .............................................................................................
         21,400      Studio Plus Hotels, Inc. +                                  706,200
- ---------------------------------------------------------------------------------------------
                                                                              82,155,656
- ---------------------------------------------------------------------------------------------
Medical Management Services (0.7%)
 .............................................................................................
         88,700      OccuSystems, Inc. +                                       3,315,163
 .............................................................................................
         11,400      Orthodontic Centers of America, Inc. +                      302,100
 .............................................................................................
         80,900      PhyMatrix, Inc. +                                         1,880,925
 .............................................................................................
        369,050      Phycor, Inc. +                                           14,023,900
 .............................................................................................
         19,700      Physicians Resource Group, Inc. +                           657,488
- ---------------------------------------------------------------------------------------------
                                                                              20,179,576
- ---------------------------------------------------------------------------------------------
Medical Supplies and Devices (4.1%)
 .............................................................................................
         19,100      American HomePatient, Inc. +                                845,175
 .............................................................................................
        112,120      Boston Scientific Corp. +                                 5,045,400
 .............................................................................................
          4,800      Cardiothoracic Systems, Inc. +                               63,600
 .............................................................................................
         54,500      Endosonics Corp. +                                          974,188
 .............................................................................................
        244,225      Guidant Corp.                                            12,028,081
 .............................................................................................
        307,430      Johnson & Johnson                                        15,217,785
 .............................................................................................
        125,600      Lifecore Biomedical, Inc. +                               2,669,000
 .............................................................................................
        194,034      Medtronic, Inc.                                          10,865,904
 .............................................................................................
         53,800      Neuromedical Systems, Inc. +                                807,000
 .............................................................................................
        179,400      Shared Medical Systems Corp.                             11,526,450
 .............................................................................................
        201,500      Sola International, Inc. +                                5,793,125
 .............................................................................................
        228,321      St. Jude Medical Inc. +                                   7,648,754
 .............................................................................................
        612,622      Stryker Corp. +                                          13,937,151
 .............................................................................................
        348,325      Thermo Cardiosystems, Inc. +                             15,587,544
 .............................................................................................
         73,000      Thermotrex Corp. +                                        3,595,250
 .............................................................................................
          6,570      Trex Medical Corp. +                                        124,009
 .............................................................................................
        218,465      U.S. Surgical Corp.                                       6,772,415
 .............................................................................................
         44,500      Uromed Corp. +                                              611,875
- ---------------------------------------------------------------------------------------------
                                                                             114,112,706
- ---------------------------------------------------------------------------------------------
Metals and Mining (0.3%)
 .............................................................................................
        289,549      Freeport-McMoRan Copper & Gold Co.,
                     Inc. Class A                                              8,650,276
- ---------------------------------------------------------------------------------------------
Networking Equipment (4.6%)
 .............................................................................................
        339,904      Ascend Communications, Inc. +                            19,119,600
 .............................................................................................
        308,445      Cabletron Systems, Inc. +                                21,167,038
 .............................................................................................
        405,090      Cascade Communications Corp. +                           27,546,120
 .............................................................................................
        471,700      Cisco Systems, Inc. +                                    26,710,013
 .............................................................................................
        191,000      Shiva Corp. +                                            15,280,000
 .............................................................................................
        191,263      U.S. Robotics Corp. +                                    16,352,987
- ---------------------------------------------------------------------------------------------
                                                                             126,175,758
- ---------------------------------------------------------------------------------------------
Nursing Homes (0.5%)
 .............................................................................................
         68,100      American Medical Response +                               2,400,525
 .............................................................................................
        100,500      Genesis Health Ventures, Inc. +                           3,153,188
 .............................................................................................
        309,600      Health Care & Retirement Corp. +                          7,353,000
- ---------------------------------------------------------------------------------------------
                                                                              12,906,713
- ---------------------------------------------------------------------------------------------
Office Equipment (1.1%)
 .............................................................................................
        156,900      BT Office Products International, Inc. +                  2,804,588
 .............................................................................................
        156,500      US Office Products Co. +                                  6,573,000
 .............................................................................................
        627,710      Viking Office Products, Inc. +                           19,694,401
- ---------------------------------------------------------------------------------------------
                                                                              29,071,989
- ---------------------------------------------------------------------------------------------
Oil and Gas (2.2%)
 .............................................................................................
         67,334      British Petroleum PLC ADR
                     (United Kingdom)                                          7,196,321
 .............................................................................................
        149,275      Chevron, Inc.                                             8,807,225
 .............................................................................................
         82,300      Coflexip Engineers ADR (France)                           1,429,963
 .............................................................................................
         32,709      Exxon Corp.                                               2,841,594
 .............................................................................................
         60,000      Geoscience Corp. +                                          840,000
 .............................................................................................
         84,025      Halliburton Co.                                           4,663,388
 .............................................................................................
         64,800      Mobil Corp.                                               7,265,700
 .............................................................................................
        104,881      Production Operators Corp.                                3,539,734
 .............................................................................................
        116,854      Schlumberger Ltd.                                         9,844,950
 .............................................................................................
        373,181      Total Corp. ADR (France)                                 13,854,345
- ---------------------------------------------------------------------------------------------
                                                                              60,283,220
- ---------------------------------------------------------------------------------------------
Paper and Forest Products (0.4%)
 .............................................................................................
        132,450      Fort Howard Corp. +                                       2,632,444
 .............................................................................................
        166,825      Weyerhaeuser Co.                                          7,090,063
- ---------------------------------------------------------------------------------------------
                                                                               9,722,507
- ---------------------------------------------------------------------------------------------
Pharmaceuticals and Biotechnology (4.3%)
 .............................................................................................
         67,425      Allergan Inc.                                             2,646,431
 .............................................................................................
        150,594      Amgen, Inc. +                                             8,132,076
 .............................................................................................
        339,299      Astra AB (Sweden)                                        14,994,661
 .............................................................................................
        102,100      Biochem Pharmaceutical, Inc. +                            3,828,750
 .............................................................................................
         93,277      Chiron Corp. +                                            9,141,146
 .............................................................................................
        126,700      CytoTherapeutics, Inc. +                                  1,409,538
 .............................................................................................
        106,100      Elan Corp. PLC ADR (Ireland)+                             6,060,963
 .............................................................................................
        236,200      Gilead Sciences, Inc. +                                   5,964,050
 .............................................................................................
        117,800      IDEXX Laboratories, Inc. +                                4,623,650
 .............................................................................................
        155,000      Lilly (Eli) & Co.                                        10,075,000
 .............................................................................................
         82,000      Martek Biosciences Corp. +                                2,398,500
 .............................................................................................
        122,800      Neurogen Corp. +                                          3,162,100
 .............................................................................................
         23,400      Parexel International Corp. +                             1,129,050
 .............................................................................................
        217,495      Pfizer, Inc.                                             15,523,706
 .............................................................................................
        435,175      Pharmacia & Upjohn, Inc.                                 19,310,891
 .............................................................................................
        166,955      Smithkline Beecham PLC ADR
                     (United Kingdom)                                          9,078,178
 .............................................................................................
         35,700      Vical, Inc. +                                               571,200
- ---------------------------------------------------------------------------------------------
                                                                             118,049,890
- ---------------------------------------------------------------------------------------------
Photography (1.4%)
 .............................................................................................
        235,900      Eastman Kodak Co.                                        18,341,225
 .............................................................................................
        445,100      Polaroid Corp.                                           20,307,688
- ---------------------------------------------------------------------------------------------
                                                                              38,648,913
- ---------------------------------------------------------------------------------------------
Publishing (2.1%)
 .............................................................................................
        111,115      Belo (A.H.) Corp. Ser.  A                                 4,139,034
 .............................................................................................
        479,255      Deluxe Corp.                                             17,013,553
 .............................................................................................
        149,153      Harcourt General, Inc.                                    7,457,650
 .............................................................................................
        111,400      McGraw-Hill, Inc.                                         5,096,550
 .............................................................................................
         14,400      Mecklermedia Corp. +                                        291,600
 .............................................................................................
        111,350      Tribune Co.                                               8,086,794
 .............................................................................................
        143,649      Wolters Kluwer N.V. (Netherlands)                        16,307,694
- ---------------------------------------------------------------------------------------------
                                                                              58,392,875
- ---------------------------------------------------------------------------------------------
Railroads (0.6%)
 .............................................................................................
        117,268      Burlington Northern Santa Fe Corp.                        9,484,050
 .............................................................................................
        208,888      Wisconsin Central Transportation
                     Corp. +                                                   6,788,860
- ---------------------------------------------------------------------------------------------
                                                                              16,272,910
- ---------------------------------------------------------------------------------------------
Restaurants (3.0%)
 .............................................................................................
        311,723      Apple South, Inc.                                         8,338,590
 .............................................................................................
        333,982      Applebee's International, Inc.                           10,812,667
 .............................................................................................
        531,500      Boston Chicken, Inc. +                                   17,273,750
 .............................................................................................
        396,483      J.D. Wetherspoon PLC (United Kingdom)                     6,184,980
 .............................................................................................
        176,000      Landry's Seafood Restaurants, Inc. +                      4,356,000
 .............................................................................................
        291,252      Lone Star Steakhouse & Saloon +                          10,994,763
 .............................................................................................
        264,112      Outback Steakhouse, Inc. +                                9,107,737
 .............................................................................................
         30,900      PizzaExpress PLC (United Kingdom)                           175,065
 .............................................................................................
        529,150      Starbucks Corp. +                                        14,948,488
- ---------------------------------------------------------------------------------------------
                                                                              82,192,040
- ---------------------------------------------------------------------------------------------
Retail (4.6%)
 .............................................................................................
        194,400      AutoZone, Inc. +                                          6,755,400
 .............................................................................................
        283,276      Bed Bath & Beyond, Inc. +                                 7,577,633
 .............................................................................................
        348,628      Boise Cascade Office Products +                          12,071,245
 .............................................................................................
        155,800      CompUSA, Inc. +                                           5,316,675
 .............................................................................................
        114,844      Dayton Hudson Corp.                                      11,843,288
 .............................................................................................
        334,757      Federated Department Stores +                            11,423,583
 .............................................................................................
         65,300      Global DirectMail Corp. +                                 2,579,350
 .............................................................................................
        309,250      Home Depot, Inc. (The)                                   16,699,500
 .............................................................................................
         41,000      MSC Industrial Direct Co., Inc. Class A +                 1,322,250
 .............................................................................................
        347,963      Office Depot, Inc. +                                      7,089,746
 .............................................................................................
        483,400      Officemax, Inc. +                                        11,541,175
 .............................................................................................
        223,250      Payless Shoesource, Inc. +                                7,088,188
 .............................................................................................
        168,700      Petco Animal Supplies, Inc. +                             4,850,125
 .............................................................................................
        181,000      Price/Costco, Inc. +                                      3,914,125
 .............................................................................................
        440,250      Revco D.S., Inc. +                                       10,510,969
 .............................................................................................
        278,700      Staples, Inc. +                                           5,434,650
- ---------------------------------------------------------------------------------------------
                                                                             126,017,902
- ---------------------------------------------------------------------------------------------
Semiconductors (1.8%)
 .............................................................................................
        183,100      Analog Devices Inc. +                                     4,669,050
 .............................................................................................
         64,566      Atmel Corp. +                                             1,945,051
 .............................................................................................
        100,800      Credence Systems Corp. +                                  1,354,500
 .............................................................................................
        189,125      Intel Corp.                                              13,888,867
 .............................................................................................
        292,099      Linear Technology Corp.                                   8,762,970
 .............................................................................................
        511,480      Maxim Integrated Products Inc. +                         13,969,798
 .............................................................................................
        370,520      National Semiconductor Corp. +                            5,743,060
- ---------------------------------------------------------------------------------------------
                                                                              50,333,296
- ---------------------------------------------------------------------------------------------
Specialty Consumer Products (0.3%)
 .............................................................................................
        152,932      Fastenal Co.                                              6,652,542
 .............................................................................................
         77,500      Gemstar International Group Ltd. +                        2,325,000
- ---------------------------------------------------------------------------------------------
                                                                               8,977,542
- ---------------------------------------------------------------------------------------------
Steel (0.1%)
 .............................................................................................
         66,600      Nucor Corp.                                               3,371,625
- ---------------------------------------------------------------------------------------------
Supermarkets (0.3%)
 .............................................................................................
         16,583      Carrefour Supermarche (France)                            9,289,186
- ---------------------------------------------------------------------------------------------
Telecommunication Equipment (2.9%)
 .............................................................................................
        250,900      Adtran, Inc. +                                           17,782,538
 .............................................................................................
         15,500      Asia Satellite Telecommunications
                     Holdings Ltd. ADR (Hong Kong)+                              461,125
 .............................................................................................
          4,000      Boston Communications Group, Inc. +                          66,000
 .............................................................................................
         62,700      Brooks Fiber Properties, Inc. +                           2,069,100
 .............................................................................................
        378,975      DSC Communications Corp. +                               11,416,622
 .............................................................................................
        187,740      Glenayre Technologies, Inc. +                             9,387,000
 .............................................................................................
        106,600      Lucent Technologies, Inc.                                 4,037,475
 .............................................................................................
         90,900      Octel Communications Corp. +                              1,795,275
 .............................................................................................
        129,800      P-Com, Inc. +                                             4,088,700
 .............................................................................................
        140,800      Pairgain Technologies, Inc. +                             8,729,600
 .............................................................................................
         26,900      Premiere Technologies, Inc. +                               847,350
 .............................................................................................
        158,050      Premisys Communications, Inc. +                           9,641,050
 .............................................................................................
        145,598      Tellabs, Inc. +                                           9,736,866
- ---------------------------------------------------------------------------------------------
                                                                              80,058,701
- ---------------------------------------------------------------------------------------------
Telephone Services (3.0%)
 .............................................................................................
        267,320      GTE Corp.                                                11,962,570
 .............................................................................................
         57,000      Intermedia Communications, Inc. +                         1,838,250
 .............................................................................................
        142,100      LCI International, Inc. +                                 4,458,388
 .............................................................................................
        507,421      MCI Communications Corp.                                 13,002,633
 .............................................................................................
        283,120      McLeod, Inc. Class A +                                    6,794,880
 .............................................................................................
        204,400      MFS Communications Co., Inc. +                            7,690,550
 .............................................................................................
        379,775      Sprint Corp.                                             15,950,550
 .............................................................................................
         89,400      Tel-Save Holdings, Inc. +                                 1,899,750
 .............................................................................................
         68,100      U.S. Long Distance Corp. +                                2,417,550
 .............................................................................................
        293,575      WorldCom, Inc. +                                         16,256,716
- ---------------------------------------------------------------------------------------------
                                                                              82,271,837
- ---------------------------------------------------------------------------------------------
Telephone Utilities (0.3%)
 .............................................................................................
        156,418      SBC Communications, Inc.                                  7,703,587
- ---------------------------------------------------------------------------------------------
Textiles (0.4%)
 .............................................................................................
        165,200      Designer Holdings Ltd. +                                  4,398,450
 .............................................................................................
        172,000      St. John Knits, Inc.                                      7,675,500
- ---------------------------------------------------------------------------------------------
                                                                              12,073,950
- ---------------------------------------------------------------------------------------------
Tobacco (0.3%)
 .............................................................................................
        268,372      UST, Inc.                                                 9,191,741
- ---------------------------------------------------------------------------------------------
Trucking (0.3%)
 .............................................................................................
        288,900      Ryder System, Inc.                                        8,125,313
- ---------------------------------------------------------------------------------------------
Wireless Communications (1.7%)
 .............................................................................................
        267,321      Airtouch Communications, Inc. +                           7,551,818
 .............................................................................................
         93,200      Intercel, Inc. +                                          1,864,000
 .............................................................................................
        790,950      NEXTEL Communications, Inc.
                     Class A +                                                15,077,484
 .............................................................................................
        165,400      Omnipoint Corp. +                                         4,310,738
 .............................................................................................
        485,996      Paging Network, Inc. +                                   11,663,904
 .............................................................................................
        162,200      Preferred Networks, Inc. +                                1,398,975
 .............................................................................................
        126,591      360 Communications Co. +                                  3,038,184
 .............................................................................................
        157,100      Western Wireless Corp. Class A +                          3,358,013
- ---------------------------------------------------------------------------------------------
                                                                              48,263,116
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $1,985,971,670)                                $2,621,235,681
- ---------------------------------------------------------------------------------------------
PREFERRED STOCKS (0.2%)* (cost $4,337,328)
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
         24,935      Fresenius AG pfd. (Germany)                              $4,506,473
- ---------------------------------------------------------------------------------------------

WARRANTS (--%)*+ (cost $--)
- ---------------------------------------------------------------------------------------------
<CAPTION>
Number of                                                   Expiration             Value
Warrants                                                          Date
 .............................................................................................
            <S>      <C>                                      <C>                     <C>
            143      Jan Bell Marketing, Inc.                 12/16/98                $9
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (5.6%) *
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                                                   Value
 .............................................................................................    
    <S>              <C>                                                     <C>
    $19,000,000      Federal Home Loan Mortgage
                     Corp. effective yield of 5.20%,
                     August 1, 1996                                          $18,914,922
 .............................................................................................
     10,000,000      General Electric Capital Corp.
                     effective yield of 5.39%,
                     August 28, 1996                                           9,913,161
 .............................................................................................
     20,000,000      MetLife Funding Inc. effective yield
                     of 5.27%, July 12, 1996                                  19,967,794
 .............................................................................................
     25,000,000      National Rural Utilities Cooperative
                     Finance Corp. effective yield of 5.26%,
                     August 2, 1996                                           24,883,111
 .............................................................................................
     10,000,000      Sheffield Receivables Corp. effective
                     yield of 5.40%, July 22, 1996                             9,968,500
 .............................................................................................
     20,000,000      USAA Capital Corp. effective yield
                     of 5.27%, August 19, 1996                                19,856,539
 .............................................................................................
     51,569,000      Interest in $500,000,000 joint
                     repurchase agreement dated
                     June 28, 1996 with Lehman Brothers
                     Inc. due July 1, 1996 with respect to
                     various U.S. Treasury obligations--
                     maturity value of $51,592,636
                     for an effective yield of 5.50%                          51,592,636
- ---------------------------------------------------------------------------------------------
                     Total Short-Term Investments
                     (cost $155,096,663)                                    $155,096,663
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $2,145,405,661)***                             $2,780,838,826
 .............................................................................................
See page 62 for Notes to the Portfolios.


THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>

PCM Global Growth Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMON STOCKS (94.0%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Aerospace and Defense (0.6%)
 .............................................................................................
         <S>         <C>                                                      <C>
         56,200      Boeing Co.                                               $4,896,425
 .............................................................................................
         25,200      Textron, Inc.                                             2,012,850
- ---------------------------------------------------------------------------------------------
                                                                               6,909,275
- ---------------------------------------------------------------------------------------------
Automotive (3.6%)
 .............................................................................................
         11,470      Bayerische Motoren Werke (BMW) AG
                     (Germany)                                                 6,646,274
 .............................................................................................
        462,000      Bridgestone Corp. (Japan)                                 8,810,039
 .............................................................................................
         63,000      Magna International, Inc. Class A (Canada)                2,898,000
 .............................................................................................
        157,865      Michelin Corp. Class B (France)                           7,714,642
 .............................................................................................
        732,000      Mitsubishi Motors Corp. (Japan)                           6,411,681
 .............................................................................................
         53,200      Peugeot Citroen S. A. (France)                            7,119,511
- ---------------------------------------------------------------------------------------------
                                                                              39,600,147
- ---------------------------------------------------------------------------------------------
Basic Industrial Products (2.1%)
 .............................................................................................
         63,900      Case Corp.                                                3,067,200
 .............................................................................................
         38,900      Caterpillar, Inc.                                         2,635,475
 .............................................................................................
         10,790      Chargeurs S.A. (France)                                     482,233
 .............................................................................................
        335,000      Chen Hsong Holdings (Hong Kong)                             179,614
 .............................................................................................
          2,750      Cofinec S.A. GDR 144A (France)                              130,625
 .............................................................................................
        162,600      Danieli & Co. (Italy)                                     1,091,772
 .............................................................................................
        550,000      International Container Terminal
                     Services, Inc. (Philippines)                                373,470
 .............................................................................................
        750,000      Mitsui Fudoscan Co. Ltd. (Japan)                          6,795,166
 .............................................................................................
          9,360      Rieter Holding AG (Switzerland)                           2,525,489
 .............................................................................................
         36,270      Sandvik AB Class B (Sweden)                                 837,000
 .............................................................................................
         19,423      Sommer Allibert (France)                                  4,934,502
- ---------------------------------------------------------------------------------------------
                                                                              23,052,546
- ---------------------------------------------------------------------------------------------
Biotechnology (0.3%)
 .............................................................................................
         31,600      Amgen, Inc. +                                             1,706,400
 .............................................................................................
         13,200      Biochem Pharmaceutical, Inc. +                              495,000
 .............................................................................................
         36,167      ICN Pharmaceuticals, Inc.                                   840,883
 .............................................................................................
          7,500      Quintiles Transnational Corp. +                             493,125
- ---------------------------------------------------------------------------------------------
                                                                               3,535,408
- ---------------------------------------------------------------------------------------------
Broadcasting (0.3%)
 .............................................................................................
         11,600      Clear Channel Communications, Inc. +                        955,550
 .............................................................................................
         16,400      Heritage Media Corp. Class A +                              653,950
 .............................................................................................
         50,000      Tele-Comm Liberty Media Group, Inc.
                     Class A +                                                 1,325,000
- ---------------------------------------------------------------------------------------------
                                                                               2,934,500
- ---------------------------------------------------------------------------------------------
Building and Construction (3.8%)
 .............................................................................................
         60,000      Apasco S.A. (Mexico)                                        331,135
 .............................................................................................
         11,000      Cementos Paz Del Rio 144A ADR
                     (Colombia)+                                                 143,000
 .............................................................................................
      1,007,587      CRH PLC (Ireland)                                         9,936,867
 .............................................................................................
        237,000      HI Cement, Corp. (Philippines) +                             87,946
 .............................................................................................
        176,000      Hong Leong Industries Berhad (Malaysia)                     853,889
 .............................................................................................
         26,410      India Cements Ltd. 144A GDR (India)                         135,351
 .............................................................................................
          8,950      International De Ceramica Sponsored
                     ADR (Mexico) +                                               49,225
 .............................................................................................
        143,800      Lafarge Coppee (France)                                   8,700,340
 .............................................................................................
        112,600      New World Infrastructure Ltd.
                     (Hong Kong) +                                               240,033
 .............................................................................................
        440,000      Obayashi Corp. (Japan)                                    3,978,468
 .............................................................................................
        167,580      PT Mulia Industrindo (Indonesia)                            248,559
 .............................................................................................
        300,000      Shimizu Corp. (Japan)                                     3,312,045
 .............................................................................................
         47,000      Sungei Way Holdings Berhad (Malaysia)                       220,489
 .............................................................................................
        245,000      Tostem Corp. (Japan)                                      7,220,349
 .............................................................................................
         50,000      VA Technolgies AG (Austria)                               6,120,545
 .............................................................................................
         50,250      YTL Corp. Berhad (Malaysia)                                 261,929
- ---------------------------------------------------------------------------------------------
                                                                              41,840,170
- ---------------------------------------------------------------------------------------------
Business Equipment and Services (4.1%)
 .............................................................................................
         12,000      Adaptec, Inc. +                                             568,500
 .............................................................................................
         22,575      Apollo Group, Inc. Class A                                  632,100
 .............................................................................................
         25,500      Cambridge Technology Partners, Inc. +                       777,750
 .............................................................................................
         82,500      Cisco Systems, Inc. +                                     4,671,563
 .............................................................................................
         28,200      Computer Sciences Corp. +                                 2,107,950
 .............................................................................................
         16,400      Corporate Express, Inc. +                                   656,000
 .............................................................................................
          4,200      Corrections Corp.                                           294,000
 .............................................................................................
        410,000      Dai Nippon Printing Co., Ltd. (Japan)                     7,930,659
 .............................................................................................
         17,300      DST Systems, Inc. +                                         553,600
 .............................................................................................
         34,200      Equifax, Inc.                                               897,750
 .............................................................................................
         44,643      First Data Corp.                                          3,554,699
 .............................................................................................
         17,100      Gartner Group, Inc. Class A +                               626,288
 .............................................................................................
         35,500      HBO & Co.                                                 2,405,125
 .............................................................................................
         41,300      Hewlett-Packard Co.                                       4,114,513
 .............................................................................................
        145,000      Komori Corp. (Japan)                                      3,704,381
 .............................................................................................
          2,900      Norrell Corp.                                               142,463
 .............................................................................................
         23,000      Omnicom Group, Inc.                                       1,069,500
 .............................................................................................
         19,700      Paychex, Inc.                                               948,063
 .............................................................................................
         16,400      Primark Corp. +                                             535,050
 .............................................................................................
         17,000      Reynolds & Reynolds Co. Class A                             905,250
 .............................................................................................
         21,600      Robert Half International, Inc. +                           602,100
 .............................................................................................
          3,000      Societe Generale de Surveillance
                     Holdings S.A. (Switzerland) +                             7,172,507
 .............................................................................................
         11,000      Viking Office Products, Inc. +                              345,125
- ---------------------------------------------------------------------------------------------
                                                                              45,214,936
- ---------------------------------------------------------------------------------------------
Cellular Broadcasting (0.1%)
 .............................................................................................
         11,500      Millicom International Cellular S.A.
                     (Germany) +                                                 547,688
 .............................................................................................
         28,100      Paging Network, Inc. +                                      674,400
- ---------------------------------------------------------------------------------------------
                                                                               1,222,088
- ---------------------------------------------------------------------------------------------
Chemicals (3.7%)
 .............................................................................................
         71,600      Akzo-Nobel N.V. (Netherlands)                             8,572,717
 .............................................................................................
         89,460      Bayer AG ADR (Germany)                                    3,157,239
 .............................................................................................
         42,700      du Pont (E.I.) de Nemours & Co., Ltd.                     3,378,638
 .............................................................................................
         53,000      Dutch States Mines N.V. (Netherlands)                     5,259,660
 .............................................................................................
         25,000      Gujarat Narmada Valley Fertilizers
                     144A GDR (India) +                                          156,250
 .............................................................................................
         16,400      Indian Petrochemicals Corp. Ltd. 144A
                     ADR (India)                                                 270,600
 .............................................................................................
          2,000      L.G. Chemical Ltd. (South Korea)                             31,566
 .............................................................................................
        133,900      Monsanto Co.                                              4,351,750
 .............................................................................................
          4,053      Polifin Ltd. (South Africa)+                                  7,379
 .............................................................................................
         77,100      Praxair, Inc.                                             3,257,475
 .............................................................................................
        500,000      Sekisui Chemical Co. Ltd. (Japan)                         6,113,140
 .............................................................................................
         10,300      Solvay S.A. (Belgium)                                     6,315,944
- ---------------------------------------------------------------------------------------------
                                                                              40,872,358
- ---------------------------------------------------------------------------------------------
Computer Services and Software (3.0%)
 .............................................................................................
         16,100      Bisys Group, Inc. (The) +                                   607,775
 .............................................................................................
          6,700      Business Objects S.A., ADR (France) +                       269,675
 .............................................................................................
         42,400      Cadence Design Systems, Inc. +                            1,431,000
 .............................................................................................
         17,900      Citrix Systems, Inc. +                                      680,200
 .............................................................................................
         49,000      Computer Associates Intl., Inc.                           3,491,250
 .............................................................................................
         47,500      Electronic Data Systems, Corp.                            2,553,125
 .............................................................................................
          9,000      Electronics for Imaging, Inc. +                             624,375
 .............................................................................................
        316,828      Getronics Electric N.V. (Netherlands)                     7,011,767
 .............................................................................................
         14,050      McAfee Associates, Inc. +                                   688,450
 .............................................................................................
          5,800      Medic Computer Systems, Inc.                                470,525
 .............................................................................................
         40,500      Microsoft Corp. +                                         4,865,063
 .............................................................................................
          6,400      Pairgain Technologies, Inc. +                               396,800
 .............................................................................................
         85,800      Parametric Technology Corp. +                             3,721,575
 .............................................................................................
         49,500      PeopleSoft, Inc. +                                        3,526,875
 .............................................................................................
          8,600      Shiva Corp. +                                               688,000
 .............................................................................................
         10,700      Sterling Commerce, Inc. +                                   397,238
 .............................................................................................
         16,400      Symbol Technologies, Inc. +                                 729,800
 .............................................................................................
         11,700      Synopsys, Inc. +                                            465,075
 .............................................................................................
          6,400      Viasoft, Inc. +                                             413,600
- ---------------------------------------------------------------------------------------------
                                                                              33,032,168
- ---------------------------------------------------------------------------------------------
Conglomerates (3.0%)
 .............................................................................................
         19,000      Barlow Ltd. (South Africa)                                  198,648
 .............................................................................................
          6,820      Benpres Holdings Corp. 144A GDR
                     (Luxembourg) +                                               52,855
 .............................................................................................
        812,000      Citic Pacific Ltd. (Hong Kong)                            3,283,584
 .............................................................................................
          3,904      Financiere et Industrelle Gaz et Eaux
                     (France)                                                  1,592,386
 .............................................................................................
        152,413      First Pacific Co., Ltd. (Hong Kong)                         234,324
 .............................................................................................
         28,500      General Motors Corp. Class H                              1,713,563
 .............................................................................................
        670,000      Hutchison Whampoa, Ltd. (Hong Kong)                       4,215,524
 .............................................................................................
        916,400      Jardine Matheson Holdings Ltd.
                     (Hong Kong)                                               6,735,540
 .............................................................................................
          1,100      Nordic Recovery Fund N.V. (Sweden) +                      1,364,000
 .............................................................................................
         19,850      Preussag AG (Germany)                                     5,017,892
 .............................................................................................
      1,141,526      Securicor Group PLC (United Kingdom)                      4,633,457
 .............................................................................................
         22,350      Thermo Electron Corp. +                                     930,319
 .............................................................................................
         17,400      United Technologies Corp.                                 2,001,000
 .............................................................................................
         26,000      Whitman Corp.                                               627,250
- ---------------------------------------------------------------------------------------------
                                                                              32,600,342
- ---------------------------------------------------------------------------------------------
Consumer Durable Goods (0.6%)
 .............................................................................................
        120,930      Electrolux AB Ser. B (Sweden)                             6,082,980
- ---------------------------------------------------------------------------------------------
Consumer Non Durables (5.3%)
 .............................................................................................
        919,388      B A T Industries PLC (United Kingdom)                     7,149,641
 .............................................................................................
         12,200      Clorox Co.                                                1,081,225
 .............................................................................................
         16,500      Estee Lauder Cos.                                           697,125
 .............................................................................................
         24,800      First Brands Corp.                                          669,600
 .............................................................................................
        579,000      KAO Corp. (Japan)                                         7,818,615
 .............................................................................................
         37,900      Nike, Inc.                                                3,894,225
 .............................................................................................
        121,000      Onward Kashiyama Co. Ltd (Japan)                          1,976,187
 .............................................................................................
         37,800      Philip Morris Cos., Inc.                                  3,931,200
 .............................................................................................
         25,500      Sampoerna Industries (Indonesia)                            290,518
 .............................................................................................
         84,200      Siam Makro Public Co. Ltd. (Thailand) +                     431,132
 .............................................................................................
          4,000      St. John Knits, Inc.                                        178,500
 .............................................................................................
        373,000      Svenska Cellulosa AB Ser. B, (Sweden)                     7,679,412
 .............................................................................................
        142,000      Tabacalera S.A. Ser. A (Spain)                            7,144,304
 .............................................................................................
         11,100      Tommy Hilfiger Corp. +                                      595,238
 .............................................................................................
      1,103,000      Toray Industries, Inc. (Japan)                            7,608,287
 .............................................................................................
         46,000      Unilever N.V. (Netherlands)                               6,652,225
- ---------------------------------------------------------------------------------------------
                                                                              57,797,434
- ---------------------------------------------------------------------------------------------
Consumer Services (1.0%)
 .............................................................................................
         17,000      American Medical Response +                                 599,250
 .............................................................................................
         16,700      Boston Chicken, Inc. +                                      542,750
 .............................................................................................
         28,600      Gannett Co., Inc.                                         2,023,450
 .............................................................................................
         36,800      Service Corp.                                             2,116,000
 .............................................................................................
         21,450      Stewart Enterprises, Inc. Class A                           670,313
 .............................................................................................
      3,278,000      Sydney Harbor Casino (Australia) +                        4,536,385
- ---------------------------------------------------------------------------------------------
                                                                              10,488,148
- ---------------------------------------------------------------------------------------------
Electronics and Electrical Equipment (7.4%)
 .............................................................................................
          3,000      ABB AG (Switzerland)                                      3,707,192
 .............................................................................................
         10,400      Adtran, Inc. +                                              737,100
 .............................................................................................
         22,000      BMC Industries, Inc.                                        632,500
 .............................................................................................
         70,000      Futaba Corp. (Japan)                                      3,161,497
 .............................................................................................
      1,020,000      General Electric Co. PLC
                     (United Kingdom)                                          5,493,857
 .............................................................................................
         80,000      Hirose Electric Co. Ltd. (Japan)                          4,941,607
 .............................................................................................
         59,100      Honeywell, Inc.                                           3,220,950
 .............................................................................................
         34,300      Intel Corp.                                               2,518,906
 .............................................................................................
         85,000      Leader Universal (Singapore)                                240,277
 .............................................................................................
          3,000      Leader Universal (Malaysia)                                   8,480
 .............................................................................................
         61,000      Mabuchi Motor (Japan)                                     3,884,855
 .............................................................................................
        286,300      Molins PLC (United Kingdom)                               4,337,294
 .............................................................................................
        210,000      Murata Manufacturing Co., Ltd. (Japan)                    7,951,644
 .............................................................................................
        363,000      Nippondenso Co., Ltd. (Japan)                             7,882,666
 .............................................................................................
        358,000      Omron Corp. (Japan)                                       7,610,768
 .............................................................................................
        184,000      Philips Electronics N.V. (Netherlands)                    5,978,923
 .............................................................................................
         62,000      Secom Co. (Japan)                                         4,095,622
 .............................................................................................
        165,000      SGS-Thomson Microelectronics ADR
                     (France) +                                                5,919,375
 .............................................................................................
        450,000      Sharp Corp. (Japan)                                       7,883,214
 .............................................................................................
         92,000      Varitronix International Ltd. (Hong Kong)                   191,959
 .............................................................................................
         11,349      Yageo Corporation GDR (Taiwan) +                             90,792
- ---------------------------------------------------------------------------------------------
                                                                              80,489,478
- ---------------------------------------------------------------------------------------------
Energy-Related (0.8%)
 .............................................................................................
      3,300,000      Alsons Consolidated Resources, Inc.
                     (Philippines) +                                             275,210
 .............................................................................................
        177,670      IHC Caland N.V. (Netherlands)                             8,737,869
- ---------------------------------------------------------------------------------------------
                                                                               9,013,079
- ---------------------------------------------------------------------------------------------
Entertainment (1.2%)
 .............................................................................................
         44,139      Disney (Walt) Productions, Inc.                           2,775,240
 .............................................................................................
         10,000      East India Hotel Ltd. 144A GDR (India) +                    275,000
 .............................................................................................
         73,200      Harrah's Entertainment, Inc. +                            2,067,900
 .............................................................................................
         19,200      HFS, Inc. +                                               1,344,000
 .............................................................................................
          8,600      Indian Hotels, Ltd. 144A GDR (India) +                      226,825
 .............................................................................................
         29,300      Marriott International, Inc.                              1,574,875
 .............................................................................................
         44,900      Mirage Resorts, Inc. +                                    2,424,600
 .............................................................................................
         10,790      Pathe S.A. (France)+                                      2,531,673
- ---------------------------------------------------------------------------------------------
                                                                              13,220,113
- ---------------------------------------------------------------------------------------------
Environmental Control (0.2%)
 .............................................................................................
         12,900      Sanifill, Inc. +                                            635,325
 .............................................................................................
         28,400      U.S. Filter Corp. +                                         986,900
 .............................................................................................
         24,200      United Waste Systems, Inc. +                                780,450
- ---------------------------------------------------------------------------------------------
                                                                               2,402,675
- ---------------------------------------------------------------------------------------------
Food and Beverages (3.7%)
 .............................................................................................
        720,544      Argyll Group PLC (United Kingdom)                         3,880,947
 .............................................................................................
        134,300      Danisco A/S (Denmark)                                     6,682,958
 .............................................................................................
        860,000      Golden Resources Development Intl. Ltd.
                     (Hong Kong)                                                 109,997
 .............................................................................................
        844,000      Goodman Fielder Ltd. ADR (Australia)                        856,092
 .............................................................................................
      1,568,654      Greencore Group PLC (Ireland)                             8,135,589
 .............................................................................................
        600,000      Guinness PLC (United Kingdom)                             4,358,578
 .............................................................................................
          8,140      Nestle S.A. (Switzerland)                                 9,285,591
 .............................................................................................
         44,700      Panamerican Beverages, Inc. Class A                       2,000,325
 .............................................................................................
        151,800      PepsiCo, Inc.                                             5,369,925
 .............................................................................................
          7,639      South African Breweries Ltd.
                     (South Africa)                                              224,168
- ---------------------------------------------------------------------------------------------
                                                                              40,904,170
- ---------------------------------------------------------------------------------------------
Health Care (0.9%)
 .............................................................................................
        540,000      Biota Holdings Ltd. (Australia) +                         2,076,304
 .............................................................................................
         11,400      Cardinal Health, Inc.                                       822,225
 .............................................................................................
         15,400      Genesis Health Ventures, Inc. +                             483,175
 .............................................................................................
         25,050      Health Care & Retirement Corp. +                            594,938
 .............................................................................................
         32,025      Health Management Assoc., Inc. +                            648,506
 .............................................................................................
         12,300      Oxford Health Plans, Inc. +                                 505,838
 .............................................................................................
         22,800      Physician Reliance Network, Inc. +                          507,300
 .............................................................................................
        163,000      Santen Pharmaceutical (Japan)                             3,792,428
 .............................................................................................
         10,500      U.S. Surgical Corp.                                         325,500
- ---------------------------------------------------------------------------------------------
                                                                               9,756,214
- ---------------------------------------------------------------------------------------------
Insurance and Finance (16.2%)
 .............................................................................................
        160,000      ABN AMRO Holding N.V. (Netherlands)                       8,580,796
 .............................................................................................
         12,600      Advanta Corp. Class A                                       642,600
 .............................................................................................
        127,142      Aegon N.V. (Netherlands)                                  5,850,914
 .............................................................................................
      1,519,008      Allied Irish Banks PLC (Ireland)                          7,878,107
 .............................................................................................
         23,900      American International Group, Inc.                        2,357,138
 .............................................................................................
         15,600      Ashok Leyland Ltd. 144A GDR
                     (Luxembourg) +                                              210,600
 .............................................................................................
          4,000      Baer Holdings AG (Switzerland)                            4,310,689
 .............................................................................................
        160,050      Banco Bradesco BRC (Brazil)                               1,307,311
 .............................................................................................
         85,103      Banco de Bilbao Vizcaya (Spain)                           3,445,277
 .............................................................................................
         17,180      Banco De Galicia y Buenos Aires Class B
                     ADR (Argentina)                                             444,533
 .............................................................................................
         76,245      Banco Frances del Rio de la Plata S.A.
                     (Argentina)                                                 723,092
 .............................................................................................
         16,500      Banco Industrial Colombiano ADR
                     (Colombia)                                                  278,438
 .............................................................................................
         16,500      Banco Osorno y Louisiana Union ADR
                     (Chile)                                                     222,750
 .............................................................................................
        121,100      Banco Totta & Accores S.A. (Portugal)                     2,371,670
 .............................................................................................
         50,600      Bank of Boston Corp.                                      2,504,700
 .............................................................................................
        404,352      Bank of Ireland (Ireland)                                 2,748,829
 .............................................................................................
         43,200      BankAmerica Corp.                                         3,272,400
 .............................................................................................
         16,700      Banque Marocaine Du Commerce
                     Exterieur 144A GDR (Morocco)                                233,800
 .............................................................................................
        380,010      Barclays Bank PLC (United Kingdom)                        4,559,552
 .............................................................................................
         18,500      Cetelem Group (France)                                    4,157,425
 .............................................................................................
         13,700      Charter One Financial, Inc.                                 477,788
 .............................................................................................
         43,900      Chase Manhattan Corp. (New)                               3,100,438
 .............................................................................................
        221,170      Cho Hung Bank, Co. Ltd (South Korea)                      2,331,702
 .............................................................................................
         63,500      Citicorp                                                  5,246,688
 .............................................................................................
         67,800      Credit Locale de France S.A. (France)                     5,517,762
 .............................................................................................
        630,000      Daiwa Securities Co. Ltd. (Japan)                         8,104,929
 .............................................................................................
        227,000      Development Bank of Singapore Ltd.
                     (Singapore)                                               2,832,471
 .............................................................................................
         15,500      Finova Group, Inc.                                          755,625
 .............................................................................................
         26,600      Franklin Resources, Inc.                                  1,622,600
 .............................................................................................
        700,400      Guoco Group Ltd. (Hong Kong)                              3,339,030
 .............................................................................................
        420,892      HSBC Holdings PLC (Hong Kong)                             6,362,157
 .............................................................................................
        129,333      Industrial Finance Corp. of Thailand
                     (Thailand )                                                 580,722
 .............................................................................................
        320,500      Malayan Banking Berhad (Malaysia)                         3,084,202
 .............................................................................................
         70,875      Malaysian Assurance Alliance (Malaysia)                     375,120
 .............................................................................................
         86,250      MBNA Corp.                                                2,458,125
 .............................................................................................
        336,000      Mitsubishi Bank Ltd. (Japan)                              7,786,863
 .............................................................................................
         29,800      Morgan (J.P.) & Co., Inc.                                 2,521,825
 .............................................................................................
          3,640      Munich Re (Germany) +                                     7,504,662
 .............................................................................................
         37,800      NationsBank Corp.                                         3,123,225
 .............................................................................................
         20,296      Nedcor Ltd. GDR 144A (South Africa)                         299,366
 .............................................................................................
         26,000      Overseas Union Bank Ltd. (Singapore)                        178,802
 .............................................................................................
         26,000      Philippine Commercial International
                     (Philippines)+                                              325,746
 .............................................................................................
        301,200      QBE Insurance Group Ltd. (Australia)                      1,788,093
 .............................................................................................
        495,515      Royal Insurance Holdings PLC
                     (United Kingdom)                                          3,061,171
 .............................................................................................
         52,600      Salora International Ltd. (India) +                          49,951
 .............................................................................................
        143,100      Skandia Forsakrings AB (Sweden)                           3,787,941
 .............................................................................................
         44,000      Societe Generale (France)                                 4,837,137
 .............................................................................................
         94,000      Southern Bank Berhad (Malaysia)                             229,912
 .............................................................................................
         23,500      Southern Bank Berhad Rights (Malaysia)                        7,218
 .............................................................................................
         29,000      State Bank of India Ltd. (India)                            250,568
 .............................................................................................
         12,400      State Street Boston Corp.                                   632,400
 .............................................................................................
        292,000      Sumitomo Trust & Banking (Japan)                          3,996,351
 .............................................................................................
         12,500      Sun Bancorp, Inc.                                           217,625
 .............................................................................................
          7,922      Swiss Reinsurance Co. (Switzerland)                       8,126,263
 .............................................................................................
         14,700      TCF Financial Corp.                                         488,775
 .............................................................................................
         36,000      Thai Farmers Bank Public Co. (Thailand)                     394,186
 .............................................................................................
        597,000      Tokio Marine & Fire Insurance Co. Ltd.
                     (The) (Japan)                                             7,952,739
 .............................................................................................
         67,400      Travelers Group Inc.                                      3,075,125
 .............................................................................................
        345,000      United Overseas Bank Ltd. (Singapore)                     3,302,021
 .............................................................................................
          9,900      Unum, Corp.                                                 616,275
 .............................................................................................
      1,979,500      Westpac Banking Corp. (Australia)                         8,762,987
 .............................................................................................
        275,000      Yasuda Fire & Marine Insurance Co., Ltd.
                     (Japan)                                                   2,054,973
- ---------------------------------------------------------------------------------------------
                                                                             177,662,180
- ---------------------------------------------------------------------------------------------
Medical Supplies and Devices (0.7%)
 .............................................................................................
         29,400      Becton Dickinson & Co.                                    2,359,350
 .............................................................................................
         12,000      Guidant Corp.                                               591,000
 .............................................................................................
         14,300      IDEXX Laboratories, Inc. +                                  561,275
 .............................................................................................
         33,600      Medtronic, Inc.                                           1,881,600
 .............................................................................................
         39,800      Mentor Corp. Minnesota                                    1,014,900
 .............................................................................................
         24,000      Omnicare, Inc.                                              636,000
 .............................................................................................
          9,000      Physician Sales & Service, Inc. +                           218,250
 .............................................................................................
         15,200      Waters Corp. +                                              501,600
- ---------------------------------------------------------------------------------------------
                                                                               7,763,975
- ---------------------------------------------------------------------------------------------
Metals and Mining (1.2%)
 .............................................................................................
          1,070      CIA Tecidos Norte de Minas (Brazil)                         422,063
 .............................................................................................
         10,400      CIA Vale Do Rio Doce (Brazil)                               201,494
 .............................................................................................
          6,800      Compania Siderurgica Nacional (Brazil)                      173,404
 .............................................................................................
         48,500      Freeport-McMoRan Copper & Gold Co.,
                     Inc. Class A                                              1,448,938
 .............................................................................................
         29,200      Indochina Goldfields Ltd. (Canada)                          240,871
 .............................................................................................
        278,333      Iscor Iron & Steel Industrial Corp., Ltd.
                     (South Africa)                                              218,010
 .............................................................................................
         21,000      Malayawata Steel Berhad (Malaysia)                           36,038
 .............................................................................................
         79,000      Maruichi Malaysia Steel Tube (Malaysia)                     294,587
 .............................................................................................
      5,460,000      MIM Holdings Ltd. (Australia)                             7,040,845
 .............................................................................................
          2,690      N.V. Bekaert S.A. (Belgium)                               2,153,579
 .............................................................................................
         26,479      Sasol Ltd. (South Africa)                                   287,549
 .............................................................................................
          4,200      Siderar S.A. ADR (Argentina) +                               85,050
 .............................................................................................
          1,474      Tung Ho Steel Enterprise GDR (Taiwan)+                       16,214
 .............................................................................................
         13,900      Usiminas Siderurg Minas 144A ADR
                     (Brazil)                                                    150,897
- ---------------------------------------------------------------------------------------------
                                                                              12,769,539
- ---------------------------------------------------------------------------------------------
Oil and Gas (5.1%)
 .............................................................................................
        123,000      Astra CIA Argentina de Petro (Argentina)                    291,627
 .............................................................................................
         11,700      Basic Petroleum International Ltd +                         312,975
 .............................................................................................
         22,800      British Petroleum PLC ADR
                     (United Kingdom)                                          2,436,750
 .............................................................................................
        338,454      Burmah Oil PLC (United Kingdom)                           5,353,299
 .............................................................................................
         14,300      Camco International, Inc.                                   484,413
 .............................................................................................
         61,336      CIA Naviera Perez Co.
                     Class B (Argentina)                                         401,912
 .............................................................................................
        585,000      Cosmo Oil Co. Ltd. (Japan)                                3,618,888
 .............................................................................................
         17,400      Energy Africa Ltd. (South Africa) +                         276,225
 .............................................................................................
         41,600      Enron Corp.                                               1,700,400
 .............................................................................................
        188,000      Far East Levingston Shipbuilding Ltd.
                     (Singapore)                                               1,039,631
 .............................................................................................
        118,500      Halliburton Co.                                           6,576,750
 .............................................................................................
          8,300      Lukoil Oil, Co. ADR (Russia)                                340,300
 .............................................................................................
         21,500      Mobil Corp.                                               2,410,688
 .............................................................................................
         18,590      Pakistan State Oil (Pakistan)                               219,331
 .............................................................................................
         24,400      Petroleo Brasileiro S.A. (Brazil)                         3,001,693
 .............................................................................................
        120,000      Repsol S.A. (Spain)                                       4,170,046
 .............................................................................................
        121,000      Repsol S.A. ADS (Spain)                                   4,204,750
 .............................................................................................
         99,400      Societe Nationale Elf Aquitaine (France)                  7,309,477
 .............................................................................................
         47,300      Sonat, Inc.                                               2,128,500
 .............................................................................................
        126,600      Total Corp. ADR Class B (France)                          9,388,342
- ---------------------------------------------------------------------------------------------
                                                                              55,665,997
- ---------------------------------------------------------------------------------------------
Paper and Forest Products (0.5%)
 .............................................................................................
        398,800      Cartiere Burgo S.P.A. (Italy) +                           2,177,280
 .............................................................................................
         75,000      Mayr-Melnhof Karton AG (Austria) +                        3,225,882
 .............................................................................................
         29,700      Portucel Industrial Empresa S.A. 144A
                     ADS (Portugal) +                                            185,625
- ---------------------------------------------------------------------------------------------
                                                                               5,588,787
- ---------------------------------------------------------------------------------------------
Pharmaceuticals (5.1%)
 .............................................................................................
        187,150      Astra AB (Sweden)                                         8,270,731
 .............................................................................................
          9,000      Ciba-Geigy AG (Switzerland)                              10,956,334
 .............................................................................................
         11,200      Elan Corp. PLC ADR (Ireland)+                               639,800
 .............................................................................................
          8,800      Gedeon Richter Ltd., GDR (Hungary)                          435,600
 .............................................................................................
         34,400      Interneuron Pharmaceuticals, Inc. +                       1,032,000
 .............................................................................................
         86,600      Johnson & Johnson                                         4,286,700
 .............................................................................................
         67,700      Lilly (Eli) & Co.                                         4,400,500
 .............................................................................................
         31,500      Merck & Co., Inc.                                         2,035,688
 .............................................................................................
         40,500      Pfizer, Inc.                                              2,890,688
 .............................................................................................
        192,100      Pharmacia & Upjohn, Inc. Depository
                     Shares (Sweden)                                           8,402,564
 .............................................................................................
         87,670      Pharmacia & Upjohn, Inc.                                  3,890,356
 .............................................................................................
         35,700      Warner-Lambert Co.                                        1,963,500
 .............................................................................................
        324,000      Yamanouchi Pharmaceutical Co. Ltd.
                     (Japan)                                                   7,035,768
- ---------------------------------------------------------------------------------------------
                                                                              56,240,229
- ---------------------------------------------------------------------------------------------
Photography (0.3%)
 .............................................................................................
         40,400      Eastman Kodak Co.                                         3,141,100
- ---------------------------------------------------------------------------------------------
Publishing (0.3%)
 .............................................................................................
         15,800      Belo (A.H.) Corp. Ser. A                                    588,550
 .............................................................................................
        254,700      Pearson PLC (United Kingdom)                              2,625,093
- ---------------------------------------------------------------------------------------------
                                                                               3,213,643
- ---------------------------------------------------------------------------------------------
Real Estate (2.5%)
 .............................................................................................
      4,193,000      Amoy Properties Ltd. (Hong Kong)                          5,065,057
 .............................................................................................
      1,674,000      Cheung Kong Holdings Ltd. (Hong Kong)                    12,057,247
 .............................................................................................
      1,576,000      Hong Kong Land Holdings Ltd.
                     (Hong Kong)                                               3,546,000
 .............................................................................................
        651,000      Sun Hung Kai Properties Ltd. (Hong Kong)                  6,581,322
- ---------------------------------------------------------------------------------------------
                                                                              27,249,626
- ---------------------------------------------------------------------------------------------
Recreation (--%)
 .............................................................................................
         13,000      Ek Chor China Motorcycle Co., Ltd.
                     (Hong Kong)                                                 175,500
- ---------------------------------------------------------------------------------------------
Retail (5.0%)
 .............................................................................................
        275,000      Cifra S.A. de CV Class C (Mexico) +                         392,391
 .............................................................................................
         21,000      Consolidated Stores, Corp. +                                771,750
 .............................................................................................
        272,000      Cycle & Carriage Ltd. (Singapore)                         2,911,875
 .............................................................................................
         28,400      Dayton Hudson Corp.                                       2,928,750
 .............................................................................................
         28,900      Eckerd Corp. +                                              653,863
 .............................................................................................
         70,500      Federated Department Stores +                             2,405,813
 .............................................................................................
         43,600      Home Depot, Inc. (The)                                    2,354,400
 .............................................................................................
        145,000      Ito-Yokado Co., Ltd. (Japan)                              8,744,984
 .............................................................................................
        365,000      Marui Co., Ltd. (Japan)                                   8,092,612
 .............................................................................................
         43,800      Nine West Group, Inc. +                                   2,239,275
 .............................................................................................
         66,600      Officemax, Inc. +                                         1,590,075
 .............................................................................................
         80,600      Safeway, Inc. +                                           2,659,800
 .............................................................................................
         14,100      Santa Isabel S.A. ADR (Chile) +                             391,275
 .............................................................................................
        927,800      Sears PLC (United Kingdom)                                1,425,730
 .............................................................................................
         39,800      Sears Roebuck de Mexico S.A. (Mexico)+                      104,552
 .............................................................................................
        101,300      Sears, Roebuck & Co.                                      4,925,713
 .............................................................................................
         33,500      Sherwin Williams Co.                                      1,557,750
 .............................................................................................
         37,400      Staples, Inc. +                                             729,300
 .............................................................................................
         68,900      TJX Cos., Inc. (The)                                      2,325,375
 .............................................................................................
        150,100      Vendex International N.V. (Netherlands)                   5,228,893
 .............................................................................................
         24,100      Vons Cos., Inc. +                                           900,738
 .............................................................................................
         55,600      Walgreen Co.                                              1,862,600
- ---------------------------------------------------------------------------------------------
                                                                              55,197,514
- ---------------------------------------------------------------------------------------------
Specialty Consumer Products (0.2%)
 .............................................................................................
         32,600      Gucci Group (Italy)+                                      2,102,700
- ---------------------------------------------------------------------------------------------
Telecommunications (2.9%)
 .............................................................................................
         44,900      Ascend Communications, Inc. +                             2,525,625
 .............................................................................................
          5,675      Asia Satellite Telecommunications
                     Holdings Ltd.  ADR (Hong Kong) +                            168,831
 .............................................................................................
             63      Cable & Wireless PLC (United Kingdom)                           417
 .............................................................................................
         40,500      Cascade Communications Corp. +                            2,754,000
 .............................................................................................
          3,600      Diana, Corp. +                                              146,250
 .............................................................................................
         84,000      Hong Kong Telecommunications Ltd.
                     (Hong Kong)                                                 150,849
 .............................................................................................
          3,000      Hong Kong Telecommunications Ltd.
                     ADR (Hong Kong)                                              54,000
 .............................................................................................
        112,500      MCI Communications Corp.                                  2,882,813
 .............................................................................................
         21,600      Octel Telecommunications Corp. +                            426,600
 .............................................................................................
          1,560      Pakistan Telecomm Ltd. 144A
                     GDR (Pakistan) +                                            180,960
 .............................................................................................
          7,100      PT Pasifik Satelit Nusantara ADR
                     (Indonesia) +                                               142,000
 .............................................................................................
          2,400      Philippine Long Distance Telephone Co.
                     ADR (Philippines)                                           139,500
 .............................................................................................
         82,500      Philippino Telephone Co. (Philippines)                      126,243
 .............................................................................................
         11,700      Picturetel, Corp. +                                         460,688
 .............................................................................................
         11,500      Premisys Communications, Inc. +                             701,500
 .............................................................................................
        129,200      Royal PTT (United Kingdom)                                4,886,604
 .............................................................................................
        214,800      Tele Danmark A/S ADS (Denmark)                            5,450,550
 .............................................................................................
         20,500      Telecom Argentina Class B (Argentina) +                      95,363
 .............................................................................................
          4,800      Telecom Argentina S.A. ADR (Argentina) +                    225,000
 .............................................................................................
            618      Telecomunicacoes do Rio de Janeiro
                     (Brazil)                                                     69,558
 .............................................................................................
          6,300      Telefonos de Mexico S.A.  Class L
                     ADR (Mexico)                                                211,050
 .............................................................................................
         41,100      Tellabs, Inc. +                                           2,748,563
 .............................................................................................
          3,331      Telemig (Telec de Minas Gerais) (Brazil)                    343,452
 .............................................................................................
         25,600      U.S. Robotics Corp. +                                     2,188,800
 .............................................................................................
        947,118      Vodafone Group PLC (United Kingdom)                       3,520,929
 .............................................................................................
         20,100      Wisconsin Central Transportation, Corp. +                   653,250
- ---------------------------------------------------------------------------------------------
                                                                              31,253,395
- ---------------------------------------------------------------------------------------------
Transportation (2.5%)
 .............................................................................................
         26,700      Burlington Northern Santa Fe Corp.                        2,159,363
 .............................................................................................
          1,440      East Japan Railway Co. (Japan)                            7,554,747
 .............................................................................................
         13,400      Fritz Companies, Inc. +                                     432,150
 .............................................................................................
        142,600      K.L.M.-Royal Dutch Airlines (Netherlands)                 4,558,525
 .............................................................................................
        340,000      Singapore Airlines Ltd. (Singapore)                       3,591,634
 .............................................................................................
        582,100      Swire Pacific Ltd. Class A (Hong Kong)                    4,982,316
 .............................................................................................
         15,520      Telco (Tata Engineering & Locomotive
                     Co., Ltd.) 144A GDR (India)                                 271,600
 .............................................................................................
        317,000      Yamato Transport Co. Ltd. (Japan)                         3,731,114
- ---------------------------------------------------------------------------------------------
                                                                              27,281,449
- ---------------------------------------------------------------------------------------------
Utilities (5.8%)
 .............................................................................................
        513,294      Anglian Water PLC (United Kingdom)                        4,724,638
 .............................................................................................
          9,700      AO Mosenergo 144A ADS (Russia) +                            271,600
 .............................................................................................
         29,600      Calenergy, Inc. +                                           754,800
 .............................................................................................
         13,600      Capex S.A. 144A (Argentina)                                 212,568
 .............................................................................................
        273,000      Centrais Electric de Santa Catarina S.A.
                     (Brazil) +                                                  255,623
 .............................................................................................
         23,000      Chubu Electric Power, Inc. (Japan)                          520,438
 .............................................................................................
          7,497      Comp Energetica De Minas Gerais
                     (Cemig) 144A ADS (Brazil)                                   196,796
 .............................................................................................
         99,000      Consolidated Electric Power Asia Ltd.
                     (Hong Kong)                                                 163,717
 .............................................................................................
         64,500      GTE Corp.                                                 2,886,375
 .............................................................................................
        840,000      Hong Kong Electric Holdings Ltd.
                     (Hong Kong)                                               2,561,174
 .............................................................................................
         23,444      Hubco Power GDR (Pakistan)                                  580,239
 .............................................................................................
        231,000      Kurita Water Industries Ltd. (Japan)                      5,627,465
 .............................................................................................
        100,000      Kyushu Electric Power, Inc. (Japan)                       2,253,650
 .............................................................................................
         21,300      LCI International, Inc. +                                   668,288
 .............................................................................................
            971      Nippon Telegraph and Telephone Corp.
                     (Japan)                                                   7,193,907
 .............................................................................................
        969,000      Scottish Power PLC (United Kingdom)                       4,572,409
 .............................................................................................
        137,800      Telebras Co. ADR (Brazil)                                 9,749,350
 .............................................................................................
        377,000      Tokyo Electric Power Co., Inc. (Japan)                    9,562,594
 .............................................................................................
         62,228      United Utilities PLC(United Kingdom)                        523,519
 .............................................................................................
        202,700      Veba (Vereinigte Elektrizitaets
                     Bergwerks) AG (Germany)                                  10,763,182
- ---------------------------------------------------------------------------------------------
                                                                              64,042,332
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $897,308,769)                                  $1,030,316,195
- ---------------------------------------------------------------------------------------------
INVESTMENT COMPANIES (0.1%)*
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
         29,200      Fleming Russia Securities Fund Ltd.
                     (Ireland) +                                                $317,550
 .............................................................................................
          6,200      India Magnum Fund Class A (India)
                     (acquired 3/22/95, cost $334,800)+++                         316,200
 .............................................................................................
          9,773      Inversiones Y Represent-ADR
                     (Argentina) +                                               329,839
 .............................................................................................
         12,500      Taiwan Fund                                                 300,000
- ---------------------------------------------------------------------------------------------
                     Total Investment Companies
                     (cost $1,158,623)                                        $1,263,589
- ---------------------------------------------------------------------------------------------
CONVERTIBLE PREFERRED (--%)* (cost $20,197)
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
          5,720      Internationale Nederlanden 2.5 NLG
                     cv. pfd. (Netherlands)                                      $29,739
- ---------------------------------------------------------------------------------------------
WARRANTS (--%)*+
- ---------------------------------------------------------------------------------------------
<CAPTION>
Nummber of                                                  Expiration             Value
Warrants                                                          Date
 .............................................................................................
          <S>        <C>                                       <C>               <C>
          5,000      Nedcor Ltd. 144A (South Africa)           9/30/97           $17,500
 .............................................................................................
          9,000      Rieter Holding (Switzerland)              2/18/97             8,980
- ---------------------------------------------------------------------------------------------
                     Total Warrants (cost $--)                                   $26,480
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (6.1%) *
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                                                   Value
 .............................................................................................
    <S>              <C>                                                     <C>
    $20,000,000      Federal National Mortgage Association,
                     effective yield of 5.28%, July 26, 1996                 $19,926,666
 .............................................................................................
     46,656,000      Interest in $500,000,000 joint repurchase
                     agreement dated June 28, 1996
                     with Lehman Brothers Inc. due
                     July 1, 1996 with respect to various
                     U.S. Treasury obligations--maturity
                     value of $46,677,384 for an effective
                     yield of 5.50%.                                          46,677,384
- ---------------------------------------------------------------------------------------------
                     Total Short-Term Investments
                     (cost $66,604,050)                                      $66,604,050
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $ 965,091,639)***                              $1,098,240,053
- ---------------------------------------------------------------------------------------------
Forward Currency Contracts to Sell at June 30, 1996
(Aggregate Face Value $257,170,457)
- ---------------------------------------------------------------------------------------------
<CAPTION>
                                                                              Unrealized
                          Market           Aggregate          Delivery     Appreciation/
                           Value          Face Value              Date    (Depreciation)
 .............................................................................................
<S>                  <C>                 <C>                  <C>              <C>
British Pounds       $15,701,140         $15,354,059          11/12/96         $(347,081)
 .............................................................................................
Deutschemarks         13,697,487          13,764,977          11/12/96            67,490
 .............................................................................................
Dutch Guilders        27,049,010          27,262,437          11/12/96           213,427
 .............................................................................................
French Francs         61,226,486          60,799,047          11/12/96          (427,439)
 .............................................................................................
Japanese Yen         132,843,160         139,989,937           7/17/96         7,146,777
- ---------------------------------------------------------------------------------------------
                                                                              $6,653,174
- ---------------------------------------------------------------------------------------------
Diversification by Country
- ---------------------------------------------------------------------------------------------
<CAPTION>
Distribution of investments by country of issue at June 30, 1996:
- ---------------------------------------------------------------------------------------------
<S>                                                                                  <C>
Argentina                                                                            0.3%
 .............................................................................................
Australia                                                                            2.3
 .............................................................................................
Austria                                                                              0.9
 .............................................................................................
Belgium                                                                              0.8
 .............................................................................................
Brazil                                                                               1.4
 .............................................................................................
Canada                                                                               0.3
 .............................................................................................
Chile                                                                                0.1
 .............................................................................................
Colombia                                                                              --
 .............................................................................................
Denmark                                                                              1.1
 .............................................................................................
France                                                                               6.4
 .............................................................................................
Germany                                                                              3.1
 .............................................................................................
Hong Kong                                                                            5.5
 .............................................................................................
Hungary                                                                               --
 .............................................................................................
India                                                                                0.2
 .............................................................................................
Indonesia                                                                            0.1
 .............................................................................................
Ireland                                                                              2.7
 .............................................................................................
Italy                                                                                0.5
 .............................................................................................
Japan                                                                               19.7
 .............................................................................................
Luxembourg                                                                            --
 .............................................................................................
Malaysia                                                                             0.5
 .............................................................................................
Mexico                                                                               0.1
 .............................................................................................
Morocco                                                                               --
 .............................................................................................
Netherlands                                                                          6.1
 .............................................................................................
Pakistan                                                                             0.1
 .............................................................................................
Philippines                                                                          0.1
 .............................................................................................
Portugal                                                                             0.2
 .............................................................................................
Russia                                                                               0.1
 .............................................................................................
Singapore                                                                            1.3
 .............................................................................................
South Africa                                                                         0.1
 .............................................................................................
South Korea                                                                          0.2
 .............................................................................................
Spain                                                                                1.7
 .............................................................................................
Sweden                                                                               3.3
 .............................................................................................
Switzerland                                                                          4.2
 .............................................................................................
Taiwan                                                                                --
 .............................................................................................
Thailand                                                                             0.1
 .............................................................................................
United Kingdom                                                                       6.2
 .............................................................................................
United States                                                                       30.3
- ---------------------------------------------------------------------------------------------
Total                                                                              100.0%
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

</TABLE>

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS


PCM Growth & Income Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMON STOCKS (89.6%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Aerospace and Defense (1.6%)
 .............................................................................................
        <S>          <C>                                                     <C>
        707,010      Lockheed Martin Corp.                                   $59,388,840
 .............................................................................................
        242,450      Sundstrand Corp.                                          8,879,731
- ---------------------------------------------------------------------------------------------
                                                                              68,268,571
- ---------------------------------------------------------------------------------------------
Automotive (3.8%)
 .............................................................................................
        521,960      Chrysler Corp.                                           32,361,520
 .............................................................................................
      1,151,380      Ford Motor Co.                                           37,275,928
 .............................................................................................
      1,494,650      General Motors Corp.                                     78,282,294
 .............................................................................................
        385,000      Goodyear Tire & Rubber Co.                               18,576,250
- ---------------------------------------------------------------------------------------------
                                                                             166,495,992
- ---------------------------------------------------------------------------------------------
Basic Industrial Products (3.7%)
 .............................................................................................
        200,000      Ball Corp.                                                5,750,000
 .............................................................................................
         83,200      Case Corp.                                                3,993,600
 .............................................................................................
        330,560      Caterpillar, Inc.                                        22,395,440
 .............................................................................................
        508,200      Cooper Industries, Inc.                                  21,090,300
 .............................................................................................
        980,741      Deere (John) & Co.                                       39,229,640
 .............................................................................................
        425,000      General Signal Corp.                                     16,096,875
 .............................................................................................
        747,100      Minnesota Mining & Manufacturing Co.                     51,549,900
- ---------------------------------------------------------------------------------------------
                                                                             160,105,755
- ---------------------------------------------------------------------------------------------
Building and Construction (0.4%)
 .............................................................................................
        280,250      Armstrong World Industries, Inc.                         16,149,406
- ---------------------------------------------------------------------------------------------
Business Equipment and Services (3.0%)
 .............................................................................................
        562,275      Dun & Bradstreet Corp.                                   35,142,188
 .............................................................................................
        558,000      IBM Corp.                                                55,242,000
 .............................................................................................
        761,460      Xerox Corp.                                              40,738,110
- ---------------------------------------------------------------------------------------------
                                                                             131,122,298
- ---------------------------------------------------------------------------------------------
Chemicals (2.9%)
 .............................................................................................
        481,710      Bayer AG ADR (Germany)                                   17,010,193
 .............................................................................................
        223,490      Dow Chemical Co.                                         16,985,240
 .............................................................................................
        677,913      du Pont (E.I.) de Nemours & Co., Ltd.                    53,639,855
 .............................................................................................
        221,087      Eastman Chemical Co.                                     13,458,671
 .............................................................................................
        700,600      Witco Chemical Corp.                                     24,083,125
- ---------------------------------------------------------------------------------------------
                                                                             125,177,084
- ---------------------------------------------------------------------------------------------
Conglomerates (4.3%)
 .............................................................................................
        471,050      General Motors Corp. Class H                             28,321,881
 .............................................................................................
        500,450      ITT Industries, Inc.                                     12,573,806
 .............................................................................................
         50,700      Johnson Controls Inc.                                     3,523,650
 .............................................................................................
        275,000      Ogden Corp.                                               4,984,375
 .............................................................................................
        650,200      Tenneco Inc.                                             33,241,475
 .............................................................................................
        787,103      TRW, Inc.                                                70,740,882
 .............................................................................................
        288,700      United Technologies Corp.                                33,200,500
- ---------------------------------------------------------------------------------------------
                                                                             186,586,569
- ---------------------------------------------------------------------------------------------
Consumer Durable Goods (1.0%)
 .............................................................................................
        126,350      Maytag Corp.                                              2,637,556
 .............................................................................................
        843,400      Whirlpool Corp.                                          41,853,725
- ---------------------------------------------------------------------------------------------
                                                                              44,491,281
- ---------------------------------------------------------------------------------------------
Consumer Non Durables (7.0%)
 .............................................................................................
      1,102,200      American Brands, Inc.                                    50,012,325
 .............................................................................................
        986,400      Avon Products, Inc.                                      44,511,300
 .............................................................................................
        251,400      Colgate-Palmolive Co.                                    21,306,150
 .............................................................................................
      1,046,230      Kimberly-Clark Corp.                                     80,821,268
 .............................................................................................
        870,541      Philip Morris Cos., Inc.                                 90,536,264
 .............................................................................................
        675,000      RJR Nabisco Holdings Corp.                               20,925,000
- ---------------------------------------------------------------------------------------------
                                                                             308,112,307
- ---------------------------------------------------------------------------------------------
Consumer Services (0.2%)
 .............................................................................................
        140,000      Gannett Co., Inc.                                         9,905,000
- ---------------------------------------------------------------------------------------------
Electronics and Electrical Equipment (3.5%)
 .............................................................................................
        517,900      Eaton Corp.                                              30,361,888
 .............................................................................................
        235,000      General Electric Co.                                     20,327,500
 .............................................................................................
        198,500      Honeywell, Inc.                                          10,818,250
 .............................................................................................
        568,350      Intel Corp.                                              41,738,203
 .............................................................................................
        980,300      Texas Instruments, Inc.                                  48,892,463
- ---------------------------------------------------------------------------------------------
                                                                             152,138,304
- ---------------------------------------------------------------------------------------------
Environmental Control (0.4%)
 .............................................................................................
        550,000      WMX Technologies, Inc.                                   18,012,500
- ---------------------------------------------------------------------------------------------
Food and Beverages (1.0%)
 .............................................................................................
        300,000      Anheuser-Busch Cos., Inc.                                22,500,000
 .............................................................................................
        365,740      General Mills, Inc.                                      19,932,830
- ---------------------------------------------------------------------------------------------
                                                                              42,432,830
- ---------------------------------------------------------------------------------------------
Insurance and Finance (15.2%)
 .............................................................................................
        683,700      AON Corp.                                                34,697,775
 .............................................................................................
      1,198,000      Ahmanson (H.F.) & Co.                                    32,346,000
 .............................................................................................
      1,318,487      American General Corp.                                   47,959,965
 .............................................................................................
        518,900      BankAmerica Corp.                                        39,306,675
 .............................................................................................
      1,041,340      Bankers Trust New York Corp.                             76,928,993
 .............................................................................................
        634,900      Beneficial Corp.                                         35,633,763
 .............................................................................................
        356,200      CIGNA Corp.                                              41,987,075
 .............................................................................................
        253,050      CoreStates Financial Corp.                                9,742,425
 .............................................................................................
        227,600      Federal National Mortgage Association                     7,624,600
 .............................................................................................
      1,649,100      Fleet Financial Group, Inc.                              71,735,850
 .............................................................................................
        980,150      Keycorp                                                  37,980,813
 .............................................................................................
        906,839      Morgan (J.P.) & Co., Inc.                                76,741,250
 .............................................................................................
        122,800      National City Corp.                                       4,313,350
 .............................................................................................
        648,950      NationsBank Corp.                                        53,619,494
 .............................................................................................
      1,252,830      PNC Bank Corp.                                           37,271,693
 .............................................................................................
        400,000      St. Paul Cos., Inc.                                      21,400,000
 .............................................................................................
        975,000      USF&G Corp.                                              15,965,625
 .............................................................................................
         75,000      Wells Fargo & Co.                                        17,915,625
- ---------------------------------------------------------------------------------------------
                                                                             663,170,971
- ---------------------------------------------------------------------------------------------
Medical Supplies and Devices (1.2%)
 .............................................................................................
      1,095,550      Baxter International, Inc.                               51,764,738
- ---------------------------------------------------------------------------------------------
Metals and Mining (1.0%)
 .............................................................................................
        915,570      Freeport-McMoRan Copper & Gold
                     Co., Inc. Class A                                        27,352,654
 .............................................................................................
        540,346      Freeport-McMoRan Copper & Gold
                     Co., Inc. Class B                                        17,223,529
- ---------------------------------------------------------------------------------------------
                                                                              44,576,183
- ---------------------------------------------------------------------------------------------
Oil and Gas (8.5%)
 .............................................................................................
        600,300      Amoco Corp.                                              43,446,713
 .............................................................................................
         56,400      Atlantic Richfield Co.                                    6,683,400
 .............................................................................................
        416,404      British Petroleum PLC ADR
                     (United Kingdom)                                         44,503,178
 .............................................................................................
        683,550      Chevron, Inc.                                            40,329,450
 .............................................................................................
        350,000      Enron Corp.                                              14,306,250
 .............................................................................................
        508,350      Exxon Corp.                                              44,162,906
 .............................................................................................
        336,200      Mobil Corp.                                              37,696,425
 .............................................................................................
      1,630,406      Occidental Petroleum Corp.                               40,352,549
 .............................................................................................
        647,100      PanEnergy Corp.                                          21,273,413
 .............................................................................................
        433,490      Phillips Petroleum Co.                                   18,152,394
 .............................................................................................
         89,600      Repsol S.A. ADS (Spain)                                   3,113,600
 .............................................................................................
         52,500      Royal Dutch Petroleum Co. PLC
                     ADR (Netherlands)                                         8,071,875
 .............................................................................................
      1,372,748      Total Corp. ADR (France)                                 50,963,270
- ---------------------------------------------------------------------------------------------
                                                                             373,055,423
- ---------------------------------------------------------------------------------------------
Paper and Forest Products (1.7%)
 .............................................................................................
        137,836      Rayonier, Inc.                                            5,237,768
 .............................................................................................
        200,250      Union Camp Corp.                                          9,762,188
 .............................................................................................
      1,413,900      Weyerhaeuser Co.                                         60,090,750
- ---------------------------------------------------------------------------------------------
                                                                              75,090,706
- ---------------------------------------------------------------------------------------------
Pharmaceuticals (5.7%)
 .............................................................................................
        693,100      American Home Products Corp.                             41,672,638
 .............................................................................................
        432,550      Bristol-Myers Squibb Co.                                 38,929,500
 .............................................................................................
      1,670,257      Pharmacia & Upjohn, Inc.                                 74,117,654
 .............................................................................................
      1,691,700      Warner-Lambert Co.                                       93,043,500
- ---------------------------------------------------------------------------------------------
                                                                             247,763,292
- ---------------------------------------------------------------------------------------------
Photography (1.7%)
 .............................................................................................
        947,100      Eastman Kodak Co.                                        73,637,025
- ---------------------------------------------------------------------------------------------
Publishing (1.0%)
 .............................................................................................
        122,650      Dow Jones & Co., Inc.                                     5,120,638
 .............................................................................................
        349,990      McGraw-Hill, Inc.                                        16,012,043
 .............................................................................................
        500,000      Times Mirror Co. Class A                                 21,750,000
- ---------------------------------------------------------------------------------------------
                                                                              42,882,681
- ---------------------------------------------------------------------------------------------
Real Estate Investment Trusts (REIT's) (0.9%)
 .............................................................................................
        100,000      Avalon Properties, Inc.                                   2,175,000
 .............................................................................................
        143,059      Beacon Properties Corp.                                   3,665,887
 .............................................................................................
         75,000      Bradley Real Estate Trust, Inc.                           1,087,500
 .............................................................................................
        210,000      Debartolo Realty Corp.                                    3,386,250
 .............................................................................................
        109,600      FelCor Suite Hotels, Inc.                                 3,342,800
 .............................................................................................
         50,000      LTC Properties, Inc.                                        825,000
 .............................................................................................
         83,600      Macerich Co.                                              1,755,600
 .............................................................................................
        418,250      Meditrust Corp.                                          13,959,094
 .............................................................................................
        160,000      Nationwide Health Properties, Inc.                        3,380,000
 .............................................................................................
         70,900      Smith (Charles E.) Residential Realty, Inc.               1,701,600
 .............................................................................................
        100,000      Storage USA, Inc.                                         3,225,000
 .............................................................................................
         40,000      Tanger Factory Outlet Centers                               930,000
 .............................................................................................
         37,500      Wellsford Residential Property Trust                        843,750
- ---------------------------------------------------------------------------------------------
                                                                              40,277,481
- ---------------------------------------------------------------------------------------------
Retail (6.0%)
 .............................................................................................
        557,850      Dayton Hudson Corp.                                      57,528,281
 .............................................................................................
      2,789,450      K mart Corp.                                             34,519,444
 .............................................................................................
        939,600      May Department Stores Co.                                41,107,500
 .............................................................................................
        500,000      Melville Corporation                                     20,250,000
 .............................................................................................
         65,600      Payless Shoesource, Inc. +                                2,082,800
 .............................................................................................
      1,119,635      Penney (J.C.) Co., Inc.                                  58,780,838
 .............................................................................................
        650,000      Rite Aid Corp.                                           19,337,500
 .............................................................................................
        621,450      Sears, Roebuck & Co.                                     30,218,006
- ---------------------------------------------------------------------------------------------
                                                                             263,824,369
- ---------------------------------------------------------------------------------------------
Transportation (2.9%)
 .............................................................................................
        410,825      Conrail, Inc.                                            27,268,509
 .............................................................................................
        127,400      CSX Corp.                                                 6,147,050
 .............................................................................................
        312,050      Norfolk Southern Corp.                                   26,446,238
 .............................................................................................
      1,500,000      Railtrack Group PLC (United Kingdom) +                    5,098,977
 .............................................................................................
        883,100      Ryder System, Inc.                                       24,837,188
 .............................................................................................
        534,400      Union Pacific Corp.                                      37,341,200
- ---------------------------------------------------------------------------------------------
                                                                             127,139,162
- ---------------------------------------------------------------------------------------------
Utilities (11.0%)
 .............................................................................................
        594,190      American Telephone & Telegraph Co.                       36,839,780
 .............................................................................................
        949,680      Bell Atlantic Corp.                                      60,542,100
 .............................................................................................
        874,501      Cinergy Corp.                                            27,984,032
 .............................................................................................
        408,900      Entergy Corp.                                            11,602,538
 .............................................................................................
        806,250      GTE Corp.                                                36,079,688
 .............................................................................................
        237,000      Houston Industries, Inc.                                  5,836,125
 .............................................................................................
        500,000      Long Island Lighting Co.                                  8,375,000
 .............................................................................................
      1,106,450      Northeast Utilities Co.                                  14,798,769
 .............................................................................................
        891,880      NYNEX Corp.                                              42,364,300
 .............................................................................................
        113,200      Pacific Enterprises                                       3,353,550
 .............................................................................................
        871,550      Pacific Telesis Group                                    29,414,813
 .............................................................................................
        608,600      Peco Energy Co.                                          15,823,600
 .............................................................................................
        625,000      Potomac Electric Power Co.                               16,562,500
 .............................................................................................
        128,000      Public Service Co. of Colorado                            4,704,000
 .............................................................................................
      1,216,700      Public Service Enterprise Group, Inc.                    33,307,163
 .............................................................................................
        607,600      SBC Communications, Inc.                                 29,924,300
 .............................................................................................
        926,200      Southern Co.                                             22,807,675
 .............................................................................................
        928,650      Sprint Corp.                                             39,003,300
 .............................................................................................
        151,693      Union Electric Co.                                        6,105,643
 .............................................................................................
      1,129,780      US West Communications Inc.                              36,011,738
- ---------------------------------------------------------------------------------------------
                                                                             481,440,614
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $3,280,395,006)                                $3,913,620,542
- ---------------------------------------------------------------------------------------------
U.S. GOVERNMENT AND AGENCY OBLIGATIONS (4.3%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
                     U.S. Treasury Bonds
 .............................................................................................
    $52,000,000      8 1/8s, August 15, 2019                                 $58,370,000
 .............................................................................................
     83,200,000      8s, November 15, 2021                                    92,520,896
 .............................................................................................
     38,805,000      6 1/4s, August 15, 2023                                  35,179,061
- ---------------------------------------------------------------------------------------------
                     Total U.S. Government and
                     Agency Obligations
                     (cost $185,667,235)                                    $186,069,957
- ---------------------------------------------------------------------------------------------
CONVERTIBLE BONDS AND NOTES (0.9%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
    $ 4,750,000      Banco Nacional De Mexico SA
                     cv. bonds 7s, 1999 (Mexico)                              $4,381,875
 .............................................................................................
GBP   5,250,000      British Airport Authority PLC cv. bonds
                     5 3/4s, 2006 (United Kingdom)                             8,210,168
 .............................................................................................
     $5,400,000      Italy (Government of) cv. notes 5s,
                     2001 (Italy)                                              5,508,000
 .............................................................................................
      7,000,000      Mitsubishi Bank Ltd. International Finance
                     (Bermuda) cv. trust guaranteed notes
                     3s, 2002 (Japan)                                          8,155,000
 .............................................................................................
     26,000,000      Roche Holdings, Inc. 144A cv. unsub.
                     Liquid Yield Option Note (LYON)
                     zero %, 2010 (Switzerland)                               11,082,500
- ---------------------------------------------------------------------------------------------
                     Total Convertible Bonds and Notes
                     (cost $35,952,446)                                      $37,337,543
- ---------------------------------------------------------------------------------------------
CONVERTIBLE PREFERRED STOCKS (0.5%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
        165,000      Atlantic Richfield Co. $2.23 cv. pfd.                    $4,021,875
 .............................................................................................
         90,000      Freeport-McMoRan Copper &
                     Gold Co., Inc. stepped-coupon
                     $1.25 ($1.75, 8/1/96) ++                                  2,452,500
 .............................................................................................
        295,390      K mart Financing I $3.875 cv. pfd.                       16,024,908
- ---------------------------------------------------------------------------------------------
                     Total Convertible Preferred Stocks
                     (cost $22,084,886)                                      $22,499,283
- ---------------------------------------------------------------------------------------------
UNITS (0.1%)*(cost $4,921,500)
- ---------------------------------------------------------------------------------------------
Number of Units                                                                    Value
 .............................................................................................
      3,750,000      Siemens Capital Corp. Co. Guaranty
                     Units 8s, 2002                                           $4,968,750
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (4.7%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
    $15,300,000      Ciesco L.P., effective yield of 5.29%,
                     July 19, 1996                                           $15,259,532
 .............................................................................................
     20,000,000      Federal Home Loan Mortgage Corp.,
                     effective yield of 5.29%, July 31, 1996                  19,911,833
 .............................................................................................
     20,000,000      Federal National Mortgage Association
                     Discount Notes effective yield of 5.25%,
                     July 8, 1996                                             19,979,583
 .............................................................................................
     20,000,000      Federal National Mortgage Association
                     Discount Notes effective yield of 5.18%,
                     October 9, 1996                                          19,697,200
 .............................................................................................
     20,000,000      Federal National Mortgage Association
                     Discount Notes effective yield of 5.17%,
                     October 24, 1996                                         19,653,200
 .............................................................................................
     20,000,000      General Electric Capital Corp., effective
                     yield of 5.39%, August 28, 1996                          19,826,322
 .............................................................................................
     25,000,000      Walt Disney Corp., effective yield of
                     5.20%, September 4, 1996                                 24,756,250
 .............................................................................................
      2,199,000      Interest in $500,000,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Lehman Brothers Inc., due July 1, 1996
                     with respect to various U.S. treasury
                     obligations -- maturity value of $2,200,008
                     for an effective yield of 5.50%                           2,200,008
 .............................................................................................
     62,194,000      Interest in $655,568,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Morgan (J.P.) & Co., Inc. due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations -- maturity value of
                     $62,221,987 for an effective yield of
                     5.40%                                                    62,221,987
- ---------------------------------------------------------------------------------------------
                     Total Short-Term Investments
                     (cost $203,568,804)                                    $203,505,915
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $3,732,589,877)***                             $4,368,001,990
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.


THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>

PCM Global Asset Allocation Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMON STOCKS (58.2%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Advertising (0.1%)
 .............................................................................................
          <S>        <C>                                                        <C>
          7,400      Outdoor Systems, Inc. +                                    $260,850
- ---------------------------------------------------------------------------------------------
Aerospace and Defense (1.3%)
 .............................................................................................
         38,800      Boeing Co.                                                3,380,450
 .............................................................................................
         18,640      Lockheed Martin Corp.                                     1,565,760
 .............................................................................................
         22,760      Northrop Grumman Corp.                                    1,550,525
 .............................................................................................
         17,400      Textron, Inc.                                             1,389,825
- ---------------------------------------------------------------------------------------------
                                                                               7,886,560
- ---------------------------------------------------------------------------------------------
Automotive (2.1%)
 .............................................................................................
          8,600      Autoliv AB (Sweden)                                         262,021
 .............................................................................................
            920      Bayerische Motoren Werke (BMW)
                     AG (Germany)                                                533,093
 .............................................................................................
         39,000      Bridgestone Corp. (Japan)                                   743,705
 .............................................................................................
         14,978      Chrysler Corp.                                              928,636
 .............................................................................................
          5,250      Custom Chrome, Inc. +                                       141,094
 .............................................................................................
         67,550      Echlin, Inc.                                              2,558,456
 .............................................................................................
         77,300      Ford Motor Co.                                            2,502,588
 .............................................................................................
         36,500      General Motors Corp.                                      1,911,688
 .............................................................................................
         28,780      Goodyear Tire & Rubber Co.                                1,388,635
 .............................................................................................
         14,740      Magna International, Inc. Class A
                     (Canada)                                                    678,040
 .............................................................................................
         11,710      Michelin Corp. Class B (France)                             572,251
 .............................................................................................
         66,000      Mitsubishi Motors Corp. (Japan)                             578,102
 .............................................................................................
          3,500      Peugeot Citroen S. A. (France)                              468,389
- ---------------------------------------------------------------------------------------------
                                                                              13,266,698
- ---------------------------------------------------------------------------------------------
Basic Industrial Products (1.8%)
 .............................................................................................
         37,800      Case Corp.                                                1,814,400
 .............................................................................................
         48,580      Caterpillar, Inc.                                         3,291,295
 .............................................................................................
            890      Chargeurs S.A. (France)                                      39,776
 .............................................................................................
          2,400      Computational Systems, Inc. +                                51,900
 .............................................................................................
         34,350      Cooper Industries, Inc.                                   1,425,525
 .............................................................................................
         20,000      Daikin Industries Ltd. (Japan)                              218,978
 .............................................................................................
          3,800      JLG Industries, Inc.                                        282,150
 .............................................................................................
         29,300      Minnesota Mining & Manufacturing Co.                      2,021,700
 .............................................................................................
         69,000      Mitsui Fudoscan Co. Ltd. (Japan)                            625,155
 .............................................................................................
          1,040      Rieter Holding AG (Switzerland)                             280,610
 .............................................................................................
          3,980      Sandvik AB Class B (Sweden)                                  91,846
 .............................................................................................
          1,010      Sommer Allibert (France)                                    256,595
 .............................................................................................
         28,680      Sundstrand Corp.                                          1,050,405
- ---------------------------------------------------------------------------------------------
                                                                              11,450,335
- ---------------------------------------------------------------------------------------------
Broadcasting (0.4%)
 .............................................................................................
          4,100      American Radio Systems Corp. +                              176,300
 .............................................................................................
          4,800      BET Holding, Inc. Class A +                                 126,600
 .............................................................................................
          2,800      Chancellor Broadcasting Corp. Class A +                      87,500
 .............................................................................................
          7,600      Evergreen Media Corp. Class A +                             324,900
 .............................................................................................
          6,110      Heartland Wireless Communications,
                     Inc. +                                                      145,113
 .............................................................................................
          6,700      Heftel Broadcasting Corp. Class A +                         198,488
 .............................................................................................
            890      Pathe S.A. (France)+                                        208,822
 .............................................................................................
          2,650      Renaissance Communications Corp. +                           85,463
 .............................................................................................
          7,968      SAGA Communications Inc. Class A +                          172,308
 .............................................................................................
          3,100      Sinclair Broadcast Group, Inc. Class A +                    134,850
 .............................................................................................
         34,975      Tele-Comm Liberty Media Group, Inc.
                     Class A +                                                   926,838
- ---------------------------------------------------------------------------------------------
                                                                               2,587,182
- ---------------------------------------------------------------------------------------------
Building and Construction (0.8%)
 .............................................................................................
          6,300      Apogee Enterprises, Inc.                                    215,775
 .............................................................................................
         12,200      Armstrong World Industries, Inc.                            703,025
 .............................................................................................
          8,700      Barnett, Inc. +                                             250,125
 .............................................................................................
         83,270      CRH PLC (Ireland)                                           821,212
 .............................................................................................
         10,000      Lafarge Coppee (France)                                     605,031
 .............................................................................................
         67,000      Obayashi Corp. (Japan)                                      605,812
 .............................................................................................
         15,200      Sherwin Williams Co.                                        706,800
 .............................................................................................
         17,000      Tostem Corp. (Japan)                                        501,004
 .............................................................................................
          5,405      VA Technolgies AG (Austria)                                 661,631
- ---------------------------------------------------------------------------------------------
                                                                               5,070,415
- ---------------------------------------------------------------------------------------------
Business Equipment and Services (3.2%)
 .............................................................................................
          5,700      Alternative Resources Corp. +                               209,475
 .............................................................................................
          8,175      Cambridge Technology Partners, Inc. +                       249,338
 .............................................................................................
         13,400      Career Horizons, Inc. +                                     469,000
 .............................................................................................
         56,900      Cisco Systems, Inc. +                                     3,221,963
 .............................................................................................
         19,200      Computer Sciences Corp. +                                 1,435,200
 .............................................................................................
          3,900      Corestaff, Inc. +                                           174,525
 .............................................................................................
          8,200      CORT Business Services Corp. +                              159,900
 .............................................................................................
         35,000      Dai Nippon Printing Co., Ltd. (Japan)                       677,007
 .............................................................................................
          9,500      Data Processing Resources Corp. +                           262,438
 .............................................................................................
          5,300      F.Y.I., Inc. +                                               98,050
 .............................................................................................
         30,700      First Data Corp.                                          2,444,488
 .............................................................................................
         24,300      HBO & Co.                                                 1,646,325
 .............................................................................................
         28,500      Hewlett-Packard Co.                                       2,839,313
 .............................................................................................
         22,630      IBM Corp.                                                 2,240,370
 .............................................................................................
          1,600      ICT Group, Inc. +                                            30,800
 .............................................................................................
         12,000      Komori Corp. (Japan)                                        306,569
 .............................................................................................
          1,200      Labor Ready, Inc. +                                          33,600
 .............................................................................................
          2,000      Mecon, Inc. +                                                45,250
 .............................................................................................
          9,200      Prepaid Legal Services, Inc. +                              170,200
 .............................................................................................
          3,800      Registry Inc. (The) +                                       111,150
 .............................................................................................
         14,100      Robert Half International, Inc. +                           393,038
 .............................................................................................
          1,200      Romac International, Inc. +                                  30,600
 .............................................................................................
         74,227      Securicor Group PLC (United Kingdom)                        301,288
 .............................................................................................
            275      Societe Generale de Surveillance
                     Holdings S.A. (Switzerland) +                               657,480
 .............................................................................................
          6,600      SOS Staffing Services, Inc. +                                79,200
 .............................................................................................
          4,400      Vincam Group, Inc. +                                        114,400
 .............................................................................................
         10,400      Wackenhut Corp. Class B                                     191,100
 .............................................................................................
         20,330      Xerox Corp.                                               1,087,655
 .............................................................................................
          3,000      Zebra Technologies Corp. +                                   53,250
- ---------------------------------------------------------------------------------------------
                                                                              19,732,972
- ---------------------------------------------------------------------------------------------
Chemicals (2.4%)
 .............................................................................................
          5,000      Akzo-Nobel N.V. (Netherlands)                               598,653
 .............................................................................................
          7,340      Bayer AG ADR (Germany)                                      259,045
 .............................................................................................
         58,429      du Pont (E.I.) de Nemours & Co., Ltd.                     4,623,195
 .............................................................................................
          3,700      Dutch States Mines N.V. (Netherlands)                       367,184
 .............................................................................................
         30,420      Eastman Chemical Co.                                      1,851,818
 .............................................................................................
         92,300      Monsanto Co.                                              2,999,750
 .............................................................................................
         41,400      Praxair, Inc.                                             1,749,150
 .............................................................................................
         45,000      Sekisui Chemical Co. Ltd. (Japan)                           550,183
 .............................................................................................
            485      Solvay S.A. (Belgium)                                       297,401
 .............................................................................................
         44,720      Witco Chemical Corp.                                      1,537,250
- ---------------------------------------------------------------------------------------------
                                                                              14,833,629
- ---------------------------------------------------------------------------------------------
Computer Services and Software (2.8%)
 .............................................................................................
          3,800      Analysts International Corp.                                159,600
 .............................................................................................
          4,800      Bisys Group, Inc. (The) +                                   181,200
 .............................................................................................
          6,000      Business Objects S.A., ADR (France) +                       241,500
 .............................................................................................
         25,600      Cadence Design Systems, Inc. +                              864,000
 .............................................................................................
          2,400      Clarify, Inc. +                                             118,800
 .............................................................................................
          3,600      CMG Information Services, Inc. +                             97,200
 .............................................................................................
         33,900      Computer Associates Intl., Inc.                           2,415,375
 .............................................................................................
         10,325      Computer Horizons Corp. +                                   407,838
 .............................................................................................
          5,900      Computer Task Group, Inc.                                   166,675
 .............................................................................................
         14,000      Comshare, Inc. +                                            434,000
 .............................................................................................
         13,100      Cotelligent Group, Inc. +                                   225,975
 .............................................................................................
         33,400      Electronic Data Systems Corp.                             1,795,250
 .............................................................................................
          2,600      Gensym Corp. +                                               57,200
 .............................................................................................
         29,872      Getronics Electric N.V. (Netherlands)                       661,102
 .............................................................................................
          4,400      HPR, Inc. +                                                  93,500
 .............................................................................................
          3,200      Inso Corp. +                                                167,600
 .............................................................................................
          6,025      Keane, Inc. +                                               222,172
 .............................................................................................
          3,700      LanVision Systems, Inc. +                                    43,938
 .............................................................................................
          7,212      McAfee Associates, Inc. +                                   353,388
 .............................................................................................
         27,900      Microsoft Corp. +                                         3,351,488
 .............................................................................................
          3,700      NETCOM On-Line Communication
                     Services, Inc. +                                             99,900
 .............................................................................................
          1,500      Pairgain Technologies, Inc. +                                93,000
 .............................................................................................
         42,700      Parametric Technology Corp. +                             1,852,113
 .............................................................................................
         26,700      PeopleSoft, Inc. +                                        1,902,375
 .............................................................................................
          2,633      Project Software & Development, Inc. +                      123,422
 .............................................................................................
          7,700      Raptor Systems, Inc. +                                      204,050
 .............................................................................................
          5,900      Renaissance Solutions, Inc. +                               167,413
 .............................................................................................
          8,000      SPSS, Inc. +                                                200,000
 .............................................................................................
          7,100      Sykes Enterprises, Inc. +                                   349,675
 .............................................................................................
         10,400      Technology Solutions Co. +                                  360,100
 .............................................................................................
          2,500      Unison Software, Inc. +                                      63,125
 .............................................................................................
          3,900      Vantive Corp. +                                             130,650
 .............................................................................................
          4,300      Workgroup Technology Corp. +                                108,038
- ---------------------------------------------------------------------------------------------
                                                                              17,711,662
- ---------------------------------------------------------------------------------------------
Conglomerates (2.4%)
 .............................................................................................
         36,070      Corning, Inc.                                             1,384,186
 .............................................................................................
            429      Financiere et Industrelle Gaz et Eaux
                     (France)                                                    174,983
 .............................................................................................
         55,330      General Motors Corp. Class H                              3,326,716
 .............................................................................................
         38,800      HSBC Holdings PLC (Hong Kong)                               586,496
 .............................................................................................
         67,000      Hutchison Whampoa, Ltd. (Hong Kong)                         421,552
 .............................................................................................
         48,400      ITT Industries, Inc.                                      1,216,050
 .............................................................................................
         38,000      Jardine Matheson Holdings Ltd.
                     (Hong Kong)                                                 279,300
 .............................................................................................
          1,700      Preussag AG (Germany)                                       429,744
 .............................................................................................
         30,150      Temple Inland, Inc.                                       1,409,513
 .............................................................................................
         20,350      Tenneco Inc.                                              1,040,394
 .............................................................................................
         28,640      TRW, Inc.                                                 2,574,020
 .............................................................................................
         18,700      United Technologies Corp.                                 2,150,500
- ---------------------------------------------------------------------------------------------
                                                                              14,993,454
- ---------------------------------------------------------------------------------------------
Consumer Durable Goods (0.4%)
 .............................................................................................
          8,500      Blyth Industries, Inc. +                                    385,688
 .............................................................................................
          9,930      Electrolux AB Ser. B (Sweden)                               499,495
 .............................................................................................
         31,320      Whirlpool Corp.                                           1,554,255
- ---------------------------------------------------------------------------------------------
                                                                               2,439,438
- ---------------------------------------------------------------------------------------------
Consumer Non Durables (3.4%)
 .............................................................................................
         45,700      American Brands, Inc.                                     2,073,638
 .............................................................................................
          4,850      Authentic Fitness Corp.                                      90,331
 .............................................................................................
         39,000      Avon Products, Inc.                                       1,759,875
 .............................................................................................
         82,048      B A T Industries PLC (United Kingdom)                       638,048
 .............................................................................................
          8,300      Clorox Co.                                                  735,588
 .............................................................................................
         13,700      French Fragrances Inc.                                       82,200
 .............................................................................................
         47,000      KAO Corp. (Japan)                                           634,672
 .............................................................................................
         40,420      Kimberly-Clark Corp.                                      3,122,445
 .............................................................................................
         26,200      Nike, Inc.                                                2,692,050
 .............................................................................................
         21,000      Onward Kashiyama Co. Ltd. (Japan)                           342,975
 .............................................................................................
         50,360      Philip Morris Cos., Inc.                                  5,238,411
 .............................................................................................
         16,400      St. John Knits, Inc.                                        731,850
 .............................................................................................
         37,100      Svenska Cellulosa AB Class B (Sweden)                       763,824
 .............................................................................................
         13,600      Tabacalera S.A. Ser. A (Spain)                              684,243
 .............................................................................................
         40,759      Tate & Lyle PLC (United Kingdom)                            289,759
 .............................................................................................
          5,240      Tommy Hilfiger Corp. +                                      280,995
 .............................................................................................
         90,000      Toray Industries Inc. (Japan)                               620,803
 .............................................................................................
          4,710      Unilever N.V. (Netherlands)                                 681,130
- ---------------------------------------------------------------------------------------------
                                                                              21,462,837
- ---------------------------------------------------------------------------------------------
Consumer Services (1.3%)
 .............................................................................................
          7,100      Apple South, Inc.                                           189,925
 .............................................................................................
         10,700      EZ Communications, Inc. Class A +                           254,125
 .............................................................................................
         20,100      Gannett Co., Inc.                                         1,422,075
 .............................................................................................
          8,300      Landry's Seafood Restaurants, Inc. +                        205,425
 .............................................................................................
         20,600      Marriott International, Inc.                              1,107,250
 .............................................................................................
         25,800      Mirage Resorts, Inc. +                                    1,393,200
 .............................................................................................
          5,900      Morton's Restaurant Group, Inc. +                           103,250
 .............................................................................................
          7,075      On Assignment, Inc. +                                       263,544
 .............................................................................................
         12,000      Payment Services, Inc. +                                    343,500
 .............................................................................................
         23,500      Prime Hospitality Corp. +                                   387,750
 .............................................................................................
         25,400      Service Corp. International                               1,460,500
 .............................................................................................
          9,100      Servico, Inc. +                                             138,775
 .............................................................................................
          6,100      SFX Broadcasting, Inc. Class A +                            237,900
 .............................................................................................
         11,550      Stewart Enterprises, Inc. Class A                           360,938
 .............................................................................................
          8,300      Suburban Lodges of America, Inc. +                          191,938
 .............................................................................................
          6,725      Young Broadcasting Corp. Class A +                          257,231
- ---------------------------------------------------------------------------------------------
                                                                               8,317,326
- ---------------------------------------------------------------------------------------------
Correctional Facilities (0.1%)
 .............................................................................................
         14,400      Esmor Correctional Services, Inc. +                         219,600
 .............................................................................................
         16,300      Wackenhut Corrections Corp.                                 544,013
- ---------------------------------------------------------------------------------------------
                                                                                 763,613
- ---------------------------------------------------------------------------------------------
Electronics and Electrical Equipment (3.0%)
 .............................................................................................
            500      ABB AG (Switzerland)                                        617,865
 .............................................................................................
          6,600      Advanced Lighting Technologies, Inc. +                      115,500
 .............................................................................................
          6,432      Baldor Electric Co.                                         144,720
 .............................................................................................
          8,200      C.P. Clare Corp. +                                          211,150
 .............................................................................................
         19,400      Computer Products, Inc. +                                   332,225
 .............................................................................................
          4,986      Credence Systems Corp. +                                     66,999
 .............................................................................................
         14,700      Delaware Global Technologies Corp. +                        143,325
 .............................................................................................
         34,300      Eaton Corp.                                               2,010,838
 .............................................................................................
          4,250      Eltron International, Inc. +                                115,813
 .............................................................................................
          4,600      Flextronics International Ltd. +                            120,750
 .............................................................................................
          6,000      Futaba Corp. (Japan)                                        270,985
 .............................................................................................
        100,000      General Electric Co. PLC
                     (United Kingdom)                                            538,613
 .............................................................................................
          4,293      Harman International Industries, Inc.                       211,430
 .............................................................................................
          5,500      Hirose Electric Co. Ltd. (Japan)                            339,735
 .............................................................................................
         67,100      Honeywell, Inc.                                           3,656,950
 .............................................................................................
         42,320      Intel Corp.                                               3,107,875
 .............................................................................................
          2,000      Leader Universal (Singapore)                                  5,654
 .............................................................................................
          5,400      Mabuchi Motor (Japan)                                       343,905
 .............................................................................................
         16,600      Molins PLC (United Kingdom)                                 251,481
 .............................................................................................
         17,000      Murata Manufacturing Co. Ltd. (Japan)                       643,705
 .............................................................................................
         29,000      Nippondenso Co., Ltd. (Japan)                               629,745
 .............................................................................................
         31,000      Omron Corp. (Japan)                                         659,033
 .............................................................................................
          7,870      Peak Technologies Group, Inc. +                             183,961
 .............................................................................................
         19,950      Philips Electronics N.V. (Netherlands)                      648,258
 .............................................................................................
         16,000      SGS-Thomson Microelectronics ADR
                     (France) +                                                  574,000
 .............................................................................................
          8,200      Sanmina Corp. +                                             221,400
 .............................................................................................
         36,000      Sharp Corp. (Japan)                                         630,657
 .............................................................................................
          4,600      Smartflex Systems, Inc. +                                    69,000
 .............................................................................................
         41,040      Texas Instruments, Inc.                                   2,046,870
 .............................................................................................
         12,300      Transwitch Corp. +                                          162,975
- ---------------------------------------------------------------------------------------------
                                                                              19,075,417
- ---------------------------------------------------------------------------------------------
Energy-Related (0.1%)
 .............................................................................................
         13,500      IHC Caland N.V. (Netherlands)                               663,934
- ---------------------------------------------------------------------------------------------
Entertainment (0.7%)
 .............................................................................................
          4,600      Anchor Gaming +                                             277,150
 .............................................................................................
         31,068      Disney (Walt) Productions, Inc.                           1,953,401
 .............................................................................................
          9,800      Family Golf Centers, Inc. +                                 246,225
 .............................................................................................
         35,800      Harrah's Entertainment, Inc. +                            1,011,350
 .............................................................................................
          4,550      Regal Cinemas, Inc. +                                       208,163
 .............................................................................................
          6,200      Sodak Gaming, Inc. +                                        189,100
 .............................................................................................
         10,400      Speedway Motorsports, Inc. +                                266,500
 .............................................................................................
          8,900      Studio Plus Hotels, Inc. +                                  293,700
- ---------------------------------------------------------------------------------------------
                                                                               4,445,589
- ---------------------------------------------------------------------------------------------
Environmental Control (--%)
 .............................................................................................
          5,300      Memtec Ltd. ADR (Australia)                                 194,775
- ---------------------------------------------------------------------------------------------
Food and Beverages (1.3%)
 .............................................................................................
         58,898      Argyll Group PLC (United Kingdom)                           317,233
 .............................................................................................
         11,200      Danisco A/S (Denmark)                                       557,328
 .............................................................................................
         21,080      General Mills, Inc.                                       1,148,860
 .............................................................................................
         69,400      Goodman Fielder Ltd. ADR (Australia)                         70,394
 .............................................................................................
        140,742      Greencore Group PLC (Ireland)                               729,937
 .............................................................................................
         60,000      Guinness PLC (United Kingdom)                               435,858
 .............................................................................................
            690      Nestle S.A. (Switzerland)                                   787,108
 .............................................................................................
          3,500      Panamerican Beverages, Inc. Class A                         156,625
 .............................................................................................
        104,700      PepsiCo, Inc.                                             3,703,763
 .............................................................................................
          7,000      Pete's Brewing Co. +                                        105,000
- ---------------------------------------------------------------------------------------------
                                                                               8,012,106
- ---------------------------------------------------------------------------------------------
Forest Products (0.6%)
 .............................................................................................
         34,000      Mayr-Melnhof Karton AG 144A ADS
                     (Austria) +                                                 365,500
 .............................................................................................
         38,030      Rayonier, Inc.                                            1,445,140
 .............................................................................................
         48,400      Weyerhaeuser Co.                                          2,057,000
- ---------------------------------------------------------------------------------------------
                                                                               3,867,640
- ---------------------------------------------------------------------------------------------
Health Care (0.6%)
 .............................................................................................
          3,500      Access Health, Inc. +                                       165,375
 .............................................................................................
          9,425      American HomePatient, Inc. +                                417,056
 .............................................................................................
          3,300      Arthrocare Corp. +                                           59,400
 .............................................................................................
          5,450      Compdent Corp. +                                            253,425
 .............................................................................................
          6,200      Gelman Sciences, Inc. +                                     140,275
 .............................................................................................
          9,950      Genesis Health Ventures, Inc. +                             312,181
 .............................................................................................
          3,400      I-Stat Corp. +                                               64,175
 .............................................................................................
          6,200      IMPATH, Inc. +                                              111,600
 .............................................................................................
         10,400      IRIDEX Corp. +                                              156,000
 .............................................................................................
          4,050      Lincare Holdings, Inc. +                                    158,963
 .............................................................................................
          4,700      Living Centers of America, Inc. +                           161,563
 .............................................................................................
          5,850      Lunar Corp. +                                               201,825
 .............................................................................................
          7,300      NCS HealthCare, Inc. Class A +                              220,825
 .............................................................................................
          3,800      Owen Healthcare, Inc. +                                      52,725
 .............................................................................................
          1,700      Pediatrix Medical Group, Inc. +                              82,450
 .............................................................................................
          4,500      Physician Support Systems, Inc. +                           101,813
 .............................................................................................
          3,000      Renal Care Group, Inc. +                                     96,750
 .............................................................................................
          8,800      Respironics, Inc. +                                         162,800
 .............................................................................................
         13,000      Santen Pharmaceutical (Japan)                               302,464
 .............................................................................................
          3,975      Sierra Health Services +                                    125,213
 .............................................................................................
          2,400      Target Therapeutics, Inc. +                                  98,400
 .............................................................................................
          3,200      United Dental Care, Inc. +                                  135,200
- ---------------------------------------------------------------------------------------------
                                                                               3,580,478
- ---------------------------------------------------------------------------------------------
Hospital Management and Medical Services (0.1%)
 .............................................................................................
          8,500      ARV Assisted Living, Inc. +                                 131,750
 .............................................................................................
          1,700      Collaborative Clinical Research, Inc. +                      19,763
 .............................................................................................
          4,500      Emeritus Corp. +                                             79,313
 .............................................................................................
          7,050      National Surgery Centers, Inc. +                            186,825
 .............................................................................................
          4,600      OccuSystems, Inc. +                                         171,925
 .............................................................................................
          7,900      Sterling House Corp. +                                      150,100
 .............................................................................................
            200      Sunrise Assisted Living, Inc. +                               4,800
- ---------------------------------------------------------------------------------------------
                                                                                 744,476
- ---------------------------------------------------------------------------------------------
Insurance and Finance (8.0%)
 .............................................................................................
         12,660      ABN AMRO Holding N.V. (Netherlands)                         678,955
 .............................................................................................
         13,070      Aegon N.V. (Netherlands)                                    601,465
 .............................................................................................
         40,660      Ahmanson (H.F.) & Co.                                     1,097,820
 .............................................................................................
        122,527      Allied Irish Banks PLC (Ireland)                            635,468
 .............................................................................................
         61,150      American General Corp.                                    2,224,331
 .............................................................................................
         16,750      American International Group, Inc.                        1,651,969
 .............................................................................................
            300      Baer Holdings AG (Switzerland)                              323,302
 .............................................................................................
          8,653      Banco de Bilbao Vizcaya (Spain)                             350,305
 .............................................................................................
         17,020      Banco Frances del Rio de la Plata S.A.
                     (Argentina)                                                 161,414
 .............................................................................................
          5,610      Banco Totta & Accores S.A. (Portugal)                       109,868
 .............................................................................................
         34,900      Bank of Boston Corp.                                      1,727,550
 .............................................................................................
         67,000      Bank of Ireland (Ireland)                                   455,473
 .............................................................................................
         48,400      BankAmerica Corp.                                         3,666,300
 .............................................................................................
         40,592      Bankers Trust New York Corp.                              2,998,734
 .............................................................................................
          1,650      Cetelem Group (France)                                      370,797
 .............................................................................................
         30,300      Chase Manhattan Corp. (New)                               2,139,938
 .............................................................................................
         43,800      Citicorp                                                  3,618,975
 .............................................................................................
         10,900      Concord EFS, Inc. +                                         386,950
 .............................................................................................
          4,575      CRA Managed Care, Inc. +                                    204,731
 .............................................................................................
          6,620      Credit Locale de France S.A. (France)                       538,755
 .............................................................................................
         56,000      Daiwa Securities Co. Ltd. (Japan)                           720,438
 .............................................................................................
         25,000      Development Bank of Singapore Ltd.
                     (Singapore)                                                 311,946
 .............................................................................................
          3,700      First Commonwealth, Inc. +                                  103,138
 .............................................................................................
         55,207      Fleet Financial Group, Inc.                               2,401,505
 .............................................................................................
         18,700      Franklin Resources, Inc.                                  1,140,700
 .............................................................................................
         60,800      Guoco Group Ltd. (Hong Kong)                                289,853
 .............................................................................................
          8,750      HCC Insurance Holdings, Inc.                                196,875
 .............................................................................................
         36,600      Keycorp                                                   1,418,250
 .............................................................................................
         59,550      MBNA Corp.                                                1,697,175
 .............................................................................................
         34,000      Mitsubishi Bank Ltd. (Japan)                                787,956
 .............................................................................................
         52,197      Morgan (J.P.) & Co., Inc.                                 4,417,171
 .............................................................................................
            435      Munich Re (Germany) +                                       896,848
 .............................................................................................
         45,790      NationsBank Corp.                                         3,783,399
 .............................................................................................
         44,970      PNC Bank Corp.                                            1,337,858
 .............................................................................................
          6,600      Reinsurance Group America, Inc.                             249,150
 .............................................................................................
         11,730      Skandia Forsakrings AB (Sweden)                             310,500
 .............................................................................................
          3,985      Societe Generale (France)                                   438,091
 .............................................................................................
            704      Swiss Reinsurance Co. (Switzerland)                         722,152
 .............................................................................................
         49,000      Tokio Marine & Fire Insurance Co. Ltd.
                     (The) (Japan)                                               652,737
 .............................................................................................
         47,499      Travelers Group Inc.                                      2,167,142
 .............................................................................................
         31,000      United Overseas Bank Ltd. (Singapore)                       296,703
 .............................................................................................
         79,150      USF&G Corp.                                               1,296,081
 .............................................................................................
        137,000      Westpac Banking Corp. (Australia)                           606,481
- ---------------------------------------------------------------------------------------------
                                                                              50,185,249
- ---------------------------------------------------------------------------------------------
Leisure (--%)
 .............................................................................................
          9,400      Lewis Galoob Toys, Inc. +                                   265,550
- ---------------------------------------------------------------------------------------------
Medical Supplies and Devices (0.8%)
 .............................................................................................
         29,230      Baxter International, Inc.                                1,381,118
 .............................................................................................
         20,200      Becton Dickinson & Co.                                    1,621,050
 .............................................................................................
          1,900      Endosonics Corp. +                                           33,963
 .............................................................................................
          3,400      ICU Medical, Inc. +                                          46,750
 .............................................................................................
          5,900      IDEXX Laboratories, Inc. +                                  231,575
 .............................................................................................
          7,800      Igen, Inc. +                                                 54,600
 .............................................................................................
          5,100      Instent, Inc. +                                             110,925
 .............................................................................................
         23,600      Medtronic, Inc.                                           1,321,600
 .............................................................................................
            300      Orthologic Corp. +                                            3,825
 .............................................................................................
          5,700      Sabratek Corp. +                                             61,988
 .............................................................................................
         10,300      Sola International, Inc. +                                  296,125
- ---------------------------------------------------------------------------------------------
                                                                               5,163,519
- ---------------------------------------------------------------------------------------------
Metals and Mining (0.4%)
 .............................................................................................
         57,750      Freeport-McMoRan Copper & Gold
                     Co., Inc. Class A                                         1,725,281
 .............................................................................................
          5,800      Miller Industries, Inc./Tennessee +                         166,025
 .............................................................................................
            505      N.V. Bekaert S.A. (Belgium)                                 404,296
- ---------------------------------------------------------------------------------------------
                                                                               2,295,602
- ---------------------------------------------------------------------------------------------
Oil and Gas (3.3%)
 .............................................................................................
         21,450      Amoco Corp.                                               1,552,444
 .............................................................................................
          9,000      Atlantic Richfield Co.                                    1,066,500
 .............................................................................................
         30,650      British Petroleum PLC ADR
                     (United Kingdom)                                          3,275,719
 .............................................................................................
         35,123      Burmah Oil PLC (United Kingdom)                             555,538
 .............................................................................................
         34,200      Coastal Corp.                                             1,427,850
 .............................................................................................
         48,000      Cosmo Oil Co. Ltd. (Japan)                                  296,934
 .............................................................................................
         29,200      Enron Corp.                                               1,193,550
 .............................................................................................
         15,000      Far East Levingston Shipbuilding Ltd.
                     (Singapore)                                                  82,949
 .............................................................................................
         39,600      Halliburton Co.                                           2,197,800
 .............................................................................................
         88,906      Occidental Petroleum Corp.                                2,200,424
 .............................................................................................
         16,300      Repsol S.A. (Spain)                                         566,431
 .............................................................................................
          7,000      Repsol S.A. ADS (Spain)                                     243,250
 .............................................................................................
         17,200      Schlumberger Ltd.                                         1,449,100
 .............................................................................................
         10,105      Societe Nationale Elf Aquitaine (France)                    743,081
 .............................................................................................
         32,600      Sonat, Inc.                                               1,467,000
 .............................................................................................
         37,632      Total Corp. ADR (France)                                  1,397,088
 .............................................................................................
         10,400      Total S.A. Class B (France)                                 771,238
- ---------------------------------------------------------------------------------------------
                                                                              20,486,896
- ---------------------------------------------------------------------------------------------
Pharmaceuticals (3.9%)
 .............................................................................................
         24,800      American Home Products Corp.                              1,491,100
 .............................................................................................
         22,100      Amgen, Inc. +                                             1,193,400
 .............................................................................................
          7,600      Amrion, Inc. +                                              117,800
 .............................................................................................
         17,400      Astra AB (Sweden)                                           768,959
 .............................................................................................
         14,400      Bristol-Myers Squibb Co.                                  1,296,000
 .............................................................................................
            780      Ciba-Geigy AG (Switzerland)                                 949,549
 .............................................................................................
          7,775      Dura Pharmaceuticals, Inc. +                                435,400
 .............................................................................................
         59,700      Johnson & Johnson                                         2,955,150
 .............................................................................................
          9,000      La Jolla Pharmaceutical Co. +                                49,500
 .............................................................................................
         31,500      Lilly (Eli) & Co.                                         2,047,500
 .............................................................................................
          5,700      Parexel International Corp. +                               275,025
 .............................................................................................
         30,000      Pfizer, Inc.                                              2,141,250
 .............................................................................................
        102,062      Pharmacia & Upjohn, Inc.                                  4,529,001
 .............................................................................................
          9,000      Pharmacia & Upjohn, Inc. Depository
                     Shares (Sweden)                                             393,665
 .............................................................................................
         90,300      Warner-Lambert Co.                                        4,966,500
 .............................................................................................
         26,000      Yamanouchi Pharmaceutical Co. Ltd.
                     (Japan)                                                     564,599
- ---------------------------------------------------------------------------------------------
                                                                              24,174,398
- ---------------------------------------------------------------------------------------------
Photography (1.3%)
 .............................................................................................
         70,690      Eastman Kodak Co.                                         5,496,148
 .............................................................................................
         63,950      Polaroid Corp.                                            2,917,719
- ---------------------------------------------------------------------------------------------
                                                                               8,413,867
- ---------------------------------------------------------------------------------------------
Publishing (0.2%)
 .............................................................................................
         19,200      Pearson PLC (United Kingdom)                                197,887
 .............................................................................................
         22,400      Times Mirror Co. Class A                                    974,400
- ---------------------------------------------------------------------------------------------
                                                                               1,172,287
- ---------------------------------------------------------------------------------------------
Real Estate (0.4%)
 .............................................................................................
        321,000      Amoy Properties Ltd. (Hong Kong)                            387,761
 .............................................................................................
        135,000      Cheung Kong Holdings Ltd. (Hong Kong)                       972,359
 .............................................................................................
        142,000      Hong Kong Land Holdings Ltd.
                     (Hong Kong)                                                 319,500
 .............................................................................................
         59,000      Sun Hung Kai Properties Ltd.
                     (Hong Kong)                                                 596,464
- ---------------------------------------------------------------------------------------------
                                                                               2,276,084
- ---------------------------------------------------------------------------------------------
Retail (4.2%)
 .............................................................................................
          2,800      99 Cents Only Stores +                                       39,200
 .............................................................................................
         11,500      Cost Plus, Inc. +                                           319,125
 .............................................................................................
         33,650      Dayton Hudson Corp.                                       3,470,156
 .............................................................................................
         48,600      Federated Department Stores +                             1,658,475
 .............................................................................................
         15,100      Hollywood Entertainment Corp. +                             234,050
 .............................................................................................
         30,100      Home Depot, Inc. (The)                                    1,625,400
 .............................................................................................
         15,000      Ito-Yokado Co., Ltd. (Japan)                                904,654
 .............................................................................................
        110,360      K mart Corp.                                              1,365,705
 .............................................................................................
          6,700      Loehmann's Holdings, Inc. +                                 154,100
 .............................................................................................
          7,300      Marks Brothers Jewelers, Inc. +                             166,075
 .............................................................................................
         35,000      Marui Co., Ltd. (Japan)                                     776,004
 .............................................................................................
         28,300      May Department Stores Co.                                 1,238,125
 .............................................................................................
         10,190      Nautica Enterprises, Inc. +                                 292,963
 .............................................................................................
         45,900      Officemax, Inc. +                                         1,095,863
 .............................................................................................
          3,100      Party City Corp. +                                           55,025
 .............................................................................................
         37,000      Penney (J.C.) Co., Inc.                                   1,942,500
 .............................................................................................
          3,300      Petco Animal Supplies, Inc. +                                94,875
 .............................................................................................
         23,050      Rexall Sundown, Inc. +                                      622,350
 .............................................................................................
         41,100      Rite Aid Corp.                                            1,222,725
 .............................................................................................
         45,900      Safeway, Inc. +                                           1,514,700
 .............................................................................................
        102,900      Sears PLC (United Kingdom)                                  158,124
 .............................................................................................
         87,000      Sears, Roebuck & Co.                                      4,230,375
 .............................................................................................
         27,000      TJX Cos., Inc. (The)                                        911,250
 .............................................................................................
         10,000      Vans, Inc. +                                                170,000
 .............................................................................................
         11,000      Vendex International N.V. (Netherlands)                     383,197
 .............................................................................................
         38,800      Walgreen Co.                                              1,299,800
 .............................................................................................
          3,600      West Marine, Inc. +                                         257,400
 .............................................................................................
         12,502      Wolverine World Wide, Inc.                                  406,315
- ---------------------------------------------------------------------------------------------
                                                                              26,608,531
- ---------------------------------------------------------------------------------------------
Specialty Consumer Products (0.1%)
 .............................................................................................
         14,200      Gucci Group (Italy)+                                        915,900
- ---------------------------------------------------------------------------------------------
Telecommunications (1.8%)
 .............................................................................................
         24,100      Ascend Communications, Inc. +                             1,355,625
 .............................................................................................
            100      Boston Communications Group, Inc. +                           1,650
 .............................................................................................
              9      Cable & Wireless PLC (United Kingdom)                            60
 .............................................................................................
         15,200      Cai Wireless Systems, Inc. +                                140,600
 .............................................................................................
         20,900      Cascade Communications Corp. +                            1,421,200
 .............................................................................................
          6,200      Centennial Cellular Corp. Class A +                         104,625
 .............................................................................................
          9,300      Coherent Communications Systems
                     Corp. +                                                     197,625
 .............................................................................................
          4,100      Commnet Cellular, Inc. +                                    123,000
 .............................................................................................
          1,400      Diana Corp. +                                                56,875
 .............................................................................................
          4,800      Intermedia Communications Corp. +                           154,800
 .............................................................................................
         77,400      MCI Communications Corp.                                  1,983,375
 .............................................................................................
         16,000      MIDCOM Communications, Inc. +                               230,000
 .............................................................................................
          6,300      P-Com, Inc. +                                               198,450
 .............................................................................................
         11,800      Royal PTT (United Kingdom)                                  446,300
 .............................................................................................
          6,400      Spectralink Corp. +                                          61,600
 .............................................................................................
         23,000      Tele Danmark A/S ADS (Denmark)                              583,625
 .............................................................................................
         20,500      Tellabs, Inc. +                                           1,370,938
 .............................................................................................
          7,200      Teltrend, Inc. +                                            279,000
 .............................................................................................
         12,150      Transaction Network Services Inc. +                         261,225
 .............................................................................................
          8,200      U.S. Long Distance Corp. +                                  291,100
 .............................................................................................
         14,300      U.S. Robotics Corp. +                                     1,222,650
 .............................................................................................
        179,121      Vodafone Group PLC (United Kingdom)                         665,886
- ---------------------------------------------------------------------------------------------
                                                                              11,150,209
- ---------------------------------------------------------------------------------------------
Transportation (1.4%)
 .............................................................................................
         18,700      Burlington Northern Santa Fe Corp.                        1,512,363
 .............................................................................................
         79,500      Canadian National Railway Co. (Canada)                    1,460,813
 .............................................................................................
            120      East Japan Railway Co. (Japan)                              629,562
 .............................................................................................
          7,725      Expeditors International of
                     Washington, Inc.                                            239,475
 .............................................................................................
         15,710      K.L.M.-Royal Dutch Airlines
                     (Netherlands)                                               502,205
 .............................................................................................
         33,000      Kamigumi Co. Ltd. (Japan)                                   301,095
 .............................................................................................
         43,430      Ryder System, Inc.                                        1,221,469
 .............................................................................................
         31,000      Singapore Airlines Ltd. (Singapore)                         327,473
 .............................................................................................
         51,000      Swire Pacific Ltd. Class A (Hong Kong)                      436,520
 .............................................................................................
         24,200      Union Pacific Corp.                                       1,690,975
 .............................................................................................
         28,000      Yamato Transport Co. Ltd. (Japan)                           329,562
- ---------------------------------------------------------------------------------------------
                                                                               8,651,512
- ---------------------------------------------------------------------------------------------
Utilities (3.5%)
 .............................................................................................
         22,510      American Telephone & Telegraph Co.                        1,395,620
 .............................................................................................
         31,200      Bell Atlantic Corp.                                       1,989,000
 .............................................................................................
         34,040      BellSouth Corp.                                           1,439,466
 .............................................................................................
         24,000      Chubu Electric Power, Inc. (Japan)                          543,066
 .............................................................................................
         51,750      Entergy Corp.                                             1,468,406
 .............................................................................................
         90,150      GTE Corp.                                                 4,034,213
 .............................................................................................
         84,000      Hong Kong Electric Holdings Ltd.
                     (Hong Kong)                                                 256,117
 .............................................................................................
        160,000      Hong Kong Telecommunications Ltd.
                     (Hong Kong)                                                 287,331
 .............................................................................................
         19,000      Kurita Water Industries Ltd. (Japan)                        462,865
 .............................................................................................
         12,000      Kyushu Electric Power Inc. (Japan)                          270,438
 .............................................................................................
             81      Nippon Telegraph and Telephone Corp.
                     (Japan)                                                     600,110
 .............................................................................................
         37,600      Northeast Utilities Co.                                     502,900
 .............................................................................................
         40,100      SBC Communications, Inc.                                  1,974,925
 .............................................................................................
        106,000      Scottish Power PLC (United Kingdom)                         500,181
 .............................................................................................
         61,370      Southern Co.                                              1,511,236
 .............................................................................................
         10,800      Telebras Co.  ADR (Brazil)                                  764,100
 .............................................................................................
         34,030      Texas Utilities Co.                                       1,454,783
 .............................................................................................
         34,450      Union Electric Co.                                        1,386,613
 .............................................................................................
         29,958      United Utilities PLC (United Kingdom)                       252,034
 .............................................................................................
         15,850      Veba (Vereinigte Elektrizitaets Bergwerks)
                     AG (Germany)                                                841,621
- ---------------------------------------------------------------------------------------------
                                                                              21,935,025
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $303,502,818)                                    $365,056,015
- ---------------------------------------------------------------------------------------------
U.S. GOVERNMENT AND AGENCY OBLIGATIONS (13.5%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
U.S. Government Agency Mortgage
Pass-Through Certificates (7.0%)
 .............................................................................................
                     Federal National Mortgage Association
 .............................................................................................
     $2,347,850      9 1/2s, Dwarfs, May 1, 2007                              $2,467,426
 .............................................................................................
      3,827,034      7 1/2s, with various due dates from
                     July 1, 2007 to June 1, 2026                              3,789,708
 .............................................................................................
      1,391,152      7.4s, May 1, 2026                                         1,372,894
 .............................................................................................
      3,945,410      7s, with various due dates from
                     October 1, 2025 to May 1, 2026                            3,794,976
 .............................................................................................
      3,792,386      6 1/2s, with various due dates from
                     December 1, 2025 to April 1, 2026                         3,547,062
 .............................................................................................
      5,004,548      6 1/2s, Dwarfs, with various due dates
                     from May 1, 2011 to June 1, 2011                          4,840,301
 .............................................................................................
                     Government National Mortgage Association
 .............................................................................................
        187,478      11s, December 15, 2015                                      208,131
 .............................................................................................
      4,818,525      9s, with various due dates from
                     July 15, 2024 to May 15, 2026                             5,042,882
 .............................................................................................
      1,719,216      9s, Midgets, November 15, 2006                            1,776,703
 .............................................................................................
      1,015,885      8s, with various due dates from
                     July 15, 2024 to May 15, 2026                             1,024,775
 .............................................................................................
      8,908,584      7 1/2s, with various due dates from
                     January 15, 2024 to June 15, 2026                         8,780,486
 .............................................................................................
      4,675,952      7s, with various due dates from
                     September 15, 2025 to June 15, 2026                       4,483,073
 .............................................................................................
      3,008,528      7s, Midgets, with various due dates
                     from November 15, 2008 to August 15, 2009                 2,979,380

- ---------------------------------------------------------------------------------------------
                                                                              44,107,797
- ---------------------------------------------------------------------------------------------
U.S. Treasury Obligations (5.5%)
 .............................................................................................
      9,270,000      U.S. Treasury Bonds 8 1/8s,
                     August 15, 2019#                                         10,405,575
 .............................................................................................
                     U.S. Treasury Notes
 .............................................................................................
      4,155,000      6 3/8s, July 15, 1999                                     4,162,147
 .............................................................................................
      5,590,000      6 1/8s, March 31, 1998                                    5,594,360
 .............................................................................................
     13,040,000      5 7/8s, July 31, 1997                                    13,044,042
 .............................................................................................
      1,470,000      5 1/4s, December 31, 1997                                 1,454,609
- ---------------------------------------------------------------------------------------------
                                                                              34,660,733
- ---------------------------------------------------------------------------------------------
Agency Obligations (1.0%)
 .............................................................................................
      1,960,000      Financing Corp. bonds 9.8s,
                     November 30, 2017                                         2,468,679
 .............................................................................................
        885,000      Financing Corp. bonds 9.65s,
                     November 2, 2018                                          1,106,524
 .............................................................................................
      2,500,000      Financing Corp. interest strip deb.
                     zero %,  May 11, 2006                                     1,242,075
 .............................................................................................
      2,500,000      Financing Corp. interest strip deb.
                     zero %,  April 6, 2006                                    1,250,175
- ---------------------------------------------------------------------------------------------
                                                                               6,067,453
- ---------------------------------------------------------------------------------------------
                     Total U.S. Government and
                     Agency Obligations
                     (cost $86,786,317)                                      $84,835,983
- ---------------------------------------------------------------------------------------------
FOREIGN GOVERNMENT BONDS AND NOTES (9.5%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
AUD     2,985,000    Australia (Government of) bonds 10s,
                     2002                                                     $2,493,800
 .............................................................................................
AUD     1,610,000    Australia (Government of) bonds 9s,
                     2004                                                      1,279,235
 .............................................................................................
AUD     1,689,000    Australia (Government of) bonds
                     Ser. 400, 7s, 2000                                        1,267,634
 .............................................................................................
CAD     2,315,000    Canada (Government of) deb. 8 3/4s,
                     2005                                                      1,827,319
 .............................................................................................
CAD    11,130,000    Canada (Government of) deb. 7 1/2s,
                     2001                                                      8,328,322
 .............................................................................................
DKK     5,570,000    Denmark (Government of) bonds 7s,
                     2004                                                        940,673
 .............................................................................................
DKK    16,555,000    Denmark (Government of) bonds 8s,
                     2003                                                      2,990,508
 .............................................................................................
DKK     6,605,000    Denmark (Kingdom of) bonds 9s, 2000                       1,246,035
 .............................................................................................
DEM     6,060,000    Germany (Federal Republic of) bonds
                     5 3/4s, 2000                                              4,044,642
 .............................................................................................
DEM     6,910,000    Germany (Federal Republic of) bonds
                     Ser. 108, 5 3/4s, 1998                                    4,670,942
 .............................................................................................
DEM     4,145,000    Germany (Federal Republic of) bonds
                     Ser. 91, 8 3/8s, 2001                                     3,041,390
 .............................................................................................
DEM     3,895,000    Germany (Federal Republic of)
                     bonds 7 3/8s, 2005                                        2,710,900
 .............................................................................................
DEM     1,730,000    Germany (Federal Republic of)
                     bonds 6 7/8s, 2005                                        1,166,586
 .............................................................................................
ITL 4,625,000,000    Italy (Government of) bonds 10 1/2s,
                     2005                                                      3,249,256
 .............................................................................................
ITL 6,870,000,000    Italy (Government of) deb. 10 1/2s, 2000                  4,757,046
 .............................................................................................
NZD     1,780,000    New Zealand Treasury bills zero %,
                     1996                                                      1,193,346
 .............................................................................................
USD     1,220,000    Quebec (Provence of) deb. 8 5/8s, 2005
                     (Canada)                                                  1,313,501
 .............................................................................................
SEK    20,700,000    Sweden (Government of) bonds 10 1/4s,
                     2000                                                      3,449,063
 .............................................................................................
DEM       395,000    Treuhandanstalt (Germany Republic of)
                     7 1/8s, 2003                                                273,751
 .............................................................................................
GBP     1,560,000    United Kingdom Treasury bonds 9 3/4s,
                     2002                                                      2,681,736
 .............................................................................................
GBP     1,160,000    United Kingdom Treasury bonds 7 1/4s,
                     1998                                                      1,827,560
 .............................................................................................
GBP     2,080,000    United Kingdom Treasury notes 7s, 2001                    3,175,111
 .............................................................................................
GBP     1,385,000    United Kingdom Treasury bonds 6 3/4s,
                     2004                                                      2,012,747
- ---------------------------------------------------------------------------------------------
                     Total Foreign Government Bonds and
                     Notes (cost $58,160,589)                                $59,941,103
 .............................................................................................
CORPORATE BONDS AND NOTES (6.6%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
Aerospace and Defense (0.1%)
 .............................................................................................
       $885,000      Lockheed Martin Corp. company guaranty
                     7 1/4s, 2006                                               $883,301
- ---------------------------------------------------------------------------------------------
Business Equipment and Services (0.2%)
 .............................................................................................
        950,000      Comdisco, Inc. notes 7 3/4s, 1999                           970,919
- ---------------------------------------------------------------------------------------------
Consumer Services (0.1%)
 .............................................................................................
        900,000      Service Corp. International notes 6 3/8s,
                     2000                                                        880,308
- ---------------------------------------------------------------------------------------------
Entertainment (0.1%)
 .............................................................................................
        780,000      Time Warner Entertainment Co. deb.
                     7 1/4s, 2008                                                732,287
- ---------------------------------------------------------------------------------------------
Environmental Control (--%)
 .............................................................................................
        100,000      WMX Technologies, Inc. deb. 8 3/4s, 2018                    108,116
- ---------------------------------------------------------------------------------------------
Health Care (0.3%)
 .............................................................................................
      1,350,000      Columbia/HCA Healthcare Corp. notes
                     6.41s, 2000                                               1,321,812
 .............................................................................................
        630,000      Manor Care, Inc. sr. notes 71/2s, 2006                      631,657
- ----------------------------------------------------------------------------------------
                                                                               1,953,469
- ---------------------------------------------------------------------------------------------
Insurance and Finance (3.5%)
 .............................................................................................
        600,000      AMBAC Indemnity Corp. deb. 9 3/8s,
                     2011                                                        700,074
 .............................................................................................
      1,100,000      Associates Corp. of North America notes
                     6 3/8s, 2002                                              1,062,094
 .............................................................................................
      1,235,000      Bankamerica Corp. sub. notes 8 3/8s,
                     2002                                                      1,312,620
 .............................................................................................
        440,000      BanPonce Corp. med. term notes 5.48s,
                     1998                                                        428,560
 .............................................................................................
        600,000      BanPonce Financial Corp. med. term notes
                     6.16s, 1998                                                 593,868
 .............................................................................................
        650,000      BHP Finance (USA), Inc. company guaranty
                     6.42s, 2026                                                 628,401
 .............................................................................................
      2,000,000      Capital One Bank sr. notes 7.35s, 2000                    2,011,442
 .............................................................................................
      1,945,000      Citicorp sub. notes 7 5/8s, 2005                          1,979,251
 .............................................................................................
      1,280,000      Commercial Credit Co. notes 7 7/8s,
                     2025                                                      1,353,920
 .............................................................................................
      1,175,000      First USA Bank dep. notes 6 3/8s, 2000                    1,142,077
 .............................................................................................
        775,000      Ford Motor Credit Co. notes 6 1/8s,
                     2006                                                        708,428
 .............................................................................................
      1,300,000      Ford Motor Credit Co. notes 5 3/4s,
                     2001                                                      1,240,902
 .............................................................................................
      2,000,000      General Motors Acceptance Corp.
                     med. term notes 6 3/4s, 2002                              1,970,280
 .............................................................................................
      1,525,000      Merita Bank Ltd. sub. notes 6 1/2s,
                     2006 (Finland)                                            1,417,701
 .............................................................................................
      1,500,000      Nationsbank Corp. sub. notes 6 1/2s,
                     2006                                                      1,409,670
 .............................................................................................
      1,715,000      Royal Bank of Scotland sub. notes
                     6 3/8s, 2011 (United Kingdom)                             1,527,756
 .............................................................................................
        720,000      Sampoerna International Finance Co.
                     144A company guaranty 8 3/8s, 2006
                     (Indonesia)                                                 733,320
 .............................................................................................
      1,200,000      Smith Barney Holdings notes 7s, 2000                      1,203,912
 .............................................................................................
        545,000      Travelers Group, Inc. sr. notes 7 3/4s,
                     2026                                                        537,675
- ---------------------------------------------------------------------------------------------
                                                                              21,961,951
- ---------------------------------------------------------------------------------------------
Metals and Mining (0.2%)
 .............................................................................................
      1,400,000      Noranda Inc. notes 7s, 2005 (Canada)                      1,345,932
- ---------------------------------------------------------------------------------------------
Oil and Gas (0.5%)
 .............................................................................................
      1,000,000      Columbia Gas System, Inc. notes Ser. E,
                     7.32s, 2010                                                 954,820
 .............................................................................................
        330,000      Norcen Energy Resources Inc. deb.
                     7 3/8s, 2006 (Canada)                                       325,809
 .............................................................................................
        400,000      ONEOK Inc. deb. 9.7s, 2019                                  422,216
 .............................................................................................
      1,200,000      Petroliam Nasional Berhad 144A notes
                     6 7/8s, 2003 (Malaysia)                                   1,181,760
- ---------------------------------------------------------------------------------------------
                                                                               2,884,605
- ---------------------------------------------------------------------------------------------
Publishing (0.2%)
 .............................................................................................
      1,040,000      News America Holdings, Inc. sr. notes
                     8 5/8s, 2003 (Australia)                                  1,104,844
- ---------------------------------------------------------------------------------------------
Retail (0.2%)
 .............................................................................................
        750,000      American Stores Co. bonds 8s, 2026                          753,713
 .............................................................................................
        545,000      Sears Roebuck Acceptance Corp.
                     med. term notes 6.15s, 2005                                 531,228
- ---------------------------------------------------------------------------------------------
                                                                               1,284,941
- ---------------------------------------------------------------------------------------------
Telecommunications (0.2%)
 .............................................................................................
      1,300,000      Bell South Telecommunication deb.
                     6 3/4s, 2033                                              1,155,128
- ---------------------------------------------------------------------------------------------
Transportation (--%)
 .............................................................................................
        400,000      Penn Central Corp. sub. notes
                     10 5/8s, 2000                                               432,980
- ---------------------------------------------------------------------------------------------
Utilities (1.0%)
 .............................................................................................
      1,800,000      Commonwealth Edison 1st mtge.
                     6 5/8s, 2003                                              1,704,276
 .............................................................................................
        730,000      Empresa Nationale de Electricidad S.A.
                     company guaranty 7.2s, 2006 (Chile)                         713,086
 .............................................................................................
      1,500,000      Iberdrola S.A. notes 7 1/2s, 2002
                     (Spain)                                                   1,535,625
 .............................................................................................
        700,000      Puget Sound Power & Light Co. med.
                     term notes 7 7/8s, 1997                                     713,979
 .............................................................................................
      1,375,000      Tenaga Nasional Berhad 144A deb.
                     7 1/2s, 2025 (Malaysia)                                   1,309,564
- ---------------------------------------------------------------------------------------------
                                                                               5,976,530
- ---------------------------------------------------------------------------------------------
                     Total Corporate Bonds and Notes
                     (cost $44,993,693)                                      $41,675,311
- ---------------------------------------------------------------------------------------------
ASSET-BACKED SECURITIES (1.4%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
     $1,600,000      Aames Mortgage Trust Ser. 96-B,
                     Class A1C, 7 5/8s, 2024                                  $1,615,000
 .............................................................................................
      1,200,000      Discover Card Master Trust Ser. 95-2,
                     Class A, 6.55s, 2003                                      1,188,000
 .............................................................................................
      1,370,000      First Plus Home Loan Trust Ser. 96-2,
                     Class A2, 6.95s, 2006                                     1,384,556
 .............................................................................................
        214,589      Green Tree Financial Corp. Ser. 93-4,
                     Class A1, 4.85s, 2019                                       213,516
 .............................................................................................
        844,789      Green Tree Financial Corp. Ser. 95-10,
                     Class A, 5 3/4s, 2027                                       843,995
 .............................................................................................
         45,749      Green Tree Financial Corp. Ser. 95-2,
                     Class A1, 6.8s, 2026                                         45,763
 .............................................................................................
      1,175,000      MBNA Master Card Trust Ser. 95-F,
                     Class A, 6.6s, 2003                                       1,169,489
 .............................................................................................
        127,979      Merrill Lynch Mortgage Investors, Inc.
                     Ser. 89-C, Class A, 10.35s, 2009                            135,499
 .............................................................................................
      2,000,000      Standard Credit Card Master Trust
                     Ser. 94-4A, 8 1/4s, 2003                                  2,110,000
- ---------------------------------------------------------------------------------------------
                     Total Asset-Backed Securities
                     (cost $5,853,079)                                        $8,705,818
- ---------------------------------------------------------------------------------------------
COLLATERALIZED MORTGAGE OBLIGATIONS (1.3%) *
- ---------------------------------------------------------------------------------------------
 Principal Amount                                                                  Value
 .............................................................................................
       $732,933      CBM Funding Corp. Ser. 96-1, Class A1,
                     7.55s, 1999                                                $733,277
 .............................................................................................
      1,050,308      Chase Mortgage Finance Corp. 144A
                     Ser. 94-1, Class B2, 6.601s, 2025                           927,881
 .............................................................................................
      1,855,000      Citicorp Mortgage Securities, Inc. Ser. 94-9,
                     Class A3, 5 3/4s, 2009                                    1,763,363
 .............................................................................................
      1,922,262      Federal National Mortgage Association
                     Ser. 94-6, Class 3A, 7s, 2023                             1,701,203
 .............................................................................................
      1,100,000      GE Capital Mortgage Services Inc.
                     Ser. 94-8, Class A2, 6s, 2024                             1,069,578
 .............................................................................................
        980,000      GE Capital Mortgage Services, Inc.
                     Ser. 96-12, Class A4, 7 1/4s, 2011                          959,175
 .............................................................................................
      1,250,000      Residential Funding Mortgage Securities I
                     Ser. 93-S36, Class A3, 5.065s, 2008                       1,230,469
- ---------------------------------------------------------------------------------------------
                     Total Collateralized Mortgage Obligations
                     (cost $8,331,610)                                        $8,384,946
- ---------------------------------------------------------------------------------------------
CONVERTIBLE PREFERRED STOCKS (0.3%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
         10,275      Case Corp. Ser. A, $2.25 cv. pfd.                        $1,189,331
 .............................................................................................
         13,180      K mart Financing I $3.875 cv. pfd.                          715,015
- ---------------------------------------------------------------------------------------------
                     Total Convertible Preferred Stocks
                     (cost $1,569,899)                                        $1,904,346
- ---------------------------------------------------------------------------------------------
CONVERTIBLE BONDS AND NOTES (0.3%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
       $650,000      Magna International cv. sub. deb. 5s, 2002
                     (Canada)                                                   $669,500
 .............................................................................................
      1,500,000      Motorola, Inc. cv. sub. deb. LYON
                     zero %, 2013                                              1,171,875
- ----------------------------------------------------------------------------------------
                     Total Convertible Bonds and Notes
                     (cost $1,847,750)                                        $1,841,375
- ---------------------------------------------------------------------------------------------
PREFERRED STOCKS (--%)*
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
          9,000      Banco Bradesco BRC (Brazil)                                 $73,513
 .............................................................................................
          1,800      Petroleo Brasileiro S.A. (Brazil)                           221,436
- ---------------------------------------------------------------------------------------------
                     Total Preferred Stocks (cost $300,778)                     $294,949
- ---------------------------------------------------------------------------------------------
PURCHASED OPTIONS OUTSTANDING (--%)*
- ---------------------------------------------------------------------------------------------
<CAPTION>
Number of                                             Expiration Date
Contracts                                                /Strike Price            Value
 .............................................................................................
<S>                  <C>                                    <C>                 <C>
JPY 1,232,956,000    Japanese Government                    July96/JPY
                     10 Yr Bonds                                118.22          $125,096
 .............................................................................................
JPY   312,615,000    Japanese Government                    July96/JPY
                     10 Yr Bonds                                119.12            12,436
- ---------------------------------------------------------------------------------------------
                     Total Purchased Options
                     Outstanding (cost $112,715)                                $137,532
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (8.5%) *
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                                                  Value
 .............................................................................................
    <S>              <C>                                                     <C>
    $25,000,000      Federal Home Loan Bank effective
                     yield of 5.32%, September 18, 1996                      $24,708,138
 .............................................................................................
      5,000,000      Federal National Mortgage Association
                     effective yield of 5.27%, July 24, 1996                   4,983,165
 .............................................................................................
     23,393,000      Interest in $655,568,000 joint
                     repurchase agreement dated
                     June 28, 1996 with Morgan
                     (J.P.) & Co., Inc. due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations -- maturity value of
                     $23,403,527 for an effective yield
                     of 5.40%                                                 23,403,527
- ---------------------------------------------------------------------------------------------
                     Total Short-Term Investments
                     (cost $53,094,830)                                      $53,094,830
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $564,554,078)***                                 $625,872,208
- ---------------------------------------------------------------------------------------------
Forward Currency Contracts to Buy at June 30, 1996
(Aggregate Face Value $42,788,755)
- ---------------------------------------------------------------------------------------------
<CAPTION>
                                                                              Unrealized
                          Market            Aggregate         Delivery     Appreciation/
                           Value           Face Value             Date    (Depreciation)
 .............................................................................................
<S>                  <C>                  <C>                <C>                 <C>
Deutschemarks        $16,545,469          $16,448,293        9/18/96             $97,176
 .............................................................................................
French Francs          7,876,617            7,751,960        9/18/96             124,657
 .............................................................................................
Italian Lira           1,372,090            1,353,207        9/18/96              18,883
 .............................................................................................
Japanese Yen          13,736,306           13,907,427        9/18/96            (171,121)
 .............................................................................................
Spanish Peseta         3,028,803            3,004,617        9/18/96              24,186
 .............................................................................................
Swedish Krona            332,771              323,251        9/18/96               9,520
- ---------------------------------------------------------------------------------------------
                                                                                $103,301
- ---------------------------------------------------------------------------------------------
Forward Currency Contracts to Sell at June 30, 1996
(Aggregate Face Value $55,182,080)
- ---------------------------------------------------------------------------------------------
                                                                              Unrealized
                         Market             Aggregate         Delivery     Appreciation/
                          Value            Face Value             Date    (Depreciation)
 .............................................................................................
Australian Dollars   $2,051,111            $2,075,913        9/18/96             $24,802
 .............................................................................................
British Pounds        1,210,167             1,183,416       11/12/96             (26,751)
 .............................................................................................
British Pounds        3,960,310             3,854,784        9/18/96            (105,526)
 .............................................................................................
Canadian Dollars      7,740,954             7,680,213        9/18/96             (60,741)
 .............................................................................................
Danish Krone          3,353,344             3,339,656        9/18/96             (13,688)
 .............................................................................................
Deutschemarks         1,231,384             1,237,451       11/12/96               6,067
 .............................................................................................
Deutschemarks         9,384,221             9,322,214        9/18/96             (62,007)
 .............................................................................................
Dutch Guilders        2,429,446             2,448,615       11/12/96              19,169
 .............................................................................................
French Francs         4,749,572             4,714,781       11/12/96             (34,791)
 .............................................................................................
Italian Lira          4,677,742             4,654,871        9/18/96             (22,871)
 .............................................................................................
Japanese Yen            475,642               485,611        9/18/96               9,969
 .............................................................................................
Japanese Yen         11,013,876            11,690,099        7/17/96             676,223
 .............................................................................................
Swedish Krona         1,958,626             1,939,964        9/18/96             (18,662)
 .............................................................................................
Swiss Francs            551,547               554,492        9/18/96               2,945
- ---------------------------------------------------------------------------------------------
                                                                                $394,138
- ---------------------------------------------------------------------------------------------
Futures Contracts Outstanding at June 30, 1996
                                                                              Unrealized
                          Total             Aggregate         Delivery     Appreciation/
                          Value            Face Value             Date    (Depreciation)
 .............................................................................................
Dax Index            $6,629,744            $6,603,989         Sep-96             $25,755
 .............................................................................................
FT-SE 100 Index       6,602,826             6,634,591         Sep-96             (31,765)
 .............................................................................................
Nikkei 225 SMX        6,591,243             6,609,930         Sep-96             (18,687)
 .............................................................................................
S&P Index             6,428,650             6,410,790         Sep-96              17,860
- ---------------------------------------------------------------------------------------------
                                                                                 $(6,837)
- ---------------------------------------------------------------------------------------------
Diversification by Country
- ---------------------------------------------------------------------------------------------
<CAPTION>
Distribution of investments by country of issue at June 30, 1996:
- ---------------------------------------------------------------------------------------------
<S>                                                                                 <C>
Argentina                                                                            --%
 .............................................................................................
Australia                                                                           1.1
 .............................................................................................
Austria                                                                             0.2
 .............................................................................................
Belgium                                                                             0.1
 .............................................................................................
Brazil                                                                              0.2
 .............................................................................................
Canada                                                                              2.5
 .............................................................................................
Chile                                                                               0.1
 .............................................................................................
Denmark                                                                             1.0
 .............................................................................................
Finland                                                                             0.2
 .............................................................................................
France                                                                              1.2
 .............................................................................................
Germany                                                                             3.0
 .............................................................................................
Hong Kong                                                                           0.8
 .............................................................................................
Indonesia                                                                           0.1
 .............................................................................................
Ireland                                                                             0.4
 .............................................................................................
Italy                                                                               1.4
 .............................................................................................
Japan                                                                               2.9
 .............................................................................................
Malaysia                                                                            0.4
 .............................................................................................
Netherlands                                                                         0.9
 .............................................................................................
New Zealand                                                                         0.2
 .............................................................................................
Portugal                                                                             --
 .............................................................................................
Singapore                                                                           0.2
 .............................................................................................
Spain                                                                               0.5
 .............................................................................................
Sweden                                                                              1.0
 .............................................................................................
Switzerland                                                                         0.7
 .............................................................................................
United Kingdom                                                                      3.2
 .............................................................................................
United States                                                                       77.7
- ---------------------------------------------------------------------------------------------
Total                                                                              100.0%
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

</TABLE>

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

PCM High Yield Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

CORPORATE BONDS AND NOTES (84.2%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
Advertising (1.9%)
 .............................................................................................
     <S>             <C>                                                      <C>
     $4,100,000      Lamar Advertising Co. sr. secd. notes 11s,
                     2003                                                     $4,223,000
 .............................................................................................
      2,450,000      Outdoor Systems, Inc. sr. notes 10 3/4s,
                     2003                                                      2,523,500
 .............................................................................................
      3,180,000      Universal Outdoor, Inc. sr. notes
                     stepped-coupon zero % (14s, 7/1/99),
                     2004 ++                                                   2,464,500
 .............................................................................................
      1,820,000      Universal Outdoor, Inc. sub. deb. 11s,
                     2003                                                      1,911,000
- ---------------------------------------------------------------------------------------------
                                                                              11,122,000
- ---------------------------------------------------------------------------------------------
Aerospace and Defense (2.2%)
 .............................................................................................
        660,000      BE Aerospace sr. notes 9 3/4s, 2003                         671,550
 .............................................................................................
      2,175,000      BE Aerospace sr. sub. notes Ser. B, 9 7/8s,
                     2006                                                      2,136,931
 .............................................................................................
        680,000      Coltec Holdings Inc. deb. 11 1/4s, 2015                     693,600
 .............................................................................................
      4,459,000      K&F Industries Inc. sub. deb. 13 3/4s, 2001               4,637,360
 .............................................................................................
      1,075,000      Sequa Corp. sr. notes 9 5/8s, 1999                        1,081,719
 .............................................................................................
      1,750,000      Sequa Corp. sr. sub. notes 9 3/8s, 2003                   1,680,000
 .............................................................................................
      1,250,000      UNC, Inc. sr. notes 9 1/8s, 2003                          1,234,375
 .............................................................................................
        620,000      UNC, Inc. 144A sr. sub. notes 11s, 2006                     626,200
- ---------------------------------------------------------------------------------------------
                                                                              12,761,735
- ---------------------------------------------------------------------------------------------
Airlines (0.3%)
 .............................................................................................
      1,800,000      Greenwich Air Services, Inc. sr. notes
                     10 1/2s, 2006                                             1,804,500
- ---------------------------------------------------------------------------------------------
Agriculture (1.0%)
 .............................................................................................
      2,159,000      PMI Holdings Corp. Ser. B sub. disc. deb.
                     stepped-coupon Ser. B, zero %
                     (11 1/2s, 9/1/00), 2005 ++                                1,219,835
 .............................................................................................
      5,775,140      PSF Finance (L.P.) sr. notes 12s, 2000
                     (In default)(acquired 3/15/95,
                     cost $6,150,890 )+++                                      4,042,598
 .............................................................................................
      1,000,000      PSF Finance (L.P.) sr. exch. notes
                     12 1/4s, 2004 (In default) (acquired
                     4/3/95, cost $995,000)+++                                   700,000
- ---------------------------------------------------------------------------------------------
                                                                               5,962,433
- ---------------------------------------------------------------------------------------------
Apparel (0.9%)
 .............................................................................................
      5,057,000      Guess Jeans, Inc. sr. sub. notes 9 1/2s,
                     2003                                                      5,120,213
- ---------------------------------------------------------------------------------------------
Automotive Parts (1.7%)
 .............................................................................................
      3,200,000      A.P.S., Inc. 144A sr. sub. notes 11 7/8s,
                     2006                                                      3,320,000
 .............................................................................................
      2,800,000      Aftermarket Technology Corp. Ser. D
                     sr. sub. notes 12s, 2004                                  3,024,000
 .............................................................................................
        575,000      Aftermarket Technology Corp. sr. sub.
                     notes 12s, 2004                                             621,000
 .............................................................................................
      3,150,000      Key Plastics Corp. sr. notes 14s, 1999                    3,260,250
- ---------------------------------------------------------------------------------------------
                                                                              10,225,250
- ---------------------------------------------------------------------------------------------
Banks (0.9%)
 .............................................................................................
      1,907,000      Chevy Chase Savings Bank Inc. sub. deb.
                     9 1/4s, 2005                                              1,830,720
 .............................................................................................
      3,650,000      First Nationwide Holdings sr. sub. notes
                     9 1/8s, 2003                                              3,467,500
- ---------------------------------------------------------------------------------------------
                                                                               5,298,220
- ---------------------------------------------------------------------------------------------
Broadcasting (7.1%)
 .............................................................................................
      2,500,000      Allbritton Communications sr. sub. deb.
                     Ser. B, 9 3/4s, 2007                                      2,287,500
 .............................................................................................
      5,650,000      American Telecasting, Inc. sr. disc. notes
                     stepped-coupon zero % (14 1/2s, 8/15/00),
                     2005 ++                                                   3,446,500
 .............................................................................................
      1,975,000      Argyle Television Corp. sr. sub. notes
                     9 3/4s, 2005                                              1,856,500
 .............................................................................................
      3,000,000      Chancellor Broadcasting Co. sr. sub. notes
                     9 3/8s, 2004                                              2,835,000
 .............................................................................................
      4,000,000      Commodore Media, Inc. sr. sub. notes
                     stepped-coupon 7 1/2s (13 1/4s, 5/1/98),
                     2003 ++                                                   4,120,000
 .............................................................................................
      2,140,000      Heartland Wireless Communications Inc.
                     sr. notes 13s, 1999                                       2,332,600
 .............................................................................................
      1,325,000      Heritage Media Corp. sr. sub. notes 8 3/4s,
                     2006                                                      1,232,250
 .............................................................................................
        480,000      Jacor Communications, Inc. sr. sub. notes
                     10 1/8s, 2006                                               475,200
 .............................................................................................
      1,500,000      Park Broadcasting, Inc. 144A sr. notes
                     11 3/4s, 2006                                             1,496,250
 .............................................................................................
      5,325,000      Paxson Communications Corp. 144A
                     sr. sub. notes 11 5/8s, 2002                              5,538,000
 .............................................................................................
      4,602,000      Petracom Hldgs. Inc. notes
                     stepped-coupon zero % (17 1/2s,
                     8/1/98), 2003 ++                                          3,347,955
 .............................................................................................
      4,025,000      SFX Broadcasting, Inc. 144A sr. sub. notes
                     10 3/4s, 2006                                             4,004,875
 .............................................................................................
      5,131,000      Telemedia Broadcasting Corp. 144A
                     deb. stepped-coupon 6.4s (16s, 6/15/99),
                     2004 ++                                                   4,637,141
 .............................................................................................
      5,625,000      Videotron Holdings. sr. disc. notes
                     stepped-coupon zero % (11s, 8/15/2000),
                     2005 (United Kingdom) ++                                  3,585,938
 .............................................................................................
        550,000      Wireless One, Inc. sr. notes 13s, 2003                      569,250
- ---------------------------------------------------------------------------------------------
                                                                              41,764,959
- ---------------------------------------------------------------------------------------------
Building and Construction (1.2%)
 .............................................................................................
      3,700,000      Presley Cos. sr. notes 12 1/2s, 2001                      3,552,000
 .............................................................................................
      3,650,000      Scotsman Group, Inc. sr. secd. notes
                     9 1/2s, 2000                                              3,677,375
- ---------------------------------------------------------------------------------------------
                                                                               7,229,375
- ---------------------------------------------------------------------------------------------
Building Products (1.8%)
 .............................................................................................
      4,625,000      American Standard, Inc. sr. sub. notes
                     stepped-coupon zero % (10 1/2s, 6/1/98),
                     2005 ++                                                   4,035,313
 .............................................................................................
      4,945,000      Inter-City Products sr. notes 9 3/4s, 2000                4,598,850
 .............................................................................................
      1,825,000      Overhead Door Corp. sr. notes 12 1/4s,
                     2000                                                      1,838,688
 .............................................................................................
        570,000      Waxman Industries Inc. sr. notes
                     stepped-coupon Ser. B, zero %
                     (12 3/4s, 6/1/99), 2004 ++                                  381,900
- ---------------------------------------------------------------------------------------------
                                                                              10,854,751
- ---------------------------------------------------------------------------------------------
Buses (0.7%)
 .............................................................................................
        895,000      Blue Bird Body Co. Ser. B, sub. deb.,
                     11 3/4s, 2002                                               921,850
 .............................................................................................
      3,985,000      MCII Holding (USA), Inc. bonds
                     zero %, 2002                                              3,108,300
- ---------------------------------------------------------------------------------------------
                                                                               4,030,150
- ---------------------------------------------------------------------------------------------
Cable Television (8.0%)
 .............................................................................................
      1,000,000      Adelphia Communications Corp. notes
                     Ser. B, 9 7/8s, 2005                                        925,000
 .............................................................................................
      2,750,000      Adelphia Communications Corp. sr. deb.
                     11 7/8s, 2004                                             2,750,000
 .............................................................................................
      1,475,000      Adelphia Communications Corp. sr. notes
                     12 1/2s, 2002                                             1,497,125
 .............................................................................................
      3,115,000      CF Cable TV, Inc. sr. notes 11 5/8s, 2005
                     (Canada)                                                  3,410,925
 .............................................................................................
      5,000,000      Cablevision Systems Corp. sr. sub. deb.
                     9 7/8s, 2023                                              4,525,000
 .............................................................................................
        900,000      Cablevision Systems Corp. sr. sub. notes
                     9 7/8s, 2013                                                834,750
 .............................................................................................
      3,760,000      Century Communications Corp. sr. notes
                     9 1/2s, 2005                                              3,628,400
 .............................................................................................
        700,000      Century Communications Corp. sr. sub.
                     deb. 11 7/8s, 2003                                          743,750
 .............................................................................................
      5,220,000      Diamond Cable Communication Co.
                     sr. disc. notes stepped-coupon zero %
                     (11 3/4s, 12/15/00), 2005
                     (United Kingdom)++                                        3,066,750
 .............................................................................................
      1,800,000      Diamond Cable Communication Co.
                     sr. disc. notes stepped-coupon zero %
                     (13 1/2s, 9/30/99), 2004
                     (United Kingdom) ++                                       1,233,000
 .............................................................................................
      6,006,214      Falcon Holdings Group, Inc. sr. sub. notes
                     11s, 2003 ++++                                            5,765,965
 .............................................................................................
      2,500,000      Jones Intercable, Inc. sr. sub. deb. 10 1/2s,
                     2008                                                      2,618,750
 .............................................................................................
      4,085,000      Lenfest Communications, Inc. sr. notes
                     8 3/8s, 2005                                              3,727,563
 .............................................................................................
      5,475,000      Marcus Cable Co .L.P. sr. disc. notes
                     stepped-coupon zero % (14 1/4s,
                     6/15/2000), 2005 ++                                       3,367,125
 .............................................................................................
      1,500,000      Marcus Cable Co. L.P. sr. sub. disc. notes
                     stepped-coupon zero % (13 1/2s, 8/1/99),
                     2004 ++                                                   1,072,500
 .............................................................................................
      4,000,000      Rogers Cablesystem Ltd. deb. 10 1/8s,
                     2012 (Canada)                                             3,840,000
 .............................................................................................
        500,000      Rogers Communications, Inc. sr. deb.
                     10 7/8s, 2004 (Canada)                                      508,750
 .............................................................................................
      6,230,000      Telewest Communications PLC deb.
                     stepped-coupon zero % (11s, 10/1/00),
                     2007 (United Kingdom) ++                                  3,675,700
- ---------------------------------------------------------------------------------------------
                                                                              47,191,053
- ---------------------------------------------------------------------------------------------
Cellular Communications (4.3%)
 .............................................................................................
      6,000,000      Call-Net Enterprises sr. disc. notes
                     stepped-coupon zero % (13 1/4s,
                     12/1/99), 2004 ++                                         4,410,000
 .............................................................................................
      3,950,000      Cellular, Inc. sr. sub. disc. notes
                     stepped-coupon zero % (11 3/4s,
                     9/1/98), 2003 ++                                          3,219,250
 .............................................................................................
      1,415,000      Cencall Communications Corp. sr. disc.
                     notes stepped-coupon zero % (10 1/8s,
                     1/15/99), 2004 ++                                           859,613
 .............................................................................................
      5,500,000      Dial Call Communication, Inc. Ser. B,
                     sr. disc. notes stepped-coupon zero %
                     (10 1/4s, 12/15/98), 2005 ++                              3,300,000
 .............................................................................................
      3,650,000      Milicom International Cellular 144A sr. disc.
                     notes stepped-coupon zero % (13 1/2s,
                     6/01/00), 2006 (Luxembourg) ++                            1,934,500
 .............................................................................................
      5,000,000      NEXTEL Communications, Inc. sr. disc.
                     notes stepped-coupon zero % (9 3/4s,
                     2/15/99), 2004 ++                                         2,937,500
 .............................................................................................
      6,775,000      NEXTEL Communications, Inc. sr. disc.
                     notes stepped-coupon zero % (11 1/2s,
                     9/1/98), 2003 ++                                          4,640,875
 .............................................................................................
      4,525,000      Pricellular Wireless Ser. B, sr. disc. notes
                     stepped-coupon zero % (14s, 11/15/97),
                     2001 ++                                                   4,095,125
- ---------------------------------------------------------------------------------------------
                                                                              25,396,863
- ---------------------------------------------------------------------------------------------
Chemicals (1.4%)
 .............................................................................................
      2,300,000      Acetex Corp. sr. notes 9 3/4s, 2003
                     (Canada)                                                  2,248,250
 .............................................................................................
        500,000      Arcadian Partner sr. notes 10 3/4s, 2005                    540,000
 .............................................................................................
      3,000,000      IMC Fertilizer Group, Inc. deb. 9.45s,
                     2011                                                      3,015,000
 .............................................................................................
        485,000      Texas Petrochemical 144A sr. sub. notes
                     11 1/8s, 2006                                               494,700
 .............................................................................................
      1,670,000      Union Carbide Global Enterprises sr. sub.
                     Ser. B, 12s, 2005                                         1,895,450
- ---------------------------------------------------------------------------------------------
                                                                               8,193,400
- ---------------------------------------------------------------------------------------------
Computer Equipment (0.6%)
 .............................................................................................
      3,450,000      Computervision Corp. sr. sub. notes
                     11 3/8s, 1999                                             3,605,250
- ---------------------------------------------------------------------------------------------
Conglomerates (0.3%)
 .............................................................................................
      1,425,000      Axia, Inc. Ser. B, sr. sub. notes 11s, 2001               1,425,000
 .............................................................................................
        770,000      MacAndrews & Forbes Group, Inc. deb.
                     12 1/4s, 1996                                               770,000
- ---------------------------------------------------------------------------------------------
                                                                               2,195,000
- ---------------------------------------------------------------------------------------------
Consumer Durable Goods (0.5%)
 .............................................................................................
      2,685,000      Remington Products Co. LLC 144A sr.
                     sub. notes 11s, 2006                                      2,671,575
- ---------------------------------------------------------------------------------------------
Containers (0.9%)
 .............................................................................................
      4,850,000      Ivex Packaging Corp. sr. sub. notes
                     12 1/2s, 2002                                             5,104,625
- ---------------------------------------------------------------------------------------------
Consumer Services (0.3%)
 .............................................................................................
      1,476,000      Coinmach Corp. sr. notes Ser. B, 11 3/4s,
                     2005                                                      1,546,110
- ---------------------------------------------------------------------------------------------
Electric Utilities (4.5%)
 .............................................................................................
      1,100,000      Chesapeake Energy Corp. sr. notes 9 1/8s,
                     2006                                                      1,072,500
 .............................................................................................
      1,650,000      Cleveland Electric Illuminating Co. Ser. B,
                     1st mtge., 9 1/2s, 2005                                   1,626,669
 .............................................................................................
      3,625,000      Cleveland Electric Illuminating Co. Ser. E,
                     1st mtge., 9s, 2023                                       3,237,814
 .............................................................................................
      4,935,000      First PV Funding deb. 10.15s, 2016                        5,194,088
 .............................................................................................
         25,000      First PV Funding deb. Ser. 86A, 10.3s,
                     2014                                                         26,500
 .............................................................................................
      7,600,000      Midland Funding Corp. II deb. Ser. A,
                     11 3/4s, 2005                                             8,018,000
 .............................................................................................
      2,480,000      Midland Funding Corp. II deb. Ser. B,
                     13 1/4s, 2006                                             2,762,100
 .............................................................................................
      5,000,000      Niagara Mohawk Power Corp. 1st mtge.
                     6 7/8s, 2003                                              4,358,150
- ---------------------------------------------------------------------------------------------
                                                                              26,295,821
- ---------------------------------------------------------------------------------------------
Electronics (2.0%)
 .............................................................................................
      4,000,000      Amphenol Corp. sr. notes 10.45s, 2001                     4,260,000
 .............................................................................................
      2,750,000      Amphenol Corp. sr. sub. notes 12 3/4s,
                     2002                                                      3,038,750
 .............................................................................................
      6,935,000      International Semi-Tech. Corp. sr. secd.
                     disc. notes stepped-coupon zero %
                     (11 1/2s, 8/15/00), 2003 (Canada) ++                      3,970,288
 .............................................................................................
        770,000      Moog, Inc. 144A sr. sub. notes 10s, 2006                    769,038
- ---------------------------------------------------------------------------------------------
                                                                              12,038,076
- ---------------------------------------------------------------------------------------------
Energy Related (0.2%)
 .............................................................................................
      1,350,000      Calpine Corp. 144A sr. notes 10 1/2s,
                     2006                                                      1,350,000
- ---------------------------------------------------------------------------------------------
Entertainment (3.8%)
 .............................................................................................
      4,500,000      Alliance Entertainment Corp. sr. sub.
                     notes Ser. B, 11 1/4s, 2005                               4,297,500
 .............................................................................................
      2,725,000      Premier Parks, Inc. Ser. A, sr. notes, 12s,
                     2003                                                      2,888,500
 .............................................................................................
      5,000,000      Six Flags Corp. sr. sub. notes
                     stepped-coupon zero % (12 1/4s,
                     6/15/98), 2005 ++                                         4,200,000
 .............................................................................................
      1,500,000      Time Warner, Inc. notes 8.18s, 2007                       1,494,375
 .............................................................................................
      4,500,000      Trump Holdings & Funding Corp. sr.
                     notes 15 1/2s, 2005                                       5,298,750
 .............................................................................................
      8,000,000      UIH Australia/Pacific 144A sr. disc. notes
                     zero % (14s, 5/15/01), 2006 (Australia)++                 4,220,000
- ---------------------------------------------------------------------------------------------
                                                                              22,399,125
- ---------------------------------------------------------------------------------------------
Financial Services (1.6%)
 .............................................................................................
      3,700,000      AIM Management Group sr. secd. notes
                     9s, 2003                                                  3,690,750
 .............................................................................................
      1,725,000      First Federal Financial Corp. notes 11 3/4s,
                     2004                                                      1,716,375
 .............................................................................................
      3,900,000      Keystone Group, Inc. sr. secd. notes 9 3/4s,
                     2003                                                      3,880,500
- ---------------------------------------------------------------------------------------------
                                                                               9,287,625
- ---------------------------------------------------------------------------------------------
Food (0.5%)
 .............................................................................................
        712,000      Del Monte Corp. sub. deb. notes 12 1/4s,
                     2002 ++++                                                   669,280
 .............................................................................................
      2,000,000      Mafco, Inc. sr. sub. notes 11 7/8s, 2002                  2,110,000
- ---------------------------------------------------------------------------------------------
                                                                               2,779,280
- ---------------------------------------------------------------------------------------------
Food Chains (0.9%)
 .............................................................................................
      1,500,000      Safeway, Inc. med. term notes 8.57s, 2003                 1,535,625
 .............................................................................................
      1,000,000      Safeway, Inc. med. term notes 8.27s, 2000                 1,010,000
 .............................................................................................
      2,850,000      Stater Brothers sr. notes 11s, 2001                       2,964,000
- ---------------------------------------------------------------------------------------------
                                                                               5,509,625
- ---------------------------------------------------------------------------------------------
Forest Products (1.7%)
 .............................................................................................
      4,975,000      Domtar, Inc. notes 12s, 2001 (Canada)                     5,795,875
 .............................................................................................
      4,375,000      Gaylord Container Corp. sr. notes
                     11 1/2s, 2001                                             4,473,438
- ---------------------------------------------------------------------------------------------
                                                                              10,269,313
- ---------------------------------------------------------------------------------------------
Gaming (1.0%)
 .............................................................................................
        590,000      Alliance Gaming Corp. 12 7/8s, 2003                         585,575
 .............................................................................................
      1,320,000      Argosy Gaming Co. 144A 1st. mtge.
                     13 1/4s, 2004                                             1,339,800
 .............................................................................................
        685,000      Harveys Casino Resorts sr. sub. notes
                     10 5/8s, 2006                                               695,275
 .............................................................................................
      3,110,000      Players International Inc. sr. notes 10 7/8s,
                     2005                                                      3,164,425
- ---------------------------------------------------------------------------------------------
                                                                               5,785,075
- ---------------------------------------------------------------------------------------------
Health Care (3.0%)
 .............................................................................................
      6,000,000      Ivac Corp. sr. notes 9 1/4s, 2002                         6,030,000
 .............................................................................................
      4,000,000      Merit Behavioral Care sr. sub. notes
                     11 1/2s, 2005                                             4,200,000
 .............................................................................................
      7,450,000      Paracelsus Healthcare Corp. sr. sub. notes
                     9 7/8s, 2003                                              7,450,000
- ---------------------------------------------------------------------------------------------
                                                                              17,680,000
- ---------------------------------------------------------------------------------------------
Insurance (1.6%)
 .............................................................................................
      1,250,000      American Annuity Group, Inc. sr. notes
                     9 1/2s, 2001                                              1,318,750
 .............................................................................................
      3,300,000      American Life Holding Co. sr. sub. notes
                     11 1/4s, 2004                                             3,481,500
 .............................................................................................
      2,075,000      Reliance Group Holdings, Inc. sr. notes
                     9s, 2000                                                  2,054,250
 .............................................................................................
      2,500,000      Reliance Group Holdings, Inc. sr. sub. deb.
                     9 3/4s, 2003                                              2,456,250
- ---------------------------------------------------------------------------------------------
                                                                               9,310,750
- ---------------------------------------------------------------------------------------------
Lodging (1.3%)
 .............................................................................................
      3,925,000      Host Marriott Corp. sr. notes Ser. B,
                     9 1/2s, 2005                                              3,748,375
 .............................................................................................
      1,400,000      John Q Hammons Hotels, Inc. 1st mtge.
                     9 3/4s, 2005                                              1,351,000
 .............................................................................................
      2,000,000      John Q Hammons Hotels, Inc. 1st mtge.
                     8 7/8s, 2004                                              1,870,000
 .............................................................................................
        620,000      Wyndham Hotel Corp. sr. sub. notes
                     10 1/2s, 2006                                               620,000
- ---------------------------------------------------------------------------------------------
                                                                               7,589,375
- ---------------------------------------------------------------------------------------------
Media (0.3%)
 .............................................................................................
      2,000,000      Viacom International, Inc. sub. deb. 8s,
                     2006                                                      1,830,000
- ---------------------------------------------------------------------------------------------
Medical Supplies and Devices (0.8%)
 .............................................................................................
      1,650,000      Dade International, Inc. 144A sr. sub. notes
                     11 1/8s, 2006                                             1,711,875
 .............................................................................................
      2,748,000      Graphic Controls Corp. sr. sub. notes
                     Ser. A, 12s, 2005                                         2,912,880
- ---------------------------------------------------------------------------------------------
                                                                               4,624,755
- ---------------------------------------------------------------------------------------------
Metals & Mining (0.2%)
 .............................................................................................
        900,000      Renco Metals, Inc. sr. notes 11 1/2s, 2003                  900,000
- ---------------------------------------------------------------------------------------------
Motion Picture Distribution (0.9%)
 .............................................................................................
      2,075,000      Act III Theatres, Inc. sr. sub. notes 11 7/8s,
                     2003                                                      2,282,500
 .............................................................................................
      1,685,000      Cinemark Mexico notes 12s, 2003
                     (Mexico)                                                  1,567,050
 .............................................................................................
      1,500,000      Cinemark USA sr. notes 12s, 2002                          1,627,500
- ---------------------------------------------------------------------------------------------
                                                                               5,477,050
- ---------------------------------------------------------------------------------------------
Oil and Gas (1.5%)
 .............................................................................................
      1,500,000      Chesapeake Energy Corp. sr. notes 12s,
                     2001                                                      1,616,250
 .............................................................................................
        620,000      Cliffs Drilling Co. 144A sr. notes 10 1/4s,
                     2003                                                        613,800
 .............................................................................................
        375,000      Maxus Energy Corp. global notes 9 7/8s,
                     2002                                                        373,125
 .............................................................................................
      5,000,000      TransTexas Gas Corp. sr. secd. notes
                     11 1/2s, 2002                                             4,975,000
 .............................................................................................
      1,100,000      Triton Energy sr. sub. disc. notes
                     stepped-coupon zero % (9 3/4s,
                     12/15/96), 2000 ++                                        1,056,000
- ---------------------------------------------------------------------------------------------
                                                                               8,634,175
- ---------------------------------------------------------------------------------------------
Paging (2.2%)
 .............................................................................................
      3,750,000      A+ Network Inc. sr. sub. notes 11 7/8s,
                     2005                                                      3,853,125
 .............................................................................................
      1,700,000      Arch Communications Group sr. disc.
                     notes stepped-coupon zero % (10 7/8s,
                     3/15/01), 2008 ++                                           875,500
 .............................................................................................
      3,400,000      Mobile Telecommunications Tech. sr. notes
                     13 1/2s, 2002                                             3,612,500
 .............................................................................................
      4,100,000      Pagemart Nationwide, Inc. sr. disc. notes
                     stepped-coupon zero % (15s, 2/1/00),
                     2005 ++                                                   2,777,750
 .............................................................................................
      1,550,000      Pagemart, Inc. sr. disc. notes
                     stepped-coupon zero % (12 1/4s,
                     11/1/98), 2003 ++                                         1,166,375
 .............................................................................................
        720,000      Pronet, Inc. sr. sub. notes 10 7/8s, 2006                   694,800
- ---------------------------------------------------------------------------------------------
                                                                              12,980,050
- ---------------------------------------------------------------------------------------------
Paper and Forest Products (1.6%)
 .............................................................................................
      4,475,000      APP International Finance Co. notes
                     11 3/4s, 2005 (Netherlands)                               4,586,875
 .............................................................................................
      3,025,000      Florida Coast Paper LLC 144A 1st. mtge.
                     12 3/4s, 2003                                             3,146,000
 .............................................................................................
      2,000,000      Repap New Brunswick sr. notes 10 5/8s,
                     2005 (Canada)                                             1,880,000
- ---------------------------------------------------------------------------------------------
                                                                               9,612,875
- ---------------------------------------------------------------------------------------------
Publishing (1.8%)
 .............................................................................................
      4,750,000      American Media Operation, Inc. sr. sub.
                     notes 11 5/8s, 2004                                       4,845,000
 .............................................................................................
      7,000,000      Marvel Parent Holdings, Inc. sr. secd. disc.
                     notes zero %, 1998                                        5,547,500
- ---------------------------------------------------------------------------------------------
                                                                              10,392,500
- ---------------------------------------------------------------------------------------------
Real Estate (0.4%)
 .............................................................................................
      2,500,000      Chelsea Piers 1st mtge.
                     Ser. B, 12 1/2s,  2004                                    2,337,500
 .............................................................................................
         85,000      Chelsea Piers 144A 1st mtge.
                     stepped-coupon Ser. B, zero % (11s,
                     6/15/99), 2009 ++                                            79,475
- ---------------------------------------------------------------------------------------------
                                                                               2,416,975
- ---------------------------------------------------------------------------------------------
Recreation (5.6%)
 .............................................................................................
      1,750,000      Arizona Charlies Corp. 1st mtge. Ser. B,
                     12s, 2000                                                 1,141,328
 .............................................................................................
        320,000      Capitol Queen Corp. 1st mtge. notes
                     Ser. B, 12s, 2000 +                                         224,000
 .............................................................................................
      5,445,000      Casino America, Inc. 1st mtge. 11 1/2s,
                     2001                                                      5,771,700
 .............................................................................................
      2,950,000      Coast Hotels & Casinos, Inc. 1st mtge.
                     13s, 2002                                                 3,193,375
 .............................................................................................
      4,715,000      Grand Casinos, Inc. 1st mtge. 10 1/8s,
                     2003                                                      4,832,875
 .............................................................................................
      5,000,000      Lady Luck Gaming 1st mtge. Ser. B,
                     11 7/8s, 2001                                             4,900,000
 .............................................................................................
      2,055,000      Louisiana Casino Cruises Corp. 1st mtge.
                     11 1/2s, 1998                                             1,849,500
 .............................................................................................
      1,300,000      Mohegan Tribal Gaming 144A sr. secd.
                     notes 13 1/2s, 2002                                       1,631,500
 .............................................................................................
      1,425,000      PRT Funding Corp. sr. notes 11 5/8s,
                     2004                                                      1,282,500
 .............................................................................................
        900,000      Showboat Marina Casino 144A 1st mtge.
                     13 1/2s, 2003                                               976,500
 .............................................................................................
      6,145,000      Trump A.C. 1st. mtge. 11 1/4s, 2006                       6,175,725
 .............................................................................................
      1,188,000      Trump Castle Funding Corp. sr. sub. notes
                     11 1/2s, 2000                                             1,188,000
- ---------------------------------------------------------------------------------------------
                                                                              33,167,003
- ---------------------------------------------------------------------------------------------
Retail (4.1%)
 .............................................................................................
      2,500,000      Apparel Retailers, Inc. Ser. B, deb.
                     stepped-coupon zero % (12 3/4s,
                     8/15/98), 2005 ++                                         2,131,250
 .............................................................................................
      4,250,000      Brylane (L.P.) sr. sub. notes 10s, 2003                   4,122,500
 .............................................................................................
      1,345,000      County Seat Stores Inc. sr. sub. notes
                     12s, 2002                                                 1,183,600
 .............................................................................................
      2,000,000      Finlay Enterprises, Inc. sr. disc. deb.
                     stepped-coupon zero % (12s, 5/1/98),
                     2005 ++                                                   1,602,500
 .............................................................................................
      3,355,000      Finlay Enterprises, Inc. sr. notes 10 5/8s,
                     2003                                                      3,355,000
 .............................................................................................
        710,000      Guitar Center Management 144A sr.
                     notes 11s, 2006                                             720,650
 .............................................................................................
      3,300,000      K Mart Corp. med. term notes 7.77s,
                     2002                                                      2,871,000
 .............................................................................................
        500,000      K Mart Corp. med. term notes 8s, 2001                       445,040
 .............................................................................................
      1,495,000      Loehmanns, Inc. sr. notes 11 7/8s, 2003                   1,547,325
 .............................................................................................
      2,035,000      Mothers Work, Inc. sr. notes 12 5/8s,
                     2005                                                      2,172,363
 .............................................................................................
        150,000      Service Merchandise Co., Inc. sr. sub.
                     deb. 9s, 2004                                               132,000
 .............................................................................................
      2,250,000      SRI Receivables Purchase 144A notes
                     12 1/2s, 2000                                             2,283,750
 .............................................................................................
      1,750,000      Waban, Inc. sr. sub. notes 11s, 2004                      1,820,000
- ---------------------------------------------------------------------------------------------
                                                                              24,386,978
- ---------------------------------------------------------------------------------------------
Specialty Consumer Products (0.3%)
 .............................................................................................
      1,550,000      Herff Jones, Inc. sr. sub. notes 11s, 2005                1,596,500
- ---------------------------------------------------------------------------------------------
Telecommunication (5.7%)
 .............................................................................................
      2,415,000      American Communication Services, Inc.
                     sr. disc. notes stepped-coupon zero %
                     (12 3/4s, 4/1/01), 2006 ++                                1,255,800
 .............................................................................................
      5,000,000      Brooks Fiber Properties 144A sr. disc.
                     notes stepped-coupon zero % (10 7/8s,
                     3/1/01), 2006 ++                                          2,637,500
 .............................................................................................
      2,200,000      Charter Communications Holdings 144A
                     sr. disc. notes stepped-coupon zero %
                     (14s, 3/15/01), 2007 ++                                   1,221,000
 .............................................................................................
      1,750,000      Charter Communications International, Inc.
                     144A sr. notes 11 1/4s, 2006                              1,723,750
 .............................................................................................
      5,216,000      GST Telecommunications, Inc.
                     stepped-coupon zero % (13 7/8s,
                     1/15/00), 2005 ++                                         2,986,160
 .............................................................................................
      5,000,000      Intelcom Group (USA), Inc. 144A sr. disc.
                     notes stepped-coupon zero % (12 1/2s,
                     5/01/01), 2006 ++                                         2,800,000
 .............................................................................................
      7,500,000      Intelcom Group, Inc. sr. disc. notes
                     stepped-coupon zero % (13 1/2s, 9/15/00),
                     2005 ++                                                   4,500,000
 .............................................................................................
      3,240,000      Intermedia Communications of Florida
                     Ser. B, sr. notes, 13 1/2s, 2005                          3,628,800
 .............................................................................................
     10,700,000      MFS Communications sr. disc. notes
                     stepped-coupon zero % (8 7/8s, 1/1/01),
                     2006 ++                                                   6,473,500
 .............................................................................................
      2,100,000      Nextlink Communications, Inc. 144A
                     sr. notes 12 1/2s, 2006                                   2,086,875
 .............................................................................................
      6,870,000      Teleport Communications Group Inc.
                     sr. disc. notes stepped-coupon zero %
                     (11 1/8s, 7/1/01), 2007 ++                                4,001,775
- ---------------------------------------------------------------------------------------------
                                                                              33,315,160
- ---------------------------------------------------------------------------------------------
Telephone Services (0.4%)
 .............................................................................................
      3,450,000      MFS Communications sr. disc. notes
                     stepped-coupon zero % (9 3/8s, 1/15/99),
                     2004 ++                                                   2,587,500
- ---------------------------------------------------------------------------------------------
Textiles (0.3%)
 .............................................................................................
      1,830,000      Polysindo International Finance, company
                     guaranty 11 3/8s, 2006 (Indonesia)                        1,839,150
- ---------------------------------------------------------------------------------------------
                     Total Corporate Bonds and Notes
                     (cost $496,800,809)                                    $496,132,198
- ---------------------------------------------------------------------------------------------
PREFERRED STOCKS (3.9%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
         31,237      Cablevision Systems Corp. 144A Ser. L,
                     $11.125 pfd. ++++                                        $2,959,706
 .............................................................................................
         50,700      California Federal Bank Ser. B, $10.625,
                     exch. pfd.                                                5,500,950
 .............................................................................................
         20,000      Chevy Chase Savings Bank $13.00, pfd.                       600,000
 .............................................................................................
         20,000      El Paso Electric Co. $11.40, pfd. ++++                    2,100,000
 .............................................................................................
         23,985      Foxmeyer Health Corp. Ser. A, $4.20,
                     pfd. ++++                                                   647,595
 .............................................................................................
         20,581      K-III Communications Ser. B $3.85 pfd. ++++               2,058,100
 .............................................................................................
         76,200      SD Warren Co. Ser. B, $3.50, pfd.                         2,667,000
 .............................................................................................
         71,500      SDW Hldgs. Corp. 144A $3.50, pfd.                         2,073,500
 .............................................................................................
          4,475      Time Warner, Inc. 144A Ser. K, $10.25,
                     pfd.                                                      4,340,750
- ---------------------------------------------------------------------------------------------
                     Total Preferred Stocks
                     (cost $22,570,639)                                      $22,947,601
- ---------------------------------------------------------------------------------------------
UNITS (3.4%) *
- ---------------------------------------------------------------------------------------------
Number of Units                                                                    Value
 .............................................................................................
            273      Celcaribe S.A. 144A units stepped-coupon
                     zero % (13 1/2s, 3/15/98), 2004 ++                       $2,825,550
 .............................................................................................
          6,335      Cellnet Data Systems Inc. units
                     stepped-coupon zero % (13s, 6/15/00),
                     2005 ++                                                   4,513,689
 .............................................................................................
            885      Cobblestone Holdings, Inc. units 144A
                     units zero %, 2004                                          327,450
 .............................................................................................
          2,145      Diva Systems Corp. 144A units
                     stepped-coupon zero % (13s, 5/15/01),
                     2006 ++                                                   1,170,140
 .............................................................................................
          3,000      Fitzgerald Gaming Co. units 13s, 2002                     2,520,000
 .............................................................................................
          1,735      Hyperion Communications 144A units
                     stepped-coupon zero % (13s, 4/15/01),
                     2003 ++                                                     962,925
 .............................................................................................
            850      ICF Kaiser International, Inc. units 13s,
                     2003                                                        811,750
 .............................................................................................
            465      Intercel, Inc. units stepped-coupon zero %
                     (12s, 2/1/01), 2006 ++                                    2,929,500
 .............................................................................................
          2,752      PSF Finance (L.P.) 144A exch. pfd. units
                     12 1/2s, 2000 (acquired various dates
                     from 2/8/93 to 9/15/93, cost $275,200)++                    144,480
 .............................................................................................
            710      Terex Corp. 144A units 13 3/4s, 2002                        743,725
 .............................................................................................
      3,312,000      Total Renal Care Holdings, Inc. units
                     sr. sub. disc. notes stepped-coupon zero %,
                     2004 (12s, 8/15/97), (acquired various
                     dates from 1/10/95 to 2/27/95,
                     cost $2,730,468)++ +++                                      3,262,320
- ---------------------------------------------------------------------------------------------
                     Total Units (cost $17,891,701)                          $20,211,529
- ---------------------------------------------------------------------------------------------
COMMON STOCKS (2.3%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
          1,520      Applause Enterprises, Inc. (acquired
                     various dates from 1/26/88 to 1/5/89,
                     cost $393,155)+ ++                                            $4,560
 .............................................................................................
          4,275      Axia Holding Corp. 144A +                                   128,250
 .............................................................................................
         80,000      Cablevision Systems Corp. Class A +                       3,700,000
 .............................................................................................
         47,844      Computervision Corp. +                                      478,440
 .............................................................................................
         60,000      Exide Corp.                                               1,455,000
 .............................................................................................
        157,742      Grand Union Co. (acquired various dates
                     from 7/15/92 to 12/1/94,
                     cost $4,751,406)+ +++                                       1,025,323
 .............................................................................................
         34,527      Loehmanns' Holdings, Inc. +                                 642,202
 .............................................................................................
        192,000      NEXTEL Communications, Inc. Class A +                     3,660,000
 .............................................................................................
            726      PMI Holdings Corp. 144A +                                   145,200
 .............................................................................................
            665      Premium Holdings L.P. 144A +                                 16,617
 .............................................................................................
            171      Southland Corp. +                                               518
 .............................................................................................
         15,000      Specialty Foods Corp. +                                       7,500
 .............................................................................................
         29,141      Total Renal Care Holdings +                                 868,766
 .............................................................................................
         30,570      Total Renal Care Holdings, Inc. (acquired
                     various dates from 1/1/95 to 8/4/95,
                     cost $53,297)+ +++                                          1,291,583
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $15,049,579)                                      $13,423,959
- ---------------------------------------------------------------------------------------------
CONVERTIBLE PREFERRED STOCKS (1.3%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
         31,840      Cablevision Systems Corp. Ser. H, $11.75
                     cv. pfd.                                                 $3,072,560
 .............................................................................................
         20,000      Conseco, Inc. Ser. D, $3.25, cv. pfd.                     1,257,500
 .............................................................................................
         50,000      Granite Broadcasting $1.938, cv. pfd.                     3,342,969
- ----------------------------------------------------------------------------------------
                     Total Convertible Preferred Stocks
                     (cost $6,149,975)                                        $7,673,029
- ---------------------------------------------------------------------------------------------
WARRANTS (0.6%) *+
- ---------------------------------------------------------------------------------------------
<CAPTION>
Number of  Warrants                                        Expiration              Value
                                                                 Date
 .............................................................................................
         <S>         <C>                                    <C>                   <C>
         40,000      Becker Gaming Corp. 144A               11/15/00              $8,000
 .............................................................................................
          5,792      Casino America, Inc.                   11/15/96                 579
 .............................................................................................
          6,000      Casino Magic Finance Corp.             10/14/96                 300
 .............................................................................................
         13,425      Cinemark Mexico USA, Inc.                8/1/03             124,383
 .............................................................................................
          4,000      Commodore Media 144A                     5/1/00             520,000
 .............................................................................................
          2,725      County Seat Holdings, Inc.             10/15/98              27,250
 .............................................................................................
         65,930      Gaylord Container Corp.                 7/31/96             515,078
 .............................................................................................
          1,399      Grand Union Co. Ser. 1
                     (acquired 6/16/93, cost $560)+++         6/16/00                 448
 .............................................................................................
          2,799      Grand Union Co. Ser. 2
                     (acquired 7/13/93, cost $280)+++         6/16/00                 140
 .............................................................................................
         12,840      Heartland Wireless
                     Communications 144A                     4/15/00              64,200
 .............................................................................................
        120,000      Insight Communications Co.
                     144A                                    3/31/98             300,000
 .............................................................................................
         24,750      Intelcom Group 144A                      6/1/00             284,625
 .............................................................................................
          3,240      Intermedia Communications
                     144A                                     6/1/05             129,600
 .............................................................................................
          6,789      Louisiana Casino Cruises, Inc.
                     144A                                    12/1/98             101,835
 .............................................................................................
          3,086      Nextel Communications Inc.             12/15/98                  31
 .............................................................................................
          7,130      Pagemart, Inc. 144A                    12/31/03              61,496
 .............................................................................................
          5,801      Petracom Holdings, Inc. 144A             2/1/03              41,332
 .............................................................................................
          6,000      President Riverboat Casinos,
                     Inc. 144A                               9/23/96                 300
 .............................................................................................
          7,150      SDW Hldgs. Corp. Ser B
                     Warrants 144A                          12/15/06              92,950
 .............................................................................................
          5,000      Southdown, Inc. 144A                   10/31/96              37,500
 .............................................................................................
             91      Telemedia Broadcasting Corp.
                     144A                                     4/1/04              68,558
 .............................................................................................
         13,160      UCC Investor Holding, Inc.             10/30/99             184,240
 .............................................................................................
          6,330      Universal Outdoor, Inc. 144A             7/1/04             949,500
 .............................................................................................
          1,650      Wireless One, Inc.                     10/19/00              12,375
 .............................................................................................
            305      Wright Medical Technology,
                     Inc. 144A                               6/30/03              39,611
- ---------------------------------------------------------------------------------------------
                     Total Warrants
                     (cost $2,131,542)                                        $3,564,331
- ---------------------------------------------------------------------------------------------
CONVERTIBLE BONDS AND NOTES (0.6%) *
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                                                   Value
 .............................................................................................
       <S>           <C>                                                      <C>
       $652,000      GST Telecommunications, Inc. sr. disc.
                     notes stepped-coupon zero %
                     (13 7/8s, 5/15/00), 2005                                   $652,000
 .............................................................................................
      3,556,000      Pricellular Wireless Corp. cv.
                     sub. notes stepped-coupon zero %
                     (10 3/4s, 8/15/00) ++                                     3,058,160
- ---------------------------------------------------------------------------------------------
                     Total Convertible Bonds and Notes
                     (cost $2,448,234)                                        $3,710,160
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (2.9%) *(cost $17,231,751)
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
    $17,224,000      Interest in $655,568,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Morgan (J.P.) & Co., Inc. due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations -- maturity value of
                     $17,231,751 for an effective yield
                     of 5.40%                                                $17,231,751
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $580,274,230)***                                 $584,894,558
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>

PCM U.S. Government and High Quality Bond Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

U.S. GOVERNMENT AND AGENCY OBLIGATIONS (58.1%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
U.S. Government Agency Mortgage Pass-Through
Certificates (25.6%)
 .............................................................................................
                     Federal National Mortgage Association
 .............................................................................................
    <S>              <C>                                                     <C>
    $30,536,242      7s, with various due dates from
                     July 1, 2023 to February 1, 2025                        $29,371,935
 .............................................................................................
     16,756,700      6s, Dwarf, with various due dates
                     from January 1, 2009 to
                     October 1, 2009                                          15,845,476
 .............................................................................................
      9,220,000      Med. term notes 5.94s, December 12,
                     2005                                                      8,560,217
 ............................................................................................
                     Government National Mortgage
                     Association
 .............................................................................................
     32,577,340      7 1/2s, with various due dates from
                     January 15, 2023 to
                     December 15, 2025                                        32,632,494
 .............................................................................................
     60,107,399      7s, with various due dates from
                     April 15, 2023 to June 15, 2026                          58,036,338
 .............................................................................................
     33,496,617      6 1/2s, with various due dates from
                     October 15, 2023 to
                     September 15, 2025                                       31,221,886
 .............................................................................................
      8,084,787      6 1/2s, Midget, with various due
                     dates from June 15, 2008 to
                     May 15, 2009                                              7,534,876
 .............................................................................................
      8,229,406      6s, Midget, with various due dates
                     from August 15, 2008 to May 15, 2009                      7,838,521
- ---------------------------------------------------------------------------------------------
                                                                             191,041,743
- ---------------------------------------------------------------------------------------------
U.S. Treasury Obligations (32.5%)
 .............................................................................................
                     U.S. Treasury Bonds
 .............................................................................................
     17,735,000      11 5/8s, November 15, 2004                               23,257,856
 .............................................................................................
     24,430,000      10 3/4s, August 15, 2005                                 31,014,618
 .............................................................................................
      5,680,000      8 1/8s, August 15, 2019                                   6,375,800
 .............................................................................................
                     U.S. Treasury Notes
 .............................................................................................
     16,689,000      11 7/8s, November 15, 2003                               21,706,047
 .............................................................................................
     20,340,000      9 1/4s, August 15, 1998                                  21,563,654
 .............................................................................................
     12,700,000      8s, May 15, 2001                                         13,501,624
 .............................................................................................
      2,175,000      7 1/2s, February 15, 2005                                 2,288,165
 .............................................................................................
     48,970,000      7 1/2s, May 15, 2002                                     51,265,224
 .............................................................................................
      6,220,000      7 1/4s, August 15, 2004                                   6,442,552
 .............................................................................................
     51,000,000      6 3/8s, August 15, 2002                                  50,593,530
 .............................................................................................
     13,855,000      6 1/4s, May 31, 2000                                     13,766,189
- ---------------------------------------------------------------------------------------------
                                                                             241,775,259
- ---------------------------------------------------------------------------------------------
                     Total U.S. Government and
                     Agency Obligations
                     (cost $440,851,812)                                    $432,817,002
- ---------------------------------------------------------------------------------------------
CORPORATE BONDS AND NOTES (22.4%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
Banks (4.8%)
 .............................................................................................
     $8,500,000      Abbey National First Capital sub. notes
                     8.2s, 2004 (United Kingdom)                              $8,979,655
 .............................................................................................
      4,000,000      Bangkok Bank Ltd. 144A sub. notes
                     8 1/4s, 2016 (Thailand)                                   3,956,800
 .............................................................................................
      9,000,000      MBNA American Bank, N.A. med. term
                     notes 7.3s, 1999                                          9,116,910
 .............................................................................................
      4,200,000      Merita Bank Ltd. sub. notes 6 1/2s, 2006
                     (Finland)                                                 3,904,488
 .............................................................................................
      2,000,000      Northern Trust Corp. med. term notes
                     9.2s, 2001                                                2,184,600
 .............................................................................................
      7,000,000      Scotland International Finance 144A
                     sub. notes 8.85s, 2006 (Netherlands)                      7,665,000
- ---------------------------------------------------------------------------------------------
                                                                              35,807,453
- ---------------------------------------------------------------------------------------------
Broadcasting (0.7%)
 .............................................................................................
      5,000,000      Paramount Communications Inc.
                     sr. notes 7 1/2s, 2002                                    4,932,200
 .............................................................................................
        600,000      Paramount Communications Inc.
                     sub. deb. Ser. A, 7s, 2003                                  555,702
- ---------------------------------------------------------------------------------------------
                                                                               5,487,902
- ---------------------------------------------------------------------------------------------
Conglomerates (2.0%)
 .............................................................................................
      3,000,000      Allied Signal Inc. notes 9.2s, 2003                       3,282,630
 .............................................................................................
      9,760,000      Canadian Pacific Ltd. deb. 9.45s, 2021
                     (Canada)                                                 11,219,998
- ---------------------------------------------------------------------------------------------
                                                                              14,502,628
- ---------------------------------------------------------------------------------------------
Finance (3.1%)
 .............................................................................................
      5,000,000      Associates Corp. of North America
                     sr. notes 6 3/4s, 1999                                    5,011,500
 .............................................................................................
      6,990,000      BHP Finance (USA), Inc. company
                     guaranty 6.42s, 2026                                      6,757,722
 .............................................................................................
      4,000,000      International Lease Finance Corp. AIG
                     notes 6 1/2s, 1999                                        3,949,200
 .............................................................................................
      7,200,000      Rodamco NV notes 7 3/4s, 2015
                     (Netherlands)                                             7,236,504
- ---------------------------------------------------------------------------------------------
                                                                               22,954,926
- ---------------------------------------------------------------------------------------------
Insurance (1.5%)
 .............................................................................................
      8,000,000      AMBAC Indemnity Corp. deb. 9 3/8s,
                     2011                                                      9,334,320
 .............................................................................................
      2,000,000      Fletcher Challenge Finance USA Ltd.
                     gtd. notes 9s, 1999 (New Zealand)                         2,102,980
- ---------------------------------------------------------------------------------------------
                                                                              11,437,300
- ---------------------------------------------------------------------------------------------
Oil and Gas (3.8%)
 .............................................................................................
      5,505,000      Anadarko Petroleum Corp. deb. 7 1/4s,
                     2025                                                      5,631,009
 .............................................................................................
      2,000,000      Imperial Oil Ltd. deb. 8 3/4s, 2019
                     (Canada)                                                  2,155,720
 .............................................................................................
     10,000,000      Norsk Hydro AS deb. 7.15s, 2025
                     (Norway)                                                  9,355,600
 .............................................................................................
      5,515,000      Petroliam Nasional Berhad 144A
                     notes 7 1/8s, 2005 (Malaysia)                             5,418,488
 .............................................................................................
      5,000,000      Trans-Canada PipeLines Ltd. deb.
                     8 5/8s, 2012 (Canada)                                     5,400,900
- ---------------------------------------------------------------------------------------------
                                                                              27,961,717
- ---------------------------------------------------------------------------------------------
Telephone Utilities (2.2%)
 .............................................................................................
     10,000,000      Bell South Telecommunication sr. unsub.
                     6 1/8s, 2008                                              9,055,000
 .............................................................................................
      6,993,000      Telekom Malaysia Berhad (New) 144A
                     deb. 7 7/8s, 2025 (Malaysia)                              7,021,392
- ---------------------------------------------------------------------------------------------
                                                                               16,076,392
- ---------------------------------------------------------------------------------------------
Utilities (4.3%)
 .............................................................................................
      3,000,000      Monongahela Power Co. 1st mtge.
                     8 5/8s, 2021                                              3,156,720
 .............................................................................................
      7,750,000      Ohio Edison Co. med. term notes
                     7 3/8s, 2023                                              7,336,305
 .............................................................................................
      3,000,000      Pacificorp secd. med. term notes 8.95s,
                     2011                                                      3,344,700
 .............................................................................................
      4,000,000      Southwestern Public Service Co.
                     1st mtge. 8.2s, 2022                                      4,179,000
 .............................................................................................
      9,165,000      Tenga Nasional Berhad 144A notes
                     7 7/8s, 2004 (Malaysia)                                   9,489,166
 .............................................................................................
      5,000,000      West Penn. Power Co. 1st mtge. 7 7/8s,
                     2022                                                      4,719,950
- ---------------------------------------------------------------------------------------------
                                                                               32,225,841
- ---------------------------------------------------------------------------------------------
                     Total Corporate Bonds and Notes
                     (cost $164,437,684)                                    $166,454,159
- ---------------------------------------------------------------------------------------------
COLLATERALIZED MORTGAGE OBLIGATIONS (8.9%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
     $3,344,443      Chase Mortgage Finance Corp. 144A
                     Ser. 94-1, Class B2, 6.601s, 2025                        $2,954,606
 .............................................................................................
      4,293,031      Chase Mortgage Finance Corp. 144A
                     Ser. 94-1, Class B3, 6.601s, 2025                         3,789,941
 .............................................................................................
      5,246,052      Chase Mortgage Finance Corp. 144A
                     Ser. 94-1, Class B4, 6.601s, 2025                         4,565,705
 .............................................................................................
        506,322      Morgan Stanley Mortgage Trust Ser. W,
                     Class 5, 9.05s, May 1, 2018                                 529,172
 .............................................................................................
      2,768,539      Paine Webber Mortgage Acceptance
                     Corp. Ser. 94-3, Class M1, 6 1/2s, 2024                   2,472,651
 .............................................................................................
      5,014,357      Prudential Home Mortgage Securities
                     Co. 144A Ser. 93-31, Class B1, 6s, 2000                   4,704,094
 .............................................................................................
      4,900,297      Prudential Home Mortgage Securities
                     Co. 144A Ser. 94-28, Class B1, 6.803s,
                     2001                                                      4,648,391
 .............................................................................................
      3,200,000      Prudential Home Mortgage Securities
                     Co. 144A Ser. 94-A, Class 3B, 6.802s,
                     2024                                                      2,837,500
 .............................................................................................
      9,000,000      Prudential Home Mortgage Securities
                     Co. 144A Ser. 94-A, Class 1B3, 6.802s,
                     2024                                                      8,182,969
 .............................................................................................
      8,083,255      Prudential Home Mortgage Securities
                     Co. 144A Ser. 95-C, Class 2B, 7.84s,
                     2001                                                      7,949,376
 .............................................................................................
     10,544,676      Residential Funding Mortgage Securities
                     Ser. 93-MZ3, Class A1, 6.97s, 2023                       10,213,507
 .............................................................................................
     14,179,250      Securitized Asset Sales, Inc. Ser.  93-J,
                     Class 1B1, 6.807s, 2023                                  12,923,057
 .............................................................................................
        601,790      Travelers Mortgage Securities Corp.
                     coll. oblig. Ser. 1, Class Z2, 12s, 2014                    669,491
- ---------------------------------------------------------------------------------------------
                     Total Collateralized Mortgage Obligations
                     (cost $62,903,647)                                      $66,440,460
- ---------------------------------------------------------------------------------------------
ASSET-BACKED SECURITIES (5.0%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
    $25,000,000      American Express Credit Account
                     Master Trust Ser. 96-1, Class A, 6.8s,
                     2003                                                    $25,015,500
 .............................................................................................
         35,000      First Chicago Master Trust II Ser. 91-D,
                     Class A, 8.4s, 1998                                          35,153
 .............................................................................................
     10,000,000      Green Tree Financial Corp. Ser. 93-3,
                     Class A5, 5 3/4s, 2018                                    9,603,100
 .............................................................................................
         87,831      Homeowners Federal Savings & Loan
                     Assn. Corp. Mfg. Hsg. contract Ser. 88-A,
                     10.15s, 2008                                                 88,682
 .............................................................................................
        319,949      Merrill Lynch Mortgage Investors, Inc.
                     Ser. 89-C, Class A, 10.35s, 2009                            338,747
 .............................................................................................
      2,463,260      Merrill Lynch Mortgage Investors, Inc.
                     Ser. 94-G, Class A1, 6.3s, 2014                           2,462,398
- ---------------------------------------------------------------------------------------------
                     Total Asset-Backed Securities
                     (cost $36,842,826)                                      $37,543,580
- ---------------------------------------------------------------------------------------------
FOREIGN GOVERNMENT BONDS AND NOTES (3.3%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
AUD   15,074,000     Australia (Government of) bonds 7s,
                     2000                                                    $11,313,389
 .............................................................................................
DEM    3,930,000     Germany (Republic of) bonds 6 7/8s,
                     2005                                                      2,650,105
 .............................................................................................
DEM    2,500,000     Treuhandanstalt (Germany Republic of)
                     7 1/8s, 2003                                              1,732,600
 .............................................................................................
ITL4,495,000,000     Italy (Government of) deb. 6 7/8s, 2023                   4,053,231
 .............................................................................................
USD    4,200,000     Quebec (Provence of) deb. 8 5/8s, 2005
                     (Canada)                                                  4,521,888
- ---------------------------------------------------------------------------------------------
                     Total Foreign Government Bonds and
                     Notes
                     (cost $25,057,280)                                      $24,271,213
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (0.2%) *(cost $1,139,513)
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
     $1,139,000      Interest in $655,568,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Morgan (J.P.) & Co., Inc., due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations -- maturity value of $1,139,513
                     for an effective yield of 5.40%                          $1,139,513
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $731,232,762)***                                 $728,665,927
- ---------------------------------------------------------------------------------------------
Forward Currency Contracts to Sell at June 30, 1996
- ---------------------------------------------------------------------------------------------
<CAPTION>
                         Market           Aggregate          Delivery         Unrealized
                          Value          Face Value              Date       Depreciation
 .............................................................................................
<S>                  <C>                 <C>                  <C>               <C>
Deutschemarks        $3,239,284          $3,223,902           9/18/96           $(15,382)
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>


PCM Money Market Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMERCIAL PAPER (74.0%)*
- ---------------------------------------------------------------------------------------------
Principal Amount                                          Maturity Date            Value
 .............................................................................................
Domestic (52.2%)
 .............................................................................................
      <S>            <C>                                      <C>              <C>
      3,760,000      American Home Products
                     Corp. 5.32s                              7/22/96          3,747,776
 .............................................................................................
      5,000,000      American Home Products
                     Corp. 5.30s                              7/12/96          4,991,167
 .............................................................................................
      5,000,000      American Telephone &
                     Telegraph Co. 5.40s                      9/19/96          4,939,250
 .............................................................................................
      5,000,000      American Telephone &
                     Telegraph Co. 5.39s                      10/3/96          4,928,882
 .............................................................................................
      5,000,000      American Telephone &
                     Telegraph Co. 5.30s                       7/3/96          4,997,792
 .............................................................................................
      5,000,000      Bank of America 5.05s                    7/29/96          4,979,660
 .............................................................................................
      3,000,000      Bank of New York 5.32s                    8/2/96          2,985,370
 .............................................................................................
     10,000,000      Ciesco L.P. 5.25s                         7/8/96          9,988,333
 .............................................................................................
     10,000,000      Chase Manhattan Bank Corp.
                     5.29s                                    8/29/96          9,911,833
 .............................................................................................
      3,700,000      Corporate Asset Funding
                     Co. Inc. 5.05s                            8/2/96          3,682,872
 .............................................................................................
      10,000,000     Corporate Receivables Corp.
                     5.27s                                    7/30/96          9,956,083
 .............................................................................................
      5,000,000      Disney (Walt) Corp. 5.27s               11/22/96          4,893,868
 .............................................................................................
     10,000,000      Falcon Asset Securitization
                     Corp. 5.36s                              7/16/96          9,976,178
 .............................................................................................
     10,000,000      Ford Motor Credit Co. 5.28s               8/1/96          9,953,067
 .............................................................................................
     10,000,000      General Electric Capital
                     Services 5.27s                           8/28/96          9,913,631
 .............................................................................................
      5,000,000      General Motors Acceptance
                     Corp. 5.68s                               7/1/96          5,000,000
 .............................................................................................
      5,000,000      General Motors Acceptance
                     Corp. 5.38s                              7/12/96          4,991,033
 .............................................................................................
      5,000,000      Hewlett-Packard Co. 5.36s                9/27/96          4,933,744
 .............................................................................................
      5,000,000      IBM Credit Corp. 5.28s                   7/16/96          4,988,267
 .............................................................................................
      4,000,000      MetLife Funding Inc. 5.38s               10/1/96          3,944,407
 .............................................................................................
      6,000,000      MetLife Funding Inc. 5.26s                8/1/96          5,971,947
 .............................................................................................
      5,000,000      Morgan (J.P.) & Co., Inc. 5.38s          9/23/96          4,936,486
 .............................................................................................
      5,000,000      Morgan (J.P.) & Co., Inc. 5.26s           7/1/96          4,999,269
 .............................................................................................
      5,000,000      Nationsbank Corp. 5.27s                 10/22/96          4,916,558
 .............................................................................................
      3,000,000      Preferred Receivables Funding
                     Corp. 5.28s                              8/26/96          2,974,920
 .............................................................................................
      8,075,000      Preferred Receivables Funding
                     Corp. 5.28s                              7/25/96          8,045,392
 .............................................................................................
      5,000,000      Sears Roebuck Acceptance
                     Corp. 5.44s                             10/21/96          4,914,622
 .............................................................................................
      5,000,000      Sears Roebuck Acceptance
                     Corp. 5.39s                              8/20/96          4,961,821
 .............................................................................................
     10,800,000      Sheffield Receivables Corp.
                     5.40s                                    7/23/96         10,762,740
 .............................................................................................
     10,000,000      USAA Capital Corp. 5.38s                  8/9/96          9,940,222
- ---------------------------------------------------------------------------------------------
                                                                            $186,127,190
- ---------------------------------------------------------------------------------------------
Foreign (21.8%)
 .............................................................................................
    $10,000,000      Abbey National PLC 5.05s
                     (United Kingdom)                         7/26/96         $9,963,528
 .............................................................................................
      4,900,000      Bayerische Vereinsbank AG 5.30s
                     (Germany)                                 9/4/96          4,852,388
 .............................................................................................
      6,800,000      Canadian Wheat Board 5.30s
                     (Canada)                                  8/1/96          6,767,964
 .............................................................................................
      2,273,000      Centerior Fuel Corp.
                     (Barclays Bank (LOC)) 5.37s
                     (United Kingdom)                         7/15/96          2,267,914
 .............................................................................................
      1,700,000      Commonwealth Bank of
                     Australia 5.35s (Australia)              7/17/96          1,695,705
 .............................................................................................
      2,500,000      Den Danske Bank 5.30s
                     (Denmark)                                7/31/96          2,488,590
 .............................................................................................
      5,000,000      Den Danske Bank 5.29s
                     (Denmark)                                7/15/96          4,988,979
 .............................................................................................
     10,000,000      Deutsche Bank Financial Inc.
                     4.92s (Germany)                           7/2/96          9,997,267
 .............................................................................................
      5,000,000      Dresdner U.S. Finance Inc.
                     4.925s (Germany)                         8/26/96          4,961,010
 .............................................................................................
      5,000,000      Michelin Tire Corp. (Societe
                     Generale (LOC)) 5.37s (France)           8/12/96          4,967,929
 .............................................................................................
      5,000,000      National Australia Funding Inc.
                     5.30s (Australia)                         8/2/96          4,975,708
 .............................................................................................
      5,000,000      Pemex Capitol Inc. (Credit
                     Suisse (LOC)) 5.40s
                     (Switzerland)                            9/18/96          4,940,000
 .............................................................................................
      5,000,000      Swiss Bank Corp. 5.25s
                     (Switzerland)                           10/15/96          4,921,979
 .............................................................................................
      5,000,000      Toronto Dominion Holdings
                     USA Inc. 5.29s (Canada)                  7/15/96          4,988,979
 .............................................................................................
      5,000,000      Toronto Dominion Holdings
                     USA Inc. 5.28s (Canada)                  8/15/96          4,966,267
- ---------------------------------------------------------------------------------------------
                                                                             $77,744,207
- ---------------------------------------------------------------------------------------------
                     Total Commercial Paper
                     (cost $263,871,397)                                    $263,871,397
- ---------------------------------------------------------------------------------------------
U.S. GOVERNMENT & AGENCY OBLIGATIONS (16.4%) *
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                          Maturity Date            Value
 .............................................................................................
     <S>             <C>                                         <C>          <C>
     $5,000,000      Federal Home Loan Banks 4.93s               9/3/96       $4,955,493
 .............................................................................................
                     Federal Home Loan Mortgage
                     Corp. Discount Notes
 .............................................................................................
      5,000,000        5.35s                                    9/16/96        4,942,042
 .............................................................................................
      3,450,000        5.27s                                    7/15/96        3,442,424
 .............................................................................................
      5,000,000        5.25s                                     8/5/96        4,973,750
 .............................................................................................
                     Federal National Mortgage
                     Association Discount Notes
 .............................................................................................
      5,000,000        5.29s                                    12/6/96        4,883,179
 .............................................................................................
     10,000,000        5.23s                                     8/6/96        9,946,247
 .............................................................................................
      2,700,000        5.21s                                    7/24/96        2,690,622
 .............................................................................................
     10,000,000        5.18s                                    10/9/96        9,854,672
 .............................................................................................
      5,000,000        5.12s                                    8/23/96        4,961,600
 .............................................................................................
      4,860,000        5.06s                                   10/30/96        4,776,662
 .............................................................................................
      3,000,000        4.89s                                    8/29/96        2,975,550
- ---------------------------------------------------------------------------------------------
                     Total U.S. Government &
                     Agency Obligations
                     (cost $58,402,241)                                      $58,402,241
- ---------------------------------------------------------------------------------------------
CERTIFICATES OF DEPOSIT (2.8%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                          Maturity Date            Value
 .............................................................................................
     $5,000,000      Bayerische Landesbank 5.06s
                     (Germany)                                 7/8/96         $5,000,480
 .............................................................................................
      5,000,000      Union Bank of Switzerland
                     5.10s (Switzerland)                      8/21/96          5,000,000
- ---------------------------------------------------------------------------------------------
                     Total Certificates of Deposit
                     (cost $10,000,480)                                      $10,000,480
- ---------------------------------------------------------------------------------------------
REPURCHASE AGREEMENTS (7.6%)*(cost $27,228,247)
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                                                   Value
 .............................................................................................
    <S>              <C>                                                     <C>
    $27,216,000      Interest in $655,568,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Morgan (J.P.) & Co., Inc. due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations -- maturity value of
                     $27,228,247 for an effective yield
                     of 5.40%                                                $27,228,247
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $359,502,365)***                                 $359,502,365
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>


PCM Utilities Growth and Income Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMON STOCKS (83.0%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Banks (4.1%)
 .............................................................................................
        <S>          <C>                                                     <C>
        279,100      Bankers Trust New York Corp.                            $20,618,513
 .............................................................................................
         43,800      PNC Bank Corp.                                            1,303,050
- ---------------------------------------------------------------------------------------------
                                                                              21,921,563
- ---------------------------------------------------------------------------------------------
Conglomerates (0.2%)
 .............................................................................................
         53,600      GenCorp, Inc.                                               810,700
- ---------------------------------------------------------------------------------------------
Electric Utilities (33.6%)
 .............................................................................................
        150,000      Atlantic Energy, Inc.                                     2,737,500
 .............................................................................................
        105,000      Boston Edison Co.                                         2,677,500
 .............................................................................................
        110,000      Carolina Power & Light Co.                                4,180,000
 .............................................................................................
        200,000      Central & South West Corp.                                5,800,000
 .............................................................................................
         22,300      Central Costanera 144A ADR
                     (Argentina)                                                 819,525
 .............................................................................................
         93,500      Central Maine Power Co.                                   1,355,750
 .............................................................................................
         33,200      Central Puerto 144A ADR (Argentina)                         585,150
 .............................................................................................
          5,000      Chilectra S.A. 144A ADR (Chile)                             275,000
 .............................................................................................
         70,000      Chilgener S.A. ADR (Chile)                                1,680,000
 .............................................................................................
          7,100      CILCORP, Inc.                                               303,525
 .............................................................................................
        166,000      Cinergy Corp.                                             5,312,000
 .............................................................................................
         86,500      CMS Energy Corp. Class G                                  1,621,875
 .............................................................................................
         83,000      Delmarva Power & Light Co.                                1,743,000
 .............................................................................................
         50,000      Dominion Resources, Inc.                                  2,000,000
 .............................................................................................
         63,400      DQE, Inc.                                                 1,743,500
 .............................................................................................
        128,744      East Midlands Electricity PLC
                     (United Kingdom)+                                         1,041,148
 .............................................................................................
         54,300      Eastern Utilities Assoc.                                  1,065,638
 .............................................................................................
        325,000      Edison International                                      5,728,125
 .............................................................................................
         65,400      Empresa Nacional de Electricidad ADR
                     (Chile)                                                   1,406,100
 .............................................................................................
         33,200      Enova Corp.                                                 767,750
 .............................................................................................
         50,000      Entergy Corp.                                             1,418,750
 .............................................................................................
        125,400      Florida Progress Corp.                                    4,357,650
 .............................................................................................
        140,000      FPL Group, Inc.                                           6,440,000
 .............................................................................................
         25,000      General Public Utilities Corp.                              881,250
 .............................................................................................
         31,400      Hawaiian Electric Industries, Inc.                        1,114,700
 .............................................................................................
        200,000      Hong Kong Electric Holdings Ltd.
                     (Hong Kong)                                                 609,803
 .............................................................................................
         50,000      Houston Industries, Inc.                                  1,231,250
 .............................................................................................
        309,100      Huaneng Power International, Inc. ADR
                     (China)+                                                  5,525,163
 .............................................................................................
        250,000      Iberdrola S.A. (Spain)                                    2,564,352
 .............................................................................................
        192,400      IES Industries, Inc.                                      5,747,950
 .............................................................................................
         10,000      Interstate Power Corp.                                      321,250
 .............................................................................................
        376,300      Long Island Lighting Co.                                  6,303,025
 .............................................................................................
         75,000      NY State Electric & Gas Corp.                             1,828,125
 .............................................................................................
        150,000      Niagra Mohawk Power Corp.                                 1,162,500
 .............................................................................................
        110,000      NIPSCO Industries, Inc.                                   4,427,500
 .............................................................................................
        257,500      Northeast Utilities Co.                                   3,444,063
 .............................................................................................
        100,000      Ohio Edison Co.                                           2,187,500
 .............................................................................................
         95,000      Oklahoma Gas & Electric Co.                               3,764,375
 .............................................................................................
         25,000      P P & L Resources, Inc.                                     590,625
 .............................................................................................
        145,200      Peco Energy Co.                                           3,775,200
 .............................................................................................
        200,000      Pinnacle West Capital Corp.                               6,075,000
 .............................................................................................
        177,700      Portland General Corp.                                    5,486,488
 .............................................................................................
        139,400      Potomac Electric Power Co.                                3,694,100
 .............................................................................................
        125,000      Powergen PLC ADR (United Kingdom)                         3,703,125
 .............................................................................................
        228,200      Public Service Co. of Colorado                            8,386,350
 .............................................................................................
        217,500      Public Service Enterprise Group, Inc.                     5,954,063
 .............................................................................................
         62,200      Rochester Gas & Electric Corp.                            1,337,300
 .............................................................................................
        180,000      Scana Corp.                                               5,062,500
 .............................................................................................
        249,000      Scottish Power PLC (United Kingdom)                       1,174,953
 .............................................................................................
         59,500      Shandong Huaneng Power Co.
                     Ltd. ADR (China)                                            490,875
 .............................................................................................
        265,000      Sierra Pacific Resources                                  6,724,375
 .............................................................................................
        150,000      Southern Co.                                              3,693,750
 .............................................................................................
        192,000      Texas Utilities Co.                                       8,208,000
 .............................................................................................
        185,000      TNP Enterprises, Inc.                                     5,249,375
 .............................................................................................
        225,000      Tucson Electric Power                                     3,037,500
 .............................................................................................
        100,000      Union Electric Co.                                        4,025,000
 .............................................................................................
        215,000      Union Electrica Fenosa S.A. (Spain)                       1,381,903
 .............................................................................................
         77,400      United Illuminating Co.                                   2,892,825
 .............................................................................................
         75,000      Utilicorp United, Inc.                                    2,071,875
 .............................................................................................
         70,000      Washington Water Power Co.                                1,303,750
- ---------------------------------------------------------------------------------------------
                                                                             180,491,224
- ---------------------------------------------------------------------------------------------
Food (0.1%)
 .............................................................................................
         25,000      The Quaker Oats Co.                                         853,125
- ---------------------------------------------------------------------------------------------
Gas Pipelines (2.6%)
 .............................................................................................
         25,000      El Paso Natural Gas Co.                                     962,500
 .............................................................................................
        275,600      PanEnergy Corp.                                           9,060,350
 .............................................................................................
         85,000      TransCanada Pipelines Ltd. (Canada)                       1,253,750
 .............................................................................................
        207,500      Transportadora de Gas del Sur
                     S.A. ADR (Argentina)                                      2,541,875
- ---------------------------------------------------------------------------------------------
                                                                              13,818,475
- ---------------------------------------------------------------------------------------------
Gas Utilities (21.1%)
 .............................................................................................
        195,000      AGL Resources Inc.                                        3,680,625
 .............................................................................................
        101,000      Atmos Energy Corp.                                        3,093,125
 .............................................................................................
         77,900      Bay State Gas Co.                                         2,171,463
 .............................................................................................
        140,000      Brooklyn Union Gas Co.                                    3,815,000
 .............................................................................................
         60,000      Cascade Natural Gas Corp.                                   862,500
 .............................................................................................
        164,300      Columbia Gas System, Inc.                                 8,564,138
 .............................................................................................
         76,000      Connecticut Energy Corp.                                  1,444,000
 .............................................................................................
         24,000      Consolidated Natural Gas Co.                              1,254,000
 .............................................................................................
        125,000      Energen Corp.                                             2,765,625
 .............................................................................................
         50,000      Enron Corp.                                               2,043,750
 .............................................................................................
         45,000      Indiana Energy, Inc.                                      1,288,125
 .............................................................................................
        155,700      K N Energy, Inc.                                          5,215,950
 .............................................................................................
         60,000      Laclede Gas Co.                                           1,342,500
 .............................................................................................
        271,300      MCN Corp.                                                 6,612,938
 .............................................................................................
        115,000      National Fuel Gas Co.                                     4,140,000
 .............................................................................................
         36,000      New Jersey Resources Corp.                                1,035,000
 .............................................................................................
        130,000      NICOR Inc.                                                3,688,750
 .............................................................................................
        373,900      Noram Energy Corp.                                        4,066,163
 .............................................................................................
          8,600      North Carolina Natural Gas Corp.                            236,500
 .............................................................................................
        153,000      Northwest Natural Gas Co.                                 5,355,000
 .............................................................................................
         95,000      NUI Corp.                                                 1,698,125
 .............................................................................................
        135,000      ONEOK, Inc.                                               3,375,000
 .............................................................................................
        330,000      Pacific Enterprises                                       9,776,250
 .............................................................................................
        130,700      Peoples Energy Corp.                                      4,378,450
 .............................................................................................
         94,700      Piedmont Natural Gas Co., Inc.                            2,189,938
 .............................................................................................
         95,300      Public Service Co. of North Carolina, Inc.                1,620,100
 .............................................................................................
        210,700      Questar Corp.                                             7,163,800
 .............................................................................................
         14,000      South Jersey Industries, Inc.                               297,500
 .............................................................................................
         18,466      Southern Union Co. +                                        406,252
 .............................................................................................
         75,000      Southwest Gas Corp.                                       1,200,000
 .............................................................................................
        217,500      UGI Corp.                                                 4,785,000
 .............................................................................................
         70,000      United Cities Gas Co.                                     1,058,750
 .............................................................................................
         12,300      Washington Energy Co.                                       242,925
 .............................................................................................
         17,400      Washington Gas Light Co.                                    382,800
 .............................................................................................
        365,800      Westcoast Energy, Inc.                                    5,487,000
 .............................................................................................
         73,300      WICOR, Inc.                                               2,767,075
 .............................................................................................
         75,000      Wisconsin Energy                                          2,165,625
 .............................................................................................
         89,400      Yankee Energy System, Inc.                                1,944,450
- ---------------------------------------------------------------------------------------------
                                                                             113,614,192
- ---------------------------------------------------------------------------------------------
Insurance (1.3%)
 .............................................................................................
         63,400      American General Corp.                                    2,306,175
 .............................................................................................
         97,600      GCR Holdings, Ltd.                                        2,586,400
 .............................................................................................
        115,000      USF&G Corp.                                               1,883,125
- ---------------------------------------------------------------------------------------------
                                                                               6,775,700
- ---------------------------------------------------------------------------------------------
Metals and Mining (0.1%)
 .............................................................................................
         20,400      Freeport-McMoRan Copper &
                     Gold Co., Inc. Class A                                      609,450
- ---------------------------------------------------------------------------------------------
Oil and Gas (1.4%)
 .............................................................................................
        127,200      Coastal Corp.                                             5,310,600
 .............................................................................................
         15,000      ENSERCH Corp.                                               326,250
 .............................................................................................
        120,000      NGC Corp.                                                 1,800,000
- ---------------------------------------------------------------------------------------------
                                                                               7,436,850
- ---------------------------------------------------------------------------------------------
Publishing (0.2%)
 .............................................................................................
         25,000      Times Mirror Co. Class A                                   1,087,500
- ---------------------------------------------------------------------------------------------
REIT's (2.1%)
 .............................................................................................
         66,600      Avalon Properties, Inc.                                   1,448,550
 .............................................................................................
        114,800      Equity Residential Properties Trust                       3,774,050
 .............................................................................................
         40,700      LTC Properties, Inc.                                        671,550
 .............................................................................................
         35,200      Macerich Co.                                                739,200
 .............................................................................................
         81,400      Nationwide Health Properties, Inc.                        1,719,575
 .............................................................................................
         75,700      Public Storage, Inc.                                      1,561,313
 .............................................................................................
         56,000      South West Property Trust, Inc.                             749,000
 .............................................................................................
         45,000      Storage Trust Realty                                        922,500
- ---------------------------------------------------------------------------------------------
                                                                              11,585,738
- ---------------------------------------------------------------------------------------------
Retail (2.1%)
 .............................................................................................
        775,000      K mart Corp.                                              9,590,625
 .............................................................................................
         36,900      Penney (J.C.) Co., Inc.                                   1,937,250
- ---------------------------------------------------------------------------------------------
                                                                              11,527,875
- ---------------------------------------------------------------------------------------------
Telephone Utilities (13.4%)
 .............................................................................................
        116,100      Ameritech Corp.                                           6,893,438
 .............................................................................................
        140,000      Bell Atlantic Corp.                                       8,925,000
 .............................................................................................
        125,000      BellSouth Corp.                                           5,296,875
 .............................................................................................
        208,200      GTE Corp.                                                 9,316,950
 .............................................................................................
        235,900      MCI Communications Corp.                                  6,044,938
 .............................................................................................
        135,000      NYNEX Corp.                                               6,412,500
 .............................................................................................
        380,000      Pacific Telesis Group                                    12,825,000
 .............................................................................................
        195,000      SBC Communications, Inc.                                  9,603,750
 .............................................................................................
        140,000      Sprint Corp.                                              5,880,000
 .............................................................................................
         10,000      Telecom Argentina S.A. ADR (Argentina)                      468,750
 .............................................................................................
         10,000      Telefonica de Argentina S.A. ADR
                     (Argentina)                                                 296,250
- ---------------------------------------------------------------------------------------------
                                                                              71,963,451
- ---------------------------------------------------------------------------------------------
Water Utilities (0.1%)
 .............................................................................................
         61,066      Hyder PLC (United Kingdom)                                  676,777
- ---------------------------------------------------------------------------------------------
Wireless Communications (0.6%)
 .............................................................................................
         25,000      Airtouch Communications, Inc. +                             706,250
 .............................................................................................
        110,666      360 Communications Co. +                                  2,655,978
- ---------------------------------------------------------------------------------------------
                                                                               3,362,228
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $394,449,019)                                    $446,534,848
- ---------------------------------------------------------------------------------------------
CORPORATE BONDS AND NOTES (12.8%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
Electric Utilities (10.1%)
 .............................................................................................
     $1,000,000      Allegheny Generating Co. deb. 6 7/8s,
                     2023                                                       $896,370
 .............................................................................................
        797,000      Arkansas Electric Corp. bonds 7.33s,
                     2008                                                        796,633
 .............................................................................................
      1,000,000      Australian Gas & Light Co.144A sr. notes
                     6 3/8s, 2003 (Australia)                                    938,000
 .............................................................................................
      1,500,000      Chilgener S.A. 6 1/2s, 2006 (Chile)                       1,397,340
 .............................................................................................
      1,000,000      Chugach Electric Co. 1st mtge. Ser. A,
                     9.14s, 2022                                               1,110,630
 .............................................................................................
      1,489,000      Citizens Utilities Co. bonds 7.68s, 2034                  1,591,920
 .............................................................................................
      1,000,000      Cleveland Electric Co. med. term notes
                     8.33s, 1998                                                 996,300
 .............................................................................................
      1,000,000      Commonwealth Edison Co. 1st mtge. 7s,
                     2005                                                        957,780
 .............................................................................................
      2,500,000      Consumers Power Co. 1st mtge. 8 3/4s,
                     1998                                                      2,570,550
 .............................................................................................
      1,000,000      Delmarva Power & Light Co. med. term
                     notes 5.69s, 1998                                           983,900
 .............................................................................................
      1,500,000      Duquesne Power & Light Co. deb. 8.7s,
                     2016                                                      1,548,195
 .............................................................................................
      2,000,000      Endesa National Electric Co. company
                     guaranty 7.2s, 2006 (Chile)                               1,953,660
 .............................................................................................
      1,000,000      Georgia Power Co. 1st mtge. 7s, 2000                        975,550
 .............................................................................................
      2,000,000      Hydro-Quebec (Government of) 8.4s,
                     2022 (Canada)                                             2,106,760
 .............................................................................................
      1,000,000      Iberdrola S.A. notes 7 1/2s, 2002
                     (Spain)                                                   1,023,750
 .............................................................................................
      1,469,205      Indiana-Michigan Power Co. deb. 9.82s,
                     2022                                                      1,705,629
 .............................................................................................
      2,000,000      Kansas City Power & Light Co. med.
                     term notes 5 3/4s, 1998                                   1,978,040
 .............................................................................................
      1,000,000      Kansas Gas & Electric deb. 8.29s, 2016                      988,710
 .............................................................................................
      1,000,000      Kentucky Utilities Co. 1st mtge. Ser. R,
                     7.55s, 2025                                                 934,219
 .............................................................................................
      1,500,000      Midwest Power Systems 6 3/4s, 2000                        1,479,915
 .............................................................................................
      1,500,000      Ohio Edison Co. 1st mtge. 8 1/4s, 2002                    1,557,720
 .............................................................................................
      1,170,000      Otter Tail Power 7 1/4s, 2002                             1,163,237
 .............................................................................................
      2,000,000      Pacific Gas & Electric Co. sr. notes 7.1s,
                     2005                                                      1,961,420
 .............................................................................................
      1,000,000      Philadelphia Electric Co. 1st ref. mtge.
                     8 5/8s, 2022                                              1,022,570
 .............................................................................................
      2,000,000      Potomac Electric Power Co. 1st mtge.
                     8 1/2s, 2027                                              2,071,820
 .............................................................................................
      2,000,000      Public Service Co. of Colorado coll. trust
                     6 3/8s, 2005                                              1,861,080
 .............................................................................................
      2,000,000      Public Service Electric & Gas Co. mtge.
                     notes 9 1/4s, 2021                                        2,289,860
 .............................................................................................
        825,000      Salton Sea Funding Corp. 144A notes
                     8.3s, 2011                                                  830,156
 .............................................................................................
      2,500,000      San Diego Gas & Electric Co. 1st mtge.
                     Ser. JJ, 9 5/8s, 2020                                     2,786,050
 .............................................................................................
      1,500,000      Sierra Pacific Power Co. med. term notes
                     Ser. C, 6.82s, 2006                                       1,446,330
 .............................................................................................
      2,000,000      South Carolina Electric & Gas Co. 1st mtge.
                     7 5/8s, 2005                                              2,073,300
 .............................................................................................
      1,500,000      Southern California Edison 1st ref. mtge.
                     Ser. 93-F, 6 1/4s, 2003                                   1,424,250
 .............................................................................................
      1,000,000      Southwestern Public Service Co. 1st mtge.
                     8.2s, 2022                                                1,044,750
 .............................................................................................
      2,000,000      Tenaga Nasional Berhad 144A notes
                     7 7/8s, 2004 (Malaysia)                                   2,070,740
 .............................................................................................
      1,000,000      Texas Utilities Co. secd. lease fac. bonds
                     7.46s, 2015                                                 979,060
 .............................................................................................
      2,000,000      Utilicorp United, Inc. sr. notes 8.2s, 2007               2,078,460
 .............................................................................................
      1,000,000      West Penn Power Co. 1st mtge. 7 7/8s,
                     2022                                                        943,990
- ---------------------------------------------------------------------------------------------
                                                                              54,538,644
- ---------------------------------------------------------------------------------------------
Gas Utilities (1.2%)
 .............................................................................................
      1,500,000      Columbia Gas System, Inc. notes Ser. E,
                     7.32s, 2010                                               1,432,230
 .............................................................................................
      1,000,000      Michigan Consolidated Gas 1st mtge.
                     8 1/4s, 2014                                              1,061,940
 .............................................................................................
      2,000,000      ONEOK Inc. deb. 9.7s, 2019                                2,111,080
 .............................................................................................
      2,000,000      Southern Union Gas sr. notes 7.6s, 2024                   1,888,660
- ---------------------------------------------------------------------------------------------
                                                                               6,493,910
- ---------------------------------------------------------------------------------------------
Oil and Gas (0.3%)
 .............................................................................................
      1,500,000      Petroliam Nasional Berhad 144A notes
                     6 7/8s, 2003 (Malaysia)                                   1,477,200
- ---------------------------------------------------------------------------------------------
Telephone Utilities (1.2%)
 .............................................................................................
      2,000,000      Bell South Telecommunication deb.
                     6 3/4s, 2033                                              1,777,120
 .............................................................................................
      1,500,000      GTE Northwest Inc. 7 7/8s, 2026                           1,513,500
 .............................................................................................
      1,000,000      Pacific Bell Co. 7 3/4s, 2032                               970,860
 .............................................................................................
      2,000,000      Telstra Corp. Ltd. notes 6 1/2s, 2005
                     (Australia)                                               1,909,400
- ---------------------------------------------------------------------------------------------
                                                                               6,170,880
- ---------------------------------------------------------------------------------------------
                     Total Corporate Bonds and Notes
                     (cost $69,819,988)                                      $68,680,634
- ---------------------------------------------------------------------------------------------
U.S. GOVERNMENT AND AGENCY OBLIGATIONS (2.6%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
     $2,060,000      U.S. Treasury Bonds 7 1/2s,
                     November 15, 2024                                        $2,183,600
 .............................................................................................
                     U.S. Treasury Notes
 .............................................................................................
      2,200,000      8 3/4s, August 15, 2000                                   2,382,534
 .............................................................................................
      6,215,000      7 1/2s, February 15, 2005                                 6,538,366
 .............................................................................................
      2,685,000      7 1/4s, August 15, 2004                                   2,781,069
- ---------------------------------------------------------------------------------------------
                     Total U.S. Government and
                     Agency Obligations
                     (cost $14,668,139)                                      $13,885,569
- ---------------------------------------------------------------------------------------------
PREFERRED STOCKS (1.0%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
        110,000      Bankers Trust New York Corp. Ser. Q,
                     $1.476, adjustable rate preferred                        $2,420,000
 .............................................................................................
        117,200      Public Service Co. of New Hampshire
                     1st mtge. Ser. A, $2.65, pfd.                             2,827,450
- ---------------------------------------------------------------------------------------------
                     Total Preferred Stocks
                     (cost $6,267,485)                                        $5,247,450
- ---------------------------------------------------------------------------------------------
CONVERTIBLE PREFERRED STOCKS (0.4%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
          2,900      K mart Financing I $3.875, cv. pfd.                        $157,325
 .............................................................................................
         40,000      Philippine Long Distance Telephone
                     Co. Ser. III, $3.50, cv. pfd.                             2,180,000
- ---------------------------------------------------------------------------------------------
                     Total Convertible Preferred Stocks
                     (cost $2,160,300)                                        $2,337,325
- ---------------------------------------------------------------------------------------------
CONVERTIBLE BONDS AND NOTES (0.4%) * (cost $1,803,500)
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
     $2,000,000      Telekom Malaysia Berhad 144A
                     cv. deb. 4s, 2004 (Malaysia)                             $2,080,000
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (5.7%) * (cost $30,831,868)
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
    $30,818,000      Interest in $655,568,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Morgan (J.P.) & Co., Inc. due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations -- maturity value of
                     $30,831,868 for an effective yield
                     of 5.40%.                                               $30,831,868
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $520,000,299)***                                 $569,597,694
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>


PCM Diversified Income Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

U.S. GOVERNMENT AND AGENCY OBLIGATIONS (33.3%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
U.S. Government Agency Mortgage Pass-Through
Certificates (26.3%)
 .............................................................................................
                     Federal National Mortgage Association
 .............................................................................................
     <S>             <C>                                                      <C>
     $5,857,367      8s, with various due dates from
                     December 1, 2025 to June 1, 2026                         $5,901,297
 .............................................................................................
     14,170,000      8s, TBA, July 16, 2026                                   14,276,275
 .............................................................................................
      7,438,861      7 1/2s, with various due dates from
                     May 1, 2025 to November 1, 2025                           7,338,891
 .............................................................................................
     21,180,800      7 1/2s, TBA, July 16, 2026                               20,896,130
 .............................................................................................
     13,280,716      7s, with various due dates from
                     February 1, 2024 to May 1, 2026                          12,774,332
 .............................................................................................
                     Government National Mortgage Association
 .............................................................................................
     21,927,925      7 1/2s, with various due dates from
                     January 15, 2024 to April 15, 2026                       21,612,617
 .............................................................................................
     12,621,578      7s, with various due dates from
                     December 15, 2023 to
                     March 15, 2026                                           12,100,954
 .............................................................................................
      8,422,000      7s, TBA, July 16, 2026                                    8,074,593
- ---------------------------------------------------------------------------------------------
                                                                             102,975,089
- ---------------------------------------------------------------------------------------------
U.S. Treasury Obligations (7.0%)
 .............................................................................................
      7,085,000      U.S. Treasury Bonds 7 7/8s,
                     February 15, 2021                                         7,772,458
 .............................................................................................
                     U.S. Treasury Notes
 .............................................................................................
      5,510,000      9 1/8s, May 15, 1999                                      5,910,357
 .............................................................................................
      2,420,000      8 7/8s, November 15, 1998                                 2,558,763
 .............................................................................................
      3,400,000      8 1/2s, February 15, 2000                                 3,626,304
 .............................................................................................
      1,615,000      6 7/8s, May 15, 2006                                      1,632,910
 .............................................................................................
      3,220,000      6 1/4s, February 15, 2003                                 3,163,135
 .............................................................................................
      2,790,000      6 1/4s, April 30, 2001                                    2,763,410
- ---------------------------------------------------------------------------------------------
                                                                              27,427,337
- ---------------------------------------------------------------------------------------------
                     Total U.S. Government and
                     Agency Obligations
                     (cost $110,338,070)                                    $130,402,426
- ---------------------------------------------------------------------------------------------
CORPORATE BONDS AND NOTES (32.1%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
Advertising (0.7%)
 .............................................................................................
     $1,100,000      Universal Outdoor, Inc. sub. deb. 11s,
                     2003                                                     $1,155,000
 .............................................................................................
      2,000,000      Universal Outdoor, Inc. sr. notes
                     stepped-coupon zero % (14s, 7/1/99),
                     2004 ++                                                   1,550,000
- ---------------------------------------------------------------------------------------------
                                                                               2,705,000
- ---------------------------------------------------------------------------------------------
Aerospace and Defense (0.5%)
 .............................................................................................
        700,000      Alliant Techsystems, Inc. sr. sub. notes
                     11 3/4s, 2003                                               756,000
 .............................................................................................
      1,000,000      BE Aerospace sr. notes 9 3/4s, 2003                       1,017,500
 .............................................................................................
        200,000      UNC, Inc. sr. notes 9 1/8s, 2003                            197,500
 .............................................................................................
        150,000      UNC, Inc. 144A sr. sub. notes 11s, 2006                     151,500
- ---------------------------------------------------------------------------------------------
                                                                               2,122,500
- ---------------------------------------------------------------------------------------------
Agriculture (0.5%)
 .............................................................................................
        750,000      PMI Holdings Corp. sub. disc. deb.
                     stepped-coupon Ser. B, zero %
                     (11 1/2s, 9/1/00), 2005 ++                                  423,750
 .............................................................................................
      1,500,000      PSF Finance (L.P.) sr. exch. notes
                     12 1/4s, 2004 (In default)
                     (acquired 3/17/95, cost $1,500,000)+ +++                    1,050,000
 .............................................................................................
        750,000      PSF Finance (L.P.) sr. notes 12s, 2000
                     (In default) (acquired 3/15/95, cost
                     $787,500)+ +++                                                525,000
 .............................................................................................
        138,000      PSF Finance (L.P.) sr. disc. notes
                     stepped-coupon zero % (12s, 9/15/96),
                     2003 ++ (In default)
                     (acquired 3/16/95, cost $99,618)+ +++                          96,600
- ---------------------------------------------------------------------------------------------
                                                                               2,095,350
- ---------------------------------------------------------------------------------------------
Airlines (0.1%)
 .............................................................................................
        435,000      Greenwich Air Services, Inc. sr. notes
                     10 1/2s, 2006                                               436,088
- ---------------------------------------------------------------------------------------------
Automotive Parts (0.5%)
 .............................................................................................
        350,000      A.P.S., Inc. 144A sr. sub. notes 11 7/8s,
                     2006                                                        363,125
 .............................................................................................
        500,000      Exide Corp. sr. notes 10s, 2005                             488,125
 .............................................................................................
        200,000      Key Plastics Corp. sr. notes 14s, 1999                      207,000
 .............................................................................................
        975,000      MCII Holdings, Inc. bonds zero %, 2002                      760,500
- ---------------------------------------------------------------------------------------------
                                                                               1,818,750
- ---------------------------------------------------------------------------------------------
Banks (0.6%)
 .............................................................................................
         80,000      Banco del Sud S.A. sr. unsub. med. term
                     notes 10 1/8s, 1997 (Argentina)                              80,800
 .............................................................................................
      1,695,000      Chevy Chase Savings Bank Inc. sub. deb.
                     9 1/4s, 2005                                              1,627,200
 .............................................................................................
        500,000      First Nationwide 12 1/2s, 2003                              521,250
- ---------------------------------------------------------------------------------------------
                                                                               2,229,250
- ---------------------------------------------------------------------------------------------
Broadcasting (2.5%)
 .............................................................................................
      1,000,000      Argyle Television Corp. sr. sub. notes
                     9 3/4s, 2005                                                940,000
 .............................................................................................
        100,000      Chancellor Broadcasting Co. sr. sub. notes
                     9 3/8s, 2004                                                 94,500
 .............................................................................................
        825,000      Commodore Media, Inc. sr. sub. notes
                     stepped-coupon 7 1/2s (13 1/4s, 5/1/98),
                     2003 ++                                                     849,750
 .............................................................................................
      1,300,000      Echostar Satellite Broadcasting 144A
                     sr. disc notes stepped-coupon zero%
                     (13 1/8s, 3/15/00), 2004 ++                                 802,750
 .............................................................................................
      1,250,000      Heritage Media Corp. sr. sub. notes
                     8 3/4s, 2006                                              1,162,500
 .............................................................................................
        115,000      Jacor Communications, Inc. sr. sub. notes
                     10 1/8s, 2006                                               113,850
 .............................................................................................
        750,000      Panamsat (L.P.) sr. sub. notes
                     stepped-coupon zero % (11 3/8s, 8/1/98),
                     2003 ++                                                     652,500
 .............................................................................................
        750,000      Park Broadcasting, Inc. 144A sr. notes
                     11 3/4s, 2006                                               748,125
 .............................................................................................
      1,250,000      Paxson Communications Corp. 144A
                     sr. sub. notes 11 5/8s, 2002                              1,300,000
 .............................................................................................
      1,227,000      Petracom Holdings, Inc. notes
                     stepped-coupon zero %
                     (17 1/2s, 8/1/98), 2003 ++                                  892,643
 .............................................................................................
        975,000      SFX Broadcasting, Inc. sr. sub. notes
                     10 3/4s, 2006                                               970,125
 .............................................................................................
      1,302,000      Telemedia Broadcasting Corp. 144A
                     deb. stepped-coupon 3.8s (16s, 6/15/99),
                     2004 ++                                                   1,176,683
- ---------------------------------------------------------------------------------------------
                                                                               9,703,426
- ---------------------------------------------------------------------------------------------
Building and Construction (1.3%)
 .............................................................................................
         95,000      Fortress Group, Inc. sr. notes 13 3/4s,
                     2003                                                         97,969
 .............................................................................................
        750,000      Inter-City Products sr. notes 9 3/4s, 2000                  697,500
 .............................................................................................
        250,000      Miles Homes Inc. sr. notes 12s, 2001                        190,000
 .............................................................................................
      1,500,000      Presley Cos. sr. notes 12 1/2s, 2001                      1,440,000
 .............................................................................................
      1,000,000      Schuller International Corp. sr. notes
                     10 7/8s, 2004                                             1,070,000
 .............................................................................................
        250,000      Scotsman Group, Inc. sr. secd. notes
                     9 1/2s, 2000                                                251,875
 .............................................................................................
        500,000      Webb (DEL E.) Corp. sr. notes 10 7/8s,
                     2000                                                        516,250
 .............................................................................................
        750,000      Webb (DEL E.) Corp. sr. sub. deb. 9s,
                     2006                                                        675,000
- ---------------------------------------------------------------------------------------------
                                                                               4,938,594
- ---------------------------------------------------------------------------------------------
Building Products (0.2%)
 .............................................................................................
        750,000      American Standard, Inc. deb. 9 1/4s, 2016                   746,250
 .............................................................................................
        140,000      Waxman Industries Inc. sr. notes
                     stepped-coupon Ser. B, zero %
                     (12 3/4s, 6/1/99), 2004 ++                                   93,800
- ---------------------------------------------------------------------------------------------
                                                                                 840,050
- ---------------------------------------------------------------------------------------------
Business Services (--%)
 .............................................................................................
        250,000      Corporate Express, Inc. sr. sub. notes
                     Ser. B, 9 1/8s, 2004                                        247,500
- ---------------------------------------------------------------------------------------------
Cable Television (2.6%)
 .............................................................................................
        550,000      Adelphia Communications Corp. sr. notes
                     12 1/2s, 2002                                               558,250
 .............................................................................................
         50,000      Adelphia Communications Corp. notes
                     Ser. B, 9 7/8s, 2005                                         46,250
 .............................................................................................
      1,149,375      Adelphia Communications Corp. sr. notes
                     9 1/2s, 2004 ++++                                           994,209
 .............................................................................................
        700,000      Century Communications Corp. sr. sub.
                     deb. 11 7/8s, 2003                                          743,750
 .............................................................................................
        250,000      Charter Communications Holdings
                     144A sr. disc. notes stepped-coupon
                     zero % (14s, 3/15/01), 2007 ++                              138,750
 .............................................................................................
        500,000      Charter Communications International, Inc.
                     144A sr. notes 11 1/4s, 2006                                492,500
 .............................................................................................
        750,000      Diamond Cable Communication Co.
                     sr. disc. notes stepped-coupon zero %
                     (11 3/4s, 12/15/00), 2005 ++                                440,625
 .............................................................................................
        400,000      Grupo Televisa S.A. 144A sr. notes Ser. B,
                     11 7/8s, 2006 (Mexico)                                      407,000
 .............................................................................................
      2,190,000      International Cabletel, Inc. sr. notes
                     stepped-coupon Ser. B, zero %
                     (11 1/2s, 2/01/01), 2006 ++                               1,231,875
 .............................................................................................
      1,500,000      Lenfest Communications, Inc. sr. notes
                     8 3/8s, 2005                                              1,368,750
 .............................................................................................
        500,000      Marcus Cable Co. (L.P.) sr. disc. notes
                     stepped-coupon zero % (14 1/4s,
                     6/15/2000), 2005 ++                                         307,500
 .............................................................................................
      1,000,000      Marcus Cable Co. (L.P.) sr. sub. disc. notes
                     stepped-coupon zero % (13 1/2s, 8/1/99),
                     2004 ++                                                     715,000
 .............................................................................................
        500,000      Rogers Cablesystem Ltd. deb. 10 1/8s,
                     2012 (Canada)                                               480,000
 .............................................................................................
      2,060,000      Telewest Communications PLC deb.
                     stepped-coupon zero % (11s, 10/1/00),
                     2007 (United Kingdom) ++                                  1,215,400
 .............................................................................................
      1,500,000      Videotron Holdings. sr. disc. notes
                     stepped-coupon zero % (11s, 8/15/2000),
                     2005 (United Kingdom) ++                                    956,250
- ---------------------------------------------------------------------------------------------
                                                                              10,096,109
- ---------------------------------------------------------------------------------------------
Cellular Communications (2.1%)
 .............................................................................................
        400,000      Cellular, Inc. sr. sub. disc. notes
                     stepped-coupon zero % (11 3/4s, 9/1/98),
                     2003 ++                                                     326,000
 .............................................................................................
      1,000,000      Cencall Communications Corp. sr. disc.
                     notes stepped-coupon zero % (10 1/8s,
                     1/15/99), 2004 ++                                           607,500
 .............................................................................................
        750,000      Commnet Cellular, Inc. bonds 11 1/4s,
                     2005                                                        798,750
 .............................................................................................
      1,100,000      Comunicacion Cellular bonds
                     stepped-coupon zero % (13 1/8s,
                     11/15/00), 2003 (Colombia) ++                               654,500
 .............................................................................................
      1,500,000      Dial Call Communications, Inc. sr. disc.
                     notes stepped-coupon zero % (12 1/4s,
                     4/15/99), 2004 ++                                           960,000
 .............................................................................................
      1,750,000      Intercel, Inc. sr. disc. notes
                     stepped-coupon zero % (12s, 5/1/01),
                     2006 ++                                                     980,000
 .............................................................................................
        900,000      Milicom International Cellular 144A
                     sr. disc notes stepped-coupon zero %
                     (13 1/2s, 6/1/00), 2006 (Luxembourg) ++                     477,000
 .............................................................................................
      1,100,000      NEXTEL Communications, Inc. sr. disc.
                     notes stepped-coupon zero % (9 3/4s,
                     2/15/99), 2004 ++                                           646,250
 .............................................................................................
      1,200,000      NEXTEL Communications, Inc. sr. disc.
                     notes stepped-coupon zero % (11 1/2s,
                     9/1/98), 2003 ++                                            822,000
 .............................................................................................
      2,000,000      Pricellular Wireless Ser. B, sr. disc. notes
                     stepped-coupon, zero % (14s, 11/15/97),
                     2001 ++                                                   1,810,000
- ---------------------------------------------------------------------------------------------
                                                                               8,082,000
- ---------------------------------------------------------------------------------------------
Chemicals (0.9%)
 .............................................................................................
      1,150,000      Acetex Corp. sr. notes 9 3/4s, 2003
                     (Canada)                                                  1,124,125
 .............................................................................................
        750,000      Arcadian Partner sr. notes 10 3/4s, 2005                    810,000
 .............................................................................................
        750,000      Harris Chemical Corp. sr. secd. disc. notes
                     10 1/4s, 2001                                               751,875
 .............................................................................................
        675,000      IMC Fertilizer Group, Inc. deb. 9.45s,
                     2011                                                        678,375
 .............................................................................................
        120,000      Texas Petrochemical 144A sr. sub. notes
                     11 1/8s, 2006                                               122,400
- ---------------------------------------------------------------------------------------------
                                                                               3,486,775
- ---------------------------------------------------------------------------------------------
Computer Equipment (0.3%)
 .............................................................................................
      1,000,000      Computervision Corp. sr. sub. notes
                     11 3/8s, 1999                                             1,045,000
- ---------------------------------------------------------------------------------------------
Consumer Durable Goods (0.2%)
 .............................................................................................
        845,000      Remington Products Co. LLC 144A
                     sr. sub. notes 11s, 2006                                    840,775
- ---------------------------------------------------------------------------------------------
Consumer Services (0.3%)
 .............................................................................................
        900,000      Coinmach Corp. sr. notes. Ser. B, 11 3/4s,
                     2005                                                        942,750
- ---------------------------------------------------------------------------------------------
Containers (0.3%)
 .............................................................................................
      1,000,000      Ivex Holdings Corp. sr. disc. deb.
                     stepped-coupon zero % (13 1/4s, 3/15/00),
                     2005 ++                                                     602,500
 .............................................................................................
        500,000      Ivex Packaging Corp. sr. sub. notes 12 1/2s,
                     2002                                                        526,250
- ---------------------------------------------------------------------------------------------
                                                                               1,128,750
- ---------------------------------------------------------------------------------------------
Electric Utilities (1.5%)
 .............................................................................................
        300,000      Cleveland Electric Illuminating Co. 1st mtge.
                     Ser. B, 9 1/2s, 2005                                        295,758
 .............................................................................................
      1,300,000      First PV Funding deb. 10.15s, 2016                        1,368,250
 .............................................................................................
        500,000      Midland Funding Corp. II deb. Ser. B,
                     13 1/4s,  2006                                              556,875
 .............................................................................................
      1,740,000      Midland Funding Corp. II deb. Ser. A,
                     11 3/4s, 2005                                             1,835,700
 .............................................................................................
      1,000,000      Niagara Mohawk Power Corp. 1st mtge.
                     8 3/4s, 2022                                                893,750
 .............................................................................................
      1,000,000      Texas New Mexico Pwr. deb. 12 1/2s,
                     1999                                                      1,083,090
- ---------------------------------------------------------------------------------------------
                                                                               6,033,423
- ---------------------------------------------------------------------------------------------
Electronics (0.5%)
 .............................................................................................
      1,000,000      Amphenol Corp. sr. notes 10.45s, 2001                     1,065,000
 .............................................................................................
        750,000      International Semi-Tech. Corp. sr. secd.
                     disc. notes stepped-coupon zero %
                     (11 1/2s, 8/15/00), 2003 (Canada) ++                        429,375
 .............................................................................................
        500,000      Moog, Inc. 144A sr. sub. notes 10s, 2006                    499,375
- ---------------------------------------------------------------------------------------------
                                                                               1,993,750
- ---------------------------------------------------------------------------------------------
Energy-related (0.2%)
 .............................................................................................
        850,000      Calpine Corp. 144A sr. notes 10 1/2s,
                     2006                                                        850,000
- ---------------------------------------------------------------------------------------------
Entertainment (0.5%)
 .............................................................................................
      1,000,000      Premier Parks, Inc. sr. notes Ser. A, 12s,
                     2003                                                      1,060,000
 .............................................................................................
      1,600,000      UIH Australia/Pacific 144A sr. disc. notes
                     zero % (14s, 5/15/01), 2006
                     (Australia) ++                                              844,000
- ---------------------------------------------------------------------------------------------
                                                                               1,904,000
- ---------------------------------------------------------------------------------------------
Financial Services (0.3%)
 .............................................................................................
        350,000      AIM Management Group sr. secd. notes
                     9s, 2003                                                    349,125
 .............................................................................................
        350,000      First Federal Financial Corp. notes
                     11 3/4s, 2004                                               348,250
 .............................................................................................
        400,000      Keystone Group, Inc. sr. secd. notes
                     9 3/4s, 2003                                                398,000
- ---------------------------------------------------------------------------------------------
                                                                               1,095,375
- ---------------------------------------------------------------------------------------------
Food (0.3%)
 .............................................................................................
        850,000      Mafco, Inc. sr. sub. notes 11 7/8s, 2002                    896,750
 .............................................................................................
        500,000      Specialty Foods Corp. sr. notes Ser. B,
                     10 1/4s, 2001                                               465,000
- ---------------------------------------------------------------------------------------------
                                                                               1,361,750
- ---------------------------------------------------------------------------------------------
Food Chains (0.8%)
 .............................................................................................
        500,000      Ralphs Grocery sr. notes 10.45s, 2004                       480,000
 .............................................................................................
        250,000      Safeway, Inc. med. term notes 8.57s, 2003                   255,938
 .............................................................................................
      1,000,000      Southland Corp. 1st priority sr. sub. deb.
                     5s, 2003                                                    780,000
 .............................................................................................
        850,000      Southland Corp. deb. Ser. A, 4 1/2s, 2004                   609,875
 .............................................................................................
      1,000,000      Stater Brothers sr. notes 11s, 2001                       1,040,000
- ---------------------------------------------------------------------------------------------
                                                                               3,165,813
- ---------------------------------------------------------------------------------------------
Gaming (--%)
 .............................................................................................
        145,000      Alliance Gaming Corp. 12 7/8s, 2003                         143,913
- ---------------------------------------------------------------------------------------------
Health Care (0.7%)
 .............................................................................................
        830,000      Columbia/HCA Healthcare med. term
                     notes 7.58s, 2025                                           813,890
 .............................................................................................
      1,010,000      Ivac Corp. sr. notes 9 1/4s, 2002                         1,015,050
 .............................................................................................
        800,000      Merit Behavioral Care sr. sub. notes
                     10 1/8s, 2005                                               840,000
- ---------------------------------------------------------------------------------------------
                                                                               2,668,940
- ---------------------------------------------------------------------------------------------
Hospital Management and Medical Services (0.2%)
 .............................................................................................
        750,000      Tenet Healthcare Corp. sr. sub. notes
                     10 1/8s, 2005                                               791,250
- ---------------------------------------------------------------------------------------------
Household Products (0.1%)
 .............................................................................................
        500,000      Ekco Group, Inc. 144A sr. notes 9 1/4s,
                     2006                                                        480,000
- ---------------------------------------------------------------------------------------------
Insurance (0.6%)
 .............................................................................................
        300,000      American Annuity Group, Inc. sr. sub.
                     notes 11 1/8s, 2003                                         322,500
 .............................................................................................
      1,000,000      American Life Holding Co. sr. sub. notes
                     11 1/4s, 2004                                             1,055,000
 .............................................................................................
        500,000      Conseco Inc. sr. notes 10 1/2s, 2004                        571,775
 .............................................................................................
        350,000      Reliance Group Holdings, Inc. sr. sub. deb.
                     9 3/4s, 2003                                                343,875
- ---------------------------------------------------------------------------------------------
                                                                               2,293,150
- ---------------------------------------------------------------------------------------------
Insurance and Finance (0.1%)
 .............................................................................................
        400,000      Transamerican Refinancing Corp. 1st mtge.
                     16 1/2s, 2002                                               362,000
 .............................................................................................
        250,000      Transamerican Refinancing Corp. variable
                     rate 1st. mtge. zero % (18.5s), 2002 ++                     156,250
- ---------------------------------------------------------------------------------------------
                                                                                 518,250
- ---------------------------------------------------------------------------------------------
Lodging (0.9%)
 .............................................................................................
        700,000      HMH Properties, Inc. sr. notes Ser. B,
                     9 1/2s, 2005                                                668,500
 .............................................................................................
      1,800,000      Host Marriott Corp. sr. notes Ser. B,
                     9 1/2s, 2005                                              1,719,000
 .............................................................................................
      1,000,000      John Q Hammons Hotels, Inc. 1st mtge.
                     8 7/8s, 2004                                                935,000
 .............................................................................................
        150,000      Wyndham Hotel Corp. sr. sub. notes
                     10 1/2s, 2006                                               150,000
- ---------------------------------------------------------------------------------------------
                                                                               3,472,500
- ---------------------------------------------------------------------------------------------
Medical Supplies and Devices (0.3%)
 .............................................................................................
        500,000      Dade International, Inc. 144A sr. sub. notes
                     11 1/8s, 2006                                               518,750
 .............................................................................................
        500,000      Graphic Controls Corp. sr. sub. notes
                     Ser. A, 12s, 2005                                           530,000
 .............................................................................................
        100,000      Wright Medical Technology, Inc. sr. secd.
                     notes Ser. B, 10 3/4s, 2000                                  98,500
- ---------------------------------------------------------------------------------------------
                                                                               1,147,250
- ---------------------------------------------------------------------------------------------
Metals and Mining (0.2%)
 .............................................................................................
        500,000      Kaiser Aluminum & Chemical Corp. sr. sub.
                     notes 12 3/4s, 2003                                         527,500
 .............................................................................................
        215,000      Renco Metals, Inc. sr. notes 11 1/2s, 2003                  215,000
- ---------------------------------------------------------------------------------------------
                                                                                 742,500
- ---------------------------------------------------------------------------------------------
Motion Picture Distribution (0.5%)
 .............................................................................................
      1,600,000      Act III Theatres, Inc. sr. sub. notes 11 7/8s,
                     2003                                                      1,760,000
- ---------------------------------------------------------------------------------------------
Office Equipment (0.1%)
 .............................................................................................
        400,000      United Stationer Supply, Inc. sr. sub. notes
                     12 3/4s, 2005                                               429,000
- ---------------------------------------------------------------------------------------------
Oil and Gas (1.6%)
 .............................................................................................
        350,000      Benton Oil & Gas 144A sr. notes 11 5/8s,
                     2003                                                        361,375
 .............................................................................................
        100,000      Chesapeake Energy Corp. sr. notes 12s,
                     2001                                                        107,750
 .............................................................................................
      1,100,000      Chesapeake Energy Corp. sr. notes 10 1/2s,
                     2002                                                      1,149,500
 .............................................................................................
        150,000      Cliffs Drilling Co. 144A sr. notes 10 1/4s,
                     2003                                                        148,500
 .............................................................................................
        320,000      Flores & Rucks, Inc. sr. notes 13 1/2s,
                     2004                                                        369,600
 .............................................................................................
      1,000,000      Gulf Canada Resources Ltd. sr. sub. notes
                     9 5/8s, 2005 (Canada)                                       990,000
 .............................................................................................
        200,000      Maxus Energy Corp. global notes 9 7/8s,
                     2002                                                        199,000
 .............................................................................................
        500,000      Maxus Energy Corp. notes 9 1/2s, 2003                       492,500
 .............................................................................................
        552,000      Maxus Energy Corp. deb. 8 1/2s, 2008                        500,940
 .............................................................................................
        500,000      Plains Resources, Inc. 144A sr. sub. notes
                     10 1/4s, 2006                                               497,500
 .............................................................................................
      1,000,000      TransTexas Gas Corp. sr. secd. notes
                     11 1/2s, 2002                                               995,000
 .............................................................................................
        500,000      Triton Energy sr. sub. disc. notes
                     stepped-coupon zero % (9 3/4s,
                     12/15/96), 2000 ++                                          480,000
- ---------------------------------------------------------------------------------------------
                                                                               6,291,665
- ---------------------------------------------------------------------------------------------
Packaging & Container (0.3%)
 .............................................................................................
      1,000,000      Four M Corp. 144A sr. notes 12s, 2006                     1,022,500
 .............................................................................................
        250,000      Owens Illinois, Inc. deb. 11s, 2003                         268,750
- ---------------------------------------------------------------------------------------------
                                                                               1,291,250
- ---------------------------------------------------------------------------------------------
Paging (0.7%)
 .............................................................................................
        500,000      A+ Network Inc. sr. sub. notes 11 7/8s,
                     2005                                                        513,750
 .............................................................................................
        850,000      Arch Communications Group sr. disc.
                     notes stepped-coupon zero % (10 7/8s,
                     3/15/01), 2008 ++                                           437,750
 .............................................................................................
      1,000,000      Mobile Telecommunications Tech. sr. notes
                     13 1/2s, 2002                                             1,062,500
 .............................................................................................
        500,000      Mobilemedia Corp. sr. sub. notes 9 3/8s,
                     2007                                                        447,500
 .............................................................................................
        100,000      Pagemart, Inc. sr. disc. notes stepped-coupon
                     zero % (12 1/4s, 11/1/98), 2003 ++                           75,250
 .............................................................................................
        175,000      Pronet, Inc. sr. sub. notes 10 7/8s, 2006                   168,875
- ---------------------------------------------------------------------------------------------
                                                                               2,705,625
- ---------------------------------------------------------------------------------------------
Paper and Forest Products (0.8%)
 .............................................................................................
        750,000      APP International Finance Co. notes
                     11 3/4s, 2005 (Netherlands)                                 768,750
 .............................................................................................
        370,000      Florida Coast Paper LLC 144A 1st. mtge
                     12 3/4s, 2003                                               384,800
 .............................................................................................
      1,150,000      Gaylord Container Corp. sr. sub. disc. deb.
                     12 3/4s,  2005                                            1,211,813
 .............................................................................................
        250,000      Stone Container Corp. deb. sr. sub. notes
                     11 1/2s, 1999                                               250,625
 .............................................................................................
        375,000      Stone Container Corp. sr. sub. notes
                     9 7/8s, 2001                                                363,750
- ---------------------------------------------------------------------------------------------
                                                                               2,979,738
- ---------------------------------------------------------------------------------------------
Pharmaceuticals (0.4%)
 .............................................................................................
        500,000      Owens & Minor, Inc. sr. sub. notes 10 7/8s,
                     2006                                                        508,750
 .............................................................................................
      1,000,000      Phar-Mor, Inc. sr. notes 11.72s, 2002                       995,000
- ---------------------------------------------------------------------------------------------
                                                                               1,503,750
- ---------------------------------------------------------------------------------------------
Publishing (0.2%)
 .............................................................................................
        600,000      Marvel Holdings, Inc. sr. notes Ser. B,
                     zero %, 1998                                                480,000
 .............................................................................................
        500,000      Marvel III Holdings, Inc. notes Ser. B,
                     9 1/8s, 1998                                                472,500
- ---------------------------------------------------------------------------------------------
                                                                                 952,500
- ---------------------------------------------------------------------------------------------
REIT's (0.2%)
 .............................................................................................
        900,000      Tanger Properities Ltd. Partnership Gtd.
                     notes 8 3/4s, 2001                                          880,875
- ---------------------------------------------------------------------------------------------
Real Estate (0.2%)
 .............................................................................................
        620,000      Chelsea Piers 1st mtge. Ser. B,
                     12 1/2s, 2004                                               579,700
 .............................................................................................
         25,000      Chelsea Piers 144A 1st mtge.
                     stepped-coupon Ser. B, zero % (11s,
                     6/15/99), 2009 ++                                            23,375
- ---------------------------------------------------------------------------------------------
                                                                                 603,075
- ---------------------------------------------------------------------------------------------
Recreation (2.6%)
 .............................................................................................
        675,000      Argosy Gaming Co. 144A 1st. mtge.
                     13 1/4s, 2004                                               685,125
 .............................................................................................
        150,000      Arizona Charlies Corp. 1st mtge. Ser. B,
                     12s, 2000                                                    97,828
 .............................................................................................
         40,000      Capitol Queen Corp. 1st mtge. notes
                     Ser. B, 12s, 2000 +                                          28,000
 .............................................................................................
        875,000      Casino America, Inc. 1st mtge. 11 1/2s,
                     2001                                                        927,500
 .............................................................................................
        500,000      Coast Hotels & Casinos, Inc. 1st mtge.
                     13s, 2002                                                   541,250
 .............................................................................................
        115,000      Cobblestone Golf Group 144A sr. notes
                     11 1/2s, 2003                                               116,150
 .............................................................................................
        200,000      Elsinore Corp. 1st mtge. 20s, 2000
                     (In Default) +                                              170,000
 .............................................................................................
        500,000      Grand Casinos, Inc. 1st mtge. 10 1/8,
                     2003                                                        512,500
 .............................................................................................
        600,000      Grate Bay Property Funding Corp.
                     1st mtge. 10 7/8s, 2004                                     540,000
 .............................................................................................
        165,000      Harveys Casino Resorts sr. sub. notes
                     10 5/8s, 2006                                               167,475
 .............................................................................................
      1,000,000      Hollywood Casino Corp. sr. notes
                     12 3/4s, 2003                                             1,000,000
 .............................................................................................
      1,150,000      Lady Luck Gaming 1st mtge. 11 7/8s,
                     2001                                                      1,127,000
 .............................................................................................
        523,000      Louisiana Casino Cruises Corp. 1st mtge.
                     11 1/2s, 1998                                               470,700
 .............................................................................................
        700,000      Mohegan Tribal Gaming 144A sr. secd.
                     notes 13 1/2s, 2002                                         878,500
 .............................................................................................
        740,000      Stratosphere Corp. 1st mtge. 14 1/4s,
                     2002                                                        821,400
 .............................................................................................
      1,300,000      Trump A.C.. 1st. mtge. 11 1/4s, 2006                      1,306,500
 .............................................................................................
        108,000      Trump Castle Funding Corp. sr. sub.
                     notes 11 1/2s, 2000                                         108,000
 .............................................................................................
        400,000      Trump Holdings & Funding Corp. sr.
                     notes 15 1/2s, 2005                                         471,000
- ---------------------------------------------------------------------------------------------
                                                                               9,968,928
- ---------------------------------------------------------------------------------------------
Retail (1.1%)
 .............................................................................................
        650,000      Brylane (L.P.) sr. sub. notes 10s, 2003                     630,500
 .............................................................................................
        100,000      County Seat Stores Inc. sr. sub. notes
                     12s, 2002                                                    88,000
 .............................................................................................
      1,505,000      Finlay Enterprises, Inc. sr. disc. deb.
                     stepped-coupon zero % (12s, 5/1/98),
                     2005 ++                                                   1,205,881
 .............................................................................................
         50,000      Finlay Enterprises, Inc. sr. notes 10 5/8s,
                     2003                                                         50,000
 .............................................................................................
        170,000      Guitar Center Management 144A sr. notes
                     11s, 2006                                                   172,550
 .............................................................................................
        400,000      K Mart Corp. med. term notes 8s, 2001                       356,032
 .............................................................................................
        360,000      Loehmanns, Inc. sr. notes 11 7/8s, 2003                     372,600
 .............................................................................................
        600,000      Mothers Work, Inc. sr. notes 12 5/8s,
                     2005                                                        640,500
 .............................................................................................
        100,000      Parisian, Inc. sr. sub. notes 9 7/8s, 2003                   94,500
 .............................................................................................
        100,000      Service Merchandise Co., Inc. sr. sub. deb.
                     9s, 2004                                                     88,000
 .............................................................................................
        250,000      Specialty Retailers, Inc. notes 10s, 2000                   258,750
 .............................................................................................
        490,000      Specialty Retailers, Inc. sr. sub. notes 11s,
                     2003                                                        509,600
- ---------------------------------------------------------------------------------------------
                                                                               4,466,913
- ---------------------------------------------------------------------------------------------
Shipping (0.1%)
 .............................................................................................
        100,000      Eletson Holdings, Inc. 1st pfd. mtge. notes
                     9 1/4s, 2003 (Greece)                                        95,625
 .............................................................................................
        410,000      Viking Star Shipping sr. secd. notes 9 5/8s,
                     2003                                                        414,100
- ---------------------------------------------------------------------------------------------
                                                                                 509,725
- ---------------------------------------------------------------------------------------------
Specialty Consumer Products (0.2%)
 .............................................................................................
      1,000,000      Apparel Retailers, Inc. Ser. B, deb.
                     stepped-coupon zero % (12 3/4s, 8/15/98),
                     2005 ++                                                     852,500
- ---------------------------------------------------------------------------------------------
Steel (0.3%)
 .............................................................................................
      1,250,000      Ispat Mexicana, S.A. 144A deb. 10 3/8s,
                     2001 (Mexico)                                             1,206,250
- ---------------------------------------------------------------------------------------------
Telecommunication (1.6%)
 .............................................................................................
      1,115,000      American Communication Services, Inc.
                     sr. disc. notes stepped-coupon zero %
                     (12 3/4s, 4/1/01), 2006 ++                                  579,800
 .............................................................................................
        250,000      Fonorola, Inc. sr. notes 12 1/2s, 2002
                     (Canada)                                                    270,000
 .............................................................................................
      1,160,000      GST Telecommunications, Inc. company
                     guaranty stepped-coupon zero %
                     (13 7/8s, 5/15/00), 2005 ++                                 664,100
 .............................................................................................
      2,070,000      Intelcom Group, Inc. sr. disc. notes
                     stepped-coupon zero % (13 1/2s, 9/15/00),
                     2005 ++                                                   1,242,000
 .............................................................................................
      1,500,000      Intermedia Communications of Florida, Inc.
                     sr. disc. notes stepped-coupon zero %
                     (11 1/2s, 2/01/01), 2006 ++                                 817,500
 .............................................................................................
        400,000      Intermedia Communications of Florida
                     Ser. B, sr. notes 13 1/2s, 2005                             448,000
 .............................................................................................
      1,000,000      MFS Communications sr. disc. notes
                     stepped-coupon zero % (8 7/8s, 1/1/01),
                     2006 ++                                                     605,000
 .............................................................................................
        750,000      Nextlink Communications, Inc. 144A
                     sr. notes 12 1/2s, 2006                                     745,313
 .............................................................................................
      1,715,000      Teleport Communications Group Inc.
                     sr. disc. notes stepped coupon zero %
                     (11 1/8s, 7/1/01), 2007 ++                                  998,988
- ---------------------------------------------------------------------------------------------
                                                                               6,370,701
- ---------------------------------------------------------------------------------------------
Textiles (0.4%)
 .............................................................................................
        150,000      Decorative Home Accents 13s, 2002                           120,000
 .............................................................................................
        450,000      Foamex (L.P.) Capital Corp. sr. disc. notes
                     stepped-coupon Ser. B, zero % (14s, 7/1/99),
                     2004 ++                                                     317,250
 .............................................................................................
        500,000      Polysindo International Eka company
                     guaranty 13s, 2001 (Indonesia)                              545,000
 .............................................................................................
        450,000      Polysindo International Finance company
                     guaranty 11 3/8s, 2006 (Indonesia)                          452,250
- ---------------------------------------------------------------------------------------------
                                                                               1,434,500
- ---------------------------------------------------------------------------------------------
                     Total Corporate Bonds and Notes
                     (cost $144,619,231)                                    $125,627,526
- ---------------------------------------------------------------------------------------------
FOREIGN GOVERNMENT BONDS AND NOTES (27.1%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
AUD    5,500,000     Australia (Government of) bonds 10s,
                     2002                                                      4,594,941
 .............................................................................................
AUD    3,225,000     Australia (Government of) bonds 9s,
                     2004                                                      2,562,444
 .............................................................................................
AUD    2,888,000     Australia (Government of) bonds
                     Ser. 400, 7s, 2000                                        2,167,511
 .............................................................................................
CAD    2,000,000     Canada (Government of) deb. 8 3/4s,
                     2005                                                      1,578,677
 .............................................................................................
CAD   20,345,000     Canada (Government of) deb. 7 1/2s,
                     2001                                                     15,223,693
 .............................................................................................
DKK   12,295,000     Denmark (Government of) bonds 9s,
                     2000                                                      2,319,455
 .............................................................................................
DKK   29,900,000     Denmark (Government of) bonds 8s,
                     2003                                                      5,401,159
 .............................................................................................
DKK   10,470,000     Denmark (Government of) bonds 7s,
                     2004                                                      1,768,195
 .............................................................................................
DEM    7,725,000     Germany (Federal Republic of) bonds
                     Ser. 91, 8 3/8s, 2001                                     5,668,212
 .............................................................................................
DEM    4,840,000     Germany (Federal Republic of) bonds
                     7 3/8s, 2005                                              3,368,615
 .............................................................................................
DEM    2,540,000     Germany (Federal Republic of) bonds
                     6 7/8s, 2005                                              1,712,791
 .............................................................................................
DEM    2,941,000     Germany (Federal Republic of) bonds
                     5 7/8s, 2000                                              1,975,471
 .............................................................................................
DEM   15,850,000     Germany (Federal Republic of) bonds
                     5 3/4s, 2000                                             10,578,808
 .............................................................................................
DEM   11,250,000     Germany (Federal Republic of) bonds
                     Ser. 108, 5 3/4s, 1998                                    7,604,646
 .............................................................................................
ITL9,580,000,000     Italy (Government of) bonds 10 1/2s,
                     2005                                                      6,730,351
 .............................................................................................
ITL4,480,000,000     Italy (Government of) deb. 10 1/2s, 2000                  3,102,120
 .............................................................................................
NZL    3,255,000     New Zealand Treasury bills zero %,
                     1996                                                      2,182,214
 .............................................................................................
ZAR    6,094,000     South Africa (Republic of) bonds
                     Ser. 153, 13s, 8/31/10                                    1,243,018
 .............................................................................................
SEK   38,800,000     Sweden (Government of) bonds
                     10 1/4s, 2000                                             6,464,911
 .............................................................................................
GBP    4,230,000     United Kingdom Treasury bonds 9 3/4s,
                     2002                                                      7,271,630
 .............................................................................................
GBP    2,300,000     United Kingdom Treasury bonds 7 1/4s,
                     1998                                                      3,623,611
 .............................................................................................
GBP    2,335,000     United Kingdom Treasury bonds 6 3/4s,
                     2004                                                      3,393,332
 .............................................................................................
GBP    3,545,000     United Kingdom Treasury notes 7s, 2001                    5,411,427
- ---------------------------------------------------------------------------------------------
                     Total Foreign Government Bonds and
                     Notes
                     (cost $ 107,097,668)                                   $105,947,232
- ---------------------------------------------------------------------------------------------
PREFERRED STOCKS (1.8%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
          6,896      Cablevision Systems Corp. 144A Ser. L,
                     $11.125, pfd.++++                                          $653,396
 .............................................................................................
         10,000      California Federal Bank Ser. B, $10.625,
                     exch. pfd.                                                1,085,000
 .............................................................................................
          5,000      El Paso Electric Co. $11.40 pfd.++++                        525,000
 .............................................................................................
         12,000      First Nationwide Bank $11.50 pfd.                         1,314,000
 .............................................................................................
         10,600      Fitzgerald Gaming Co. $3.75 pfd. +                          265,000
 .............................................................................................
          6,309      Foxmeyer Health Corp. Ser. A, $4.20,
                     pfd. ++++                                                   170,343
 .............................................................................................
             50      Grand Union Holdings 144A Ser. C,
                     $12.00, pfd. (acquired 11/15/93,
                     cost $5,775) + +++                                                  1
 .............................................................................................
          3,950      Pantry Pride Inc. Ser. B, $14.875, pfd.                     395,000
 .............................................................................................
         37,000      SDW Hldgs Corp. 144A $3.50, pfd.                          1,073,000
 .............................................................................................
          1,500      Time Warner, Inc. 144A Ser. K, $10.25,
                     pfd.                                                      1,455,000
- ---------------------------------------------------------------------------------------------
                     Total Preferred Stocks
                     (cost $6,745,428)                                        $6,935,740
- ---------------------------------------------------------------------------------------------
BRADY BONDS (1.5%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
     $2,298,000      Argentina (Republic of) FRN
                     6 5/8s, 2023                                             $1,602,855
 .............................................................................................
      2,235,000      Brazil (Republic of) FRN
                     6 1/2s, 2024                                              1,589,644
 .............................................................................................
        641,881      Brazil (Republic of) bond 4 1/2s, 2014                      399,571
 .............................................................................................
        490,000      Ecuador (Government of) FRN 6.063s,
                     2025                                                        279,913
 .............................................................................................
        585,000      Poland (Government of) 144A FRN
                     6.438s, 2024                                                549,169
 .............................................................................................
      2,389,000      United Mexican States Ser. B, deb.,
                     6 1/4s, 2019                                              1,549,864
- ---------------------------------------------------------------------------------------------
                     Total Brady Bonds
                     (cost $5,812,706)                                        $5,971,016
- ---------------------------------------------------------------------------------------------
UNITS (1.8%) *
- ---------------------------------------------------------------------------------------------
Number of Units                                                                    Value
 .............................................................................................
            500      Australis Media units stepped-coupon
                     zero % (14s, 5/15/00), 2003
                     (Australia) ++                                             $295,000
 .............................................................................................
             80      Celcaribe S.A. 144A units stepped-coupon
                     zero % (13 1/2s, 3/15/98), 2004 ++                          828,000
 .............................................................................................
          1,840      Cellnet Data Systems Inc. units
                     stepped-coupon zero % (13s, 6/15/00),
                     2005 ++                                                   1,311,000
 .............................................................................................
            215      Cobblestone Holdings, Inc. 144A units
                     zero %, 2004                                                 79,550
 .............................................................................................
            515      Diva Systems Corp. 144A units
                     stepped-coupon zero % (13s, 5/15/01),
                     2006 ++                                                     280,943
 .............................................................................................
          1,000      Fitzgerald Gaming Co. units 13s, 2002                       840,000
 .............................................................................................
            750      Health-O-Meter Product units 13s, 2002                      795,000
 .............................................................................................
            205      ICF Kaiser International, Inc. units 13s,
                     2003                                                        195,775
 .............................................................................................
          1,550      Terex Corp. 144A units 13 3/4s, 2002                      1,623,625
 .............................................................................................
      1,200,000      Winstar Communications, Inc. 144A
                     units stepped-coupon zero %
                     (14s, 10/15/00), 2005 ++                                    690,000
- ---------------------------------------------------------------------------------------------
                     Total Units
                     (cost $5,896,739)                                        $6,938,893
- ---------------------------------------------------------------------------------------------
ASSET-BACKED SECURITIES (0.7%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
     $1,034,000      Chemical Master Credit Card Trust
                     Ser. 95-2, Class A, 6.23s, 2003                          $1,014,613
 .............................................................................................
      1,965,000      Sears Credit Account Master Trust
                     Ser. 95-5, Class A, 6.05s, 2004                           1,869,206
- ---------------------------------------------------------------------------------------------
                     Total Asset-Backed Securities
                     (cost $3,023,331)                                        $2,883,819
- ---------------------------------------------------------------------------------------------
CONVERTIBLE BONDS AND NOTES (0.4%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
       $500,000      Exide Corp. 144A cv. sr. sub. notes 2.9s,
                     2005                                                       $275,000
 .............................................................................................
        145,000      GST Telecommunications, Inc. sr. disc notes
                     stepped-coupon zero % (13 7/8s, 5/15/00),
                     2005 ++                                                     145,000
 .............................................................................................
        677,000      Pricellular Wireless Corp. 144A cv. sub.
                     notes stepped-coupon zero % (10 3/4s,
                     8/15/00), 2004 ++                                           582,220
 .............................................................................................
        600,000      Winstar Communications. Inc. cv sr. disc.
                     notes zero %, 2005                                          432,000
- ---------------------------------------------------------------------------------------------
                     Total Convertible Bonds and Notes
                     (cost $1,059,133)                                        $1,434,220
- ---------------------------------------------------------------------------------------------
COMMON STOCKS (0.3%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
          3,075      Chesapeake Energy Corp. +                                  $276,366
 .............................................................................................
            150      Decorative Home Accents                                         900
 .............................................................................................
          8,403      Elsinore Corp. +                                              5,777
 .............................................................................................
         15,000      Exide Corp.                                                 363,750
 .............................................................................................
         41,976      Grand Union Co. (acquired 6/20/95,
                     cost $1,755,922)+ +++                                         272,844
 .............................................................................................
             61      Premium Holdings L.P. 144A +                                  1,528
 .............................................................................................
          5,894      Total Renal Care Holdings                                   175,715
 .............................................................................................
          2,040      Total Renal Care Holdings, Inc. +                            86,190
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $2,351,623)                                        $1,183,070
- ---------------------------------------------------------------------------------------------
CONVERTIBLE PREFERRED STOCKS (0.3%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
         30,000      Cablevision Systems Corp. Ser. I, $8.50,
                     cv. pfd.                                                   $780,000
 .............................................................................................
          5,000      Granite Broadcasting $1.938, cv. pfd.                       334,297
- ---------------------------------------------------------------------------------------------
                     Total Convertible Preferred Stocks
                     (cost $1,050,625)                                        $1,114,297
- ---------------------------------------------------------------------------------------------
WARRANTS (0.1%) *+
- ---------------------------------------------------------------------------------------------
<CAPTION>
Number of  Warrants                                          Expiration            Value
                                                                   Date
 .............................................................................................
          <S>        <C>                                     <C>                  <C>
          5,000      Becker Gaming Corp. 144A                11/15/00              1,000
 .............................................................................................
          2,275      Capital Gaming International,
                     Inc.                                      2/1/99                 91
 .............................................................................................
            163      Casino America, Inc.                    11/15/96                 16
 .............................................................................................
            575      Commodore Media 144A                      5/1/00             74,750
 .............................................................................................
          1,100      Communicacio Cellular 144A              11/15/03             55,000
 .............................................................................................
            100      County Seat Holdings, Inc.              10/15/98              1,000
 .............................................................................................
            450      Foamex (L.P.) Capital Corp.
                     144A                                      7/1/99              2,250
 .............................................................................................
          5,181      Intelcom Group 144A                     10/15/05             59,582
 .............................................................................................
            400      Intermedia Communications
                     144A                                      6/1/00             16,000
 .............................................................................................
            678      Louisiana Casino Cruises, Inc.
                     144A                                     12/1/98             10,170
 .............................................................................................
          3,000      Miles Homes, Inc.                         4/1/97                750
 .............................................................................................
          1,500      Nextel Communications Inc.                1/1/99                 15
 .............................................................................................
            460      Pagemart, Inc. 144A                     12/31/03              3,960
 .............................................................................................
          2,000      Petracom Holdings, Inc. 144A              8/1/05             14,250
 .............................................................................................
          4,194      President Riverboat Casinos,
                     Inc.                                     9/30/99              3,775
 .............................................................................................
          3,700      SDW Hldgs Corp. 144A                      4/1/04             48,100
 .............................................................................................
             18      Telemedia Broadcasting Corp.
                     144A                                      4/1/04             13,221
 .............................................................................................
          2,880      UCC Investor Holding, Inc.              10/31/99             40,320
 .............................................................................................
            650      Universal Outdoor, Inc. 144A              7/1/04             97,500
- ---------------------------------------------------------------------------------------------
                     Total Warrants
                     (cost $303,961)                                            $441,750
- ---------------------------------------------------------------------------------------------
PURCHASED OPTIONS OUTSTANDING (0.1%) *
- ---------------------------------------------------------------------------------------------
Number of                                               Expiration Date
Contracts                                                 /Strike Price            Value
 .............................................................................................
JPY2,476,257,000     Japanese Government                    July 96/JPY
                     10 Yr Bonds                                 118.22         $251,241
 .............................................................................................
JPY  627,853,000     Japanese Government                    July 96/JPY
                     10 Yr Bonds                                 119.12           24,977
- ---------------------------------------------------------------------------------------------
                     Total Purchased Options
                     (cost $226,376)                                            $276,218
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (10.4%) *
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                                                   Value
 .............................................................................................
       <S>           <C>                                                        <C>
       $307,190      U.S. Dollar Certificate of Deposit,
                     (Issued by J.P. Morgan Securities, Inc. The
                     principal at redemption is linked to the
                     bid price for the Polish Treasury Bill,
                     at maturity, multiplied by the changes
                     in the spot rate of the Polish Zloty
                     from issue date to maturity date.), zero %,
                     April 16, 1997                                             $254,156
 .............................................................................................
     40,220,000      Interest in $ 434,902,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Goldman, Sachs & Co. due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations--maturity value of
                     $40,238,015 for an effective yield
                     of 5.375%                                                40,238,015
- ---------------------------------------------------------------------------------------------
                     Total Short-Term Investments
                     (cost $40,492,171)                                      $40,492,171
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $ 429,017,062)***                                $429,648,378
- ---------------------------------------------------------------------------------------------
TBA Sale Commitments Outstanding at June 30, 1996
(Proceeds Receivable $15,271,713)
- ---------------------------------------------------------------------------------------------
<CAPTION>
                      Principal           Delivery             Coupon             Market
Agency                   Amount              Month               Rate              Value
- ---------------------------------------------------------------------------------------------
<S>                   <C>                     <C>               <C>            <C>
GNMA                  $8,422,000              July              7.00%         $8,074,593
 .............................................................................................
GNMA                   7,438,800              July              7.00%          7,338,823
- ---------------------------------------------------------------------------------------------
                                                                             $15,413,416
- ---------------------------------------------------------------------------------------------
Forward Currency Contracts to Buy at June 30, 1996
(Aggregate Face Value $91,486,572)
- ---------------------------------------------------------------------------------------------
                                                                              Unrealized
                          Market            Aggregate         Delivery     Appreciation/
                           Value           Face Value             Date    (Depreciation)
 .............................................................................................
Deutschemarks        $41,686,590          $41,430,739          9/18/96          $255,851
 .............................................................................................
French Francs         14,853,628           14,625,662          9/18/96           227,966
 .............................................................................................
Italian Lira           3,741,020            3,689,633          9/18/96            51,387
 .............................................................................................
Japanese Yen          25,229,467           25,575,507          9/18/96          (346,040)
 .............................................................................................
Spanish Peseta         5,668,289            5,623,680          9/18/96            44,609
 .............................................................................................
Swedish Krona            553,815              541,351          9/18/96            12,464
- ---------------------------------------------------------------------------------------------
                                                                                $246,237
- ---------------------------------------------------------------------------------------------
Forward Currency Contracts to Sell at June 30, 1996
(Aggregate Face Value $69,563,176)
- ---------------------------------------------------------------------------------------------
                                                                              Unrealized
                          Market            Aggregate         Delivery     Appreciation/
                           Value           Face Value             Date    (Depreciation)
 .............................................................................................
Australian Dollars    $3,753,692           $3,799,079          9/18/96           $45,387
 .............................................................................................
British Pounds         9,009,871            8,764,098          9/18/96          (245,773)
 .............................................................................................
Canadian Dollars      11,986,397           11,880,564          9/18/96          (105,833)
 .............................................................................................
Danish Krone           6,163,819            6,125,096          9/18/96           (38,723)
 .............................................................................................
Deutschemarks            133,718              133,120          4/16/97              (598)
 .............................................................................................
Deutschemarks         29,527,606           29,419,280          9/18/96          (108,326)
 .............................................................................................
Italian Lira           4,560,302            4,499,735          9/18/96           (60,567)
 .............................................................................................
Japanese Yen             308,510              313,210          9/18/96             4,700
 .............................................................................................
Swedish Krona          3,556,889            3,522,999          9/18/96           (33,890)
 .............................................................................................
Swiss Francs           1,100,121            1,105,995          9/18/96             5,874
- ---------------------------------------------------------------------------------------------
                                                                               $(537,749)
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>

PCM New Opportunities Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMON STOCKS (89.2%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Advertising (0.2%)
 .............................................................................................
        <S>          <C>                                                      <C>
         57,500      Outdoor Systems, Inc. +                                  $2,026,875
- ---------------------------------------------------------------------------------------------
Apparel (0.6%)
 .............................................................................................
         65,600      Tommy Hilfiger Corp. +                                    3,517,800
 .............................................................................................
        102,400      Wolverine World Wide, Inc.                                3,328,000
- ---------------------------------------------------------------------------------------------
                                                                               6,845,800
- ---------------------------------------------------------------------------------------------
Broadcasting (4.3%)
 .............................................................................................
        106,300      Chancellor Broadcasting Corp. Class A +                   3,321,875
 .............................................................................................
        121,700      Clear Channel Communications, Inc. +                     10,025,038
 .............................................................................................
        104,000      Emmis Broadcasting Corp. Class A +                        5,200,000
 .............................................................................................
         97,300      Heartland Wireless Communications,
                     Inc. +                                                    2,310,875
 .............................................................................................
        211,200      Infinity Broadcasting Corp. Class A +                     6,336,000
 .............................................................................................
         86,700      Jacor Communications, Inc. +                              2,676,863
 .............................................................................................
         98,100      LIN Television Corp. +                                    3,531,600
 .............................................................................................
        147,500      Paxson Communications Corp +                              1,567,188
 .............................................................................................
        125,050      Renaissance Communications Corp. +                        4,032,863
 .............................................................................................
         55,000      SFX Broadcasting, Inc. Class A +                          2,145,000
 .............................................................................................
        126,200      Sinclair Broadcast Group, Inc. Class A +                  5,489,700
 .............................................................................................
        154,000      Westwood One, Inc. +                                      2,348,500
 .............................................................................................
         71,100      Young Broadcasting Corp. Class A +                        2,719,575
- ---------------------------------------------------------------------------------------------
                                                                              51,705,077
- ---------------------------------------------------------------------------------------------
Building Products (0.3%)
 .............................................................................................
        123,300      Barnett, Inc. +                                           3,544,875
- ---------------------------------------------------------------------------------------------
Business Services (7.7%)
 .............................................................................................
         50,800      Affiliated Computer Services, Inc.
                     Class A +                                                 2,387,600
 .............................................................................................
        190,500      Airgas, Inc. +                                            3,619,500
 .............................................................................................
        190,000      Alco Standard Corp.                                       8,597,500
 .............................................................................................
        132,700      Alternative Resources Corp. +                             4,876,725
 .............................................................................................
        114,600      Corestaff, Inc. +                                         5,128,350
 .............................................................................................
        254,000      Corporate Express, Inc. +                                10,160,000
 .............................................................................................
        179,600      Danka Business Systems PLC ADR
                     (United Kingdom)                                          5,253,300
 .............................................................................................
        177,600      First Data Corp.                                         14,141,400
 .............................................................................................
         31,000      First USA Paymentech, Inc. +                              1,240,000
 .............................................................................................
        130,100      Input/Output, Inc. +                                      4,211,988
 .............................................................................................
          5,600      Labor Ready, Inc. +                                         156,800
 .............................................................................................
        133,700      Manpower, Inc.                                            5,247,725
 .............................................................................................
         72,300      Nova Corp/Georgia +                                       2,440,125
 .............................................................................................
        186,900      Paychex, Inc.                                             8,994,563
 .............................................................................................
      1,262,100      Rentokil Group Ord. PLC
                     (United Kingdom)                                          8,012,439
 .............................................................................................
        247,800      Robert Half International, Inc. +                         6,907,425
 .............................................................................................
         16,200      Sykes Enterprises, Inc. +                                   797,850
 .............................................................................................
         12,800      Transaction Systems Architect, Inc.
                     Class A +                                                   857,600
- ---------------------------------------------------------------------------------------------
                                                                              93,030,890
- ---------------------------------------------------------------------------------------------
Cable Television (1.1%)
 .............................................................................................
         65,200      Cablevision Systems Corp. Class A +                       3,015,500
 .............................................................................................
        173,400      Century Communications Corp.
                     Class A +                                                 1,473,900
 .............................................................................................
        129,300      Tele-Comm Liberty Media Group, Inc.
                     Class A +                                                 3,426,450
 .............................................................................................
        282,600      Tele-Communications Inc. Class A +                        5,122,125
- ---------------------------------------------------------------------------------------------
                                                                              13,037,975
- ---------------------------------------------------------------------------------------------
Computer Peripherals (0.6%)
 .............................................................................................
        430,100      EMC Corp. +                                               8,010,613
- ---------------------------------------------------------------------------------------------
Computer Services (3.0%)
 .............................................................................................
        299,300      America Online, Inc. +                                   13,094,375
 .............................................................................................
        285,300      Cambridge Technology Partners, Inc. +                     8,701,650
 .............................................................................................
        131,200      CBT Group PLC ADR (Ireland) +                             6,068,000
 .............................................................................................
         65,400      CMG Information Services, Inc. +                          1,765,800
 .............................................................................................
        166,000      Computer Horizons Corp. +                                 6,557,000
 .............................................................................................
         14,000      Sapient Corp +                                              591,500
- ---------------------------------------------------------------------------------------------
                                                                              36,778,325
- ---------------------------------------------------------------------------------------------
Computer Software (10.8%)
 .............................................................................................
         14,800      Arbor Software Corp. +                                      884,300
 .............................................................................................
        149,600      Baan Co. N.V. (Netherlands)+                              5,086,400
 .............................................................................................
        171,900      Business Objects S.A. ADR (France) +                      6,918,975
 .............................................................................................
         33,500      Clarify, Inc. +                                           1,658,250
 .............................................................................................
        242,300      Computer Associates Intl., Inc.                          17,263,875
 .............................................................................................
        280,500      Electronic Arts, Inc. +                                   7,503,375
 .............................................................................................
         78,400      Fulcrum Technologies, Inc. +                              1,009,400
 .............................................................................................
        209,200      GT Interactive Software Corp. +                           3,504,100
 .............................................................................................
        124,000      Inso Corp. +                                              6,494,500
 .............................................................................................
         60,000      Legato Systems, Inc. +                                    3,300,000
 .............................................................................................
         30,900      Lycos, Inc. +                                               343,763
 .............................................................................................
        125,100      McAfee Associates, Inc. +                                 6,129,900
 .............................................................................................
        111,000      Microsoft Corp. +                                        13,333,875
 .............................................................................................
         45,800      Netscape Communications Corp. +                           2,851,050
 .............................................................................................
        291,900      Parametric Technology Corp. +                            12,661,163
 .............................................................................................
        125,900      PeopleSoft, Inc. +                                        8,970,375
 .............................................................................................
         48,400      Project Software & Development, Inc. +                    2,268,750
 .............................................................................................
         72,700      Rational Software Corp. +                                 3,907,625
 .............................................................................................
         14,200      Remedy, Corp. +                                           1,036,600
 .............................................................................................
         86,400      Security Dynamics Technologies, Inc. +                    7,106,400
 .............................................................................................
        210,100      Softkey International, Inc. +                             3,978,769
 .............................................................................................
        178,000      Synopsys, Inc. +                                          7,075,500
 .............................................................................................
         67,700      Unison Software, Inc. +                                   1,709,425
 .............................................................................................
         89,400      Vantive Corp. +                                           2,994,900
 .............................................................................................
         34,000      Viasoft, Inc. +                                           2,197,250
- ---------------------------------------------------------------------------------------------
                                                                             130,188,520
- ---------------------------------------------------------------------------------------------
Consumer Services (0.2%)
 .............................................................................................
        113,600      Thermolase Corp. +                                        3,095,600
- ---------------------------------------------------------------------------------------------
Energy-Related (0.4%)
 .............................................................................................
        131,700      Thermo Electron Corp. +                                   5,482,013
- ---------------------------------------------------------------------------------------------
Finance (0.2%)
 .............................................................................................
         84,835      TCF Financial Corp.                                       2,820,764
- ---------------------------------------------------------------------------------------------
Financial Services (1.8%)
 .............................................................................................
         87,000      First USA, Inc.                                           4,785,000
 .............................................................................................
        392,000      MBNA Corp.                                               11,172,000
 .............................................................................................
        204,400      Olympic Financial Ltd. +                                  4,701,200
 .............................................................................................
         51,100      Schwab (Charles) Corp.                                    1,251,950
- ---------------------------------------------------------------------------------------------
                                                                              21,910,150
- ---------------------------------------------------------------------------------------------
Funeral/Cemetery Services (1.7%)
 .............................................................................................
        240,700      Loewen Group, Inc.                                        7,281,175
 .............................................................................................
         87,900      Service Corp.                                             5,054,250
 .............................................................................................
        256,800      Stewart Enterprises, Inc. Class A                         8,025,000
- ---------------------------------------------------------------------------------------------
                                                                              20,360,425
- ---------------------------------------------------------------------------------------------
Gaming (2.1%)
 .............................................................................................
        309,000      Circus Circus Enterprises, Inc. +                        12,669,000
 .............................................................................................
        190,800      Mirage Resorts, Inc. +                                   10,303,200
 .............................................................................................
        138,200      Rio Hotel & Casino, Inc. +                                2,124,825
- ---------------------------------------------------------------------------------------------
                                                                              25,097,025
- ---------------------------------------------------------------------------------------------
HMO's (1.1%)
 .............................................................................................
         89,300      Compdent Corp. +                                          4,152,450
 .............................................................................................
        147,000      Healthsource, Inc. +                                      2,572,500
 .............................................................................................
        149,000      Oxford Health Plans, Inc. +                               6,127,625
 .............................................................................................
          4,000      Pacificare Health Systems, Inc. +                           264,000
- ---------------------------------------------------------------------------------------------
                                                                              13,116,575
- ---------------------------------------------------------------------------------------------
Health Care Information Systems (1.0%)
 .............................................................................................
         47,500      ABR Information Services, Inc. +                          2,386,875
 .............................................................................................
        143,600      HBO & Co.                                                 9,728,900
- ---------------------------------------------------------------------------------------------
                                                                              12,115,775
- ---------------------------------------------------------------------------------------------
Health Care Services (5.6%)
 .............................................................................................
         29,300      American HomePatient, Inc. +                              1,296,525
 .............................................................................................
        129,500      American Medical Response +                               4,564,875
 .............................................................................................
        209,300      Apria Healthcare Group, Inc. +                            6,566,788
 .............................................................................................
         68,900      Emcare Holdings, Inc. +                                   2,049,775
 .............................................................................................
         90,900      Emeritus Corp. +                                          1,602,113
 .............................................................................................
        313,000      Healthsouth Rehabilitation Corp. +                       11,268,000
 .............................................................................................
        130,600      Lincare Holdings, Inc. +                                  5,126,050
 .............................................................................................
        156,500      Medaphis Corp. +                                          6,220,875
 .............................................................................................
         33,500      Owen Healthcare, Inc. +                                     464,813
 .............................................................................................
        161,100      Renal Treatment Centers, Inc. +                           4,631,625
 .............................................................................................
        108,600      Rotech Medical Corp. +                                    2,117,700
 .............................................................................................
        100,427      Sunrise Assisted Living, Inc. +                           2,410,248
 .............................................................................................
         26,300      Total Renal Care Holdings, Inc. +                         1,111,175
 .............................................................................................
        303,000      Vencor, Inc. +                                            9,241,500
 .............................................................................................
        298,000      Vivra, Inc. +                                             9,796,750
- ---------------------------------------------------------------------------------------------
                                                                              68,468,812
- ---------------------------------------------------------------------------------------------
Hospital Management (1.3%)
 .............................................................................................
        528,600      Health Management Assoc., Inc. +                         10,704,150
 .............................................................................................
        233,400      Physician Reliance Network, Inc. +                        5,193,150
- ---------------------------------------------------------------------------------------------
                                                                              15,897,300
- ---------------------------------------------------------------------------------------------
Insurance (0.7%)
 .............................................................................................
        134,000      Amerin Corp. +                                            3,584,500
 .............................................................................................
        196,150      HCC Insurance Holdings, Inc.                              4,413,375
- ---------------------------------------------------------------------------------------------
                                                                               7,997,875
- ---------------------------------------------------------------------------------------------
Lodging (4.2%)
 .............................................................................................
        172,400      Doubletree Corp. +                                        6,120,200
 .............................................................................................
        103,000      Extended Stay America, Inc. +                             3,244,500
 .............................................................................................
        329,000      HFS, Inc. +                                              23,030,000
 .............................................................................................
         22,500      Interstate Hotels Co. +                                     500,625
 .............................................................................................
        157,900      La Quinta Inns, Inc.                                      5,289,650
 .............................................................................................
         89,800      Prime Hospitality Corp. +                                 1,481,700
 .............................................................................................
        175,700      Promus Hotel Corp. +                                      5,205,113
 .............................................................................................
        143,000      Renaissance Hotel Group N.V.
                     (Hong Kong)+                                              3,038,750
 .............................................................................................
         79,300      Studio Plus Hotels, Inc. +                                2,616,900
- ---------------------------------------------------------------------------------------------
                                                                              50,527,438
- ---------------------------------------------------------------------------------------------
Medical Management Services (1.6%)
 .............................................................................................
         91,800      OccuSystems, Inc. +                                       3,431,025
 .............................................................................................
         56,900      Pediatrix Medical Group, Inc. +                           2,759,650
 .............................................................................................
        172,050      Phycor, Inc. +                                            6,537,900
 .............................................................................................
        137,300      PhyMatrix, Inc. +                                         3,192,225
 .............................................................................................
         93,100      Physicians Resource Group, Inc. +                         3,107,213
- ---------------------------------------------------------------------------------------------
                                                                              19,028,013
- ---------------------------------------------------------------------------------------------
Medical Supplies and Devices (2.8%)
 .............................................................................................
         94,200      Boston Scientific Corp. +                                 4,239,000
 .............................................................................................
         38,700      Cardiothoracic Sytems, Inc. +                               512,775
 .............................................................................................
         49,500      Endosonics Corp. +                                          884,813
 .............................................................................................
         99,800      I-Stat Corp. +                                            1,883,725
 .............................................................................................
         72,300      ICU Medical, Inc. +                                         994,125
 .............................................................................................
         92,000      Igen, Inc. +                                                644,000
 .............................................................................................
         87,900      Medtronic, Inc.                                           4,922,400
 .............................................................................................
        184,300      Mentor Corp. Minnesota                                    4,699,650
 .............................................................................................
         57,500      Neuromedical Systems, Inc. +                                862,500
 .............................................................................................
        106,600      Shared Medical Systems Corp.                              6,849,050
 .............................................................................................
        153,000      Thermo Cardiosystems, Inc. +                              6,846,750
- ---------------------------------------------------------------------------------------------
                                                                              33,338,788
- ---------------------------------------------------------------------------------------------
Networking and Communications Equipment (11.9%)
 .............................................................................................
        109,900      Adtran, Inc. +                                            7,789,163
 .............................................................................................
        102,400      Ascend Communications, Inc. +                             5,760,000
 .............................................................................................
        150,700      Cabletron Systems, Inc. +                                10,341,788
 .............................................................................................
        205,400      Cascade Communications Corp. +                           13,967,200
 .............................................................................................
        265,000      Cisco Systems, Inc. +                                    15,005,625
 .............................................................................................
         36,500      Diana Corp +                                              1,482,813
 .............................................................................................
        217,800      Gandalf  Technologies, Inc. +                             1,742,400
 .............................................................................................
        209,950      Glenayre Technologies, Inc. +                            10,497,500
 .............................................................................................
        128,300      Objective Systems Integrators, Inc. +                     4,682,950
 .............................................................................................
         91,200      P-Com, Inc. +                                             2,872,800
 .............................................................................................
        187,200      Pairgain Technologies, Inc. +                            11,606,400
 .............................................................................................
        103,200      Premisys Communications, Inc. +                           6,295,200
 .............................................................................................
        132,200      Shiva Corp. +                                            10,576,000
 .............................................................................................
        298,700      Stratacom, Inc. +                                        16,801,875
 .............................................................................................
        154,300      Tellabs, Inc. +                                          10,318,813
 .............................................................................................
        156,600      U.S. Robotics Corp. +                                    13,389,300
 .............................................................................................
          6,900      Verilink Corp. +                                            175,950
- ---------------------------------------------------------------------------------------------
                                                                             143,305,777
- ---------------------------------------------------------------------------------------------
Nursing Homes (1.0%)
 .............................................................................................
        182,300      Genesis Health Ventures, Inc. +                           5,719,663
 .............................................................................................
        265,050      Health Care & Retirement Corp. +                          6,294,938
- ---------------------------------------------------------------------------------------------
                                                                              12,014,601
- ---------------------------------------------------------------------------------------------
Office Products and Equipment (2.4%)
 .............................................................................................
        150,100      BT Office Products International, Inc. +                  2,683,038
 .............................................................................................
        239,900      Boise Cascade Office Products +                           8,306,538
 .............................................................................................
         69,300      Global DirectMail, Corp. +                                2,737,350
 .............................................................................................
        163,200      U.S. Office Products, Co. +                               6,854,400
 .............................................................................................
        266,200      Viking Office Products, Inc. +                            8,352,025
- ---------------------------------------------------------------------------------------------
                                                                              28,933,351
- ---------------------------------------------------------------------------------------------
Pharmaceuticals and Biotechnology (4.0%)
 .............................................................................................
         42,600      Alpha-Beta Technology, Inc. +                               378,075
 .............................................................................................
         93,900      Amgen, Inc. +                                             5,070,600
 .............................................................................................
        218,600      Astra AB (Sweden)                                         9,660,603
 .............................................................................................
         15,000      Astra AB ADR (Sweden)                                       656,250
 .............................................................................................
        126,300      Biochem Pharmaceutical, Inc. +                            4,736,250
 .............................................................................................
         74,300      CytoTherapeutics, Inc. +                                    826,588
 .............................................................................................
        163,100      Elan Corp. PLC ADR (Ireland)+                             9,317,088
 .............................................................................................
         46,200      Fuisz Technologies, Ltd. +                                  877,800
 .............................................................................................
        201,600      Gilead Sciences, Inc. +                                   5,090,400
 .............................................................................................
        177,600      IDEXX Laboratories, Inc. +                                6,970,800
 .............................................................................................
         66,700      Martek Biosciences Corp. +                                1,950,975
 .............................................................................................
         75,600      Neurogen Corp. +                                          1,946,700
 .............................................................................................
         32,900      Theratech, Inc. +                                           633,325
- ---------------------------------------------------------------------------------------------
                                                                              48,115,454
- ---------------------------------------------------------------------------------------------
Publishing (0.1%)
 .............................................................................................
         68,900      Mecklermedia Corp. +                                      1,395,225
- ---------------------------------------------------------------------------------------------
Restaurants (4.0%)
 .............................................................................................
        250,500      Apple South, Inc.                                         6,700,875
 .............................................................................................
        125,600      Applebee's International, Inc.                            4,066,300
 .............................................................................................
        267,300      Boston Chicken, Inc. +                                    8,687,250
 .............................................................................................
        210,670      J.D. Wetherspoon PLC (United Kingdom)                     3,286,370
 .............................................................................................
        166,300      Landry's Seafood Restaurants, Inc. +                      4,115,925
 .............................................................................................
        130,500      Lone Star Steakhouse & Saloon +                           4,926,375
 .............................................................................................
        187,600      Outback Steakhouse, Inc. +                                6,469,269
 .............................................................................................
        120,850      Papa Johns International, Inc. +                          5,891,438
 .............................................................................................
         70,600      Rainforest Cafe, Inc. +                                   3,530,000
- ---------------------------------------------------------------------------------------------
                                                                              47,673,802
- ---------------------------------------------------------------------------------------------
Retail (3.6%)
 .............................................................................................
         81,100      AutoZone, Inc. +                                          2,818,225
 .............................................................................................
        396,700      Bed Bath & Beyond, Inc. +                                10,611,725
 .............................................................................................
        126,700      CompUSA, Inc. +                                           4,323,638
 .............................................................................................
        190,600      Office Depot, Inc. +                                      3,883,475
 .............................................................................................
        296,400      Officemax, Inc. +                                         7,076,550
 .............................................................................................
        106,700      Petsmart, Inc. +                                          5,094,925
 .............................................................................................
        168,000      Revco D.S., Inc. +                                        4,011,000
 .............................................................................................
        263,800      Staples, Inc. +                                           5,144,100
- ---------------------------------------------------------------------------------------------
                                                                              42,963,638
- ---------------------------------------------------------------------------------------------
Semiconductors (1.9%)
 .............................................................................................
        186,450      Analog Devices Inc. +                                     4,754,475
 .............................................................................................
         81,685      Atmel Corp. +                                             2,460,761
 .............................................................................................
         84,000      Credence Systems Corp. +                                  1,128,750
 .............................................................................................
         84,000      Intel Corp.                                               6,168,750
 .............................................................................................
        149,100      Linear Technology Corp.                                   4,473,000
 .............................................................................................
        137,400      Maxim Integrated Products Inc. +                          3,752,738
- ---------------------------------------------------------------------------------------------
                                                                              22,738,474
- ---------------------------------------------------------------------------------------------
Specialty Consumer Products (0.1%)
 .............................................................................................
         41,200      Gemstar International Group Ltd. +                        1,236,000
- ---------------------------------------------------------------------------------------------
Telephone Services (4.1%)
 .............................................................................................
         40,000      Brooks Fiber Properties, Inc. +                           1,320,000
 .............................................................................................
        112,300      Intermedia Communications, Inc. +                         3,621,675
 .............................................................................................
        383,000      LCI International, Inc. +                                12,016,625
 .............................................................................................
        181,400      MFS Communications, Co., Inc. +                           6,825,175
 .............................................................................................
         80,500      Mcleod, Inc. Class A +                                    1,932,000
 .............................................................................................
         45,200      Premiere Technologies, Inc. +                             1,423,800
 .............................................................................................
        227,700      Tel-Save Holdings, Inc. +                                 4,838,625
 .............................................................................................
         71,400      U.S. Long Distance Corp. +                                2,534,700
 .............................................................................................
        262,700      WorldCom, Inc. +                                         14,547,013
- ---------------------------------------------------------------------------------------------
                                                                              49,059,613
- ---------------------------------------------------------------------------------------------
Wireless Communications (2.8%)
 .............................................................................................
        203,500      Airtouch Communications, Inc. +                           5,748,875
 .............................................................................................
        148,900      Centennial Cellular Corp. Class A +                       2,512,688
 .............................................................................................
        150,000      Clearnet Communications Class A
                     (Canada) +                                                2,512,500
 .............................................................................................
         83,500      Intercel, Inc. +                                          1,670,000
 .............................................................................................
        343,000      NEXTEL Communications, Inc. Class A +                     6,538,438
 .............................................................................................
        124,300      Omnipoint Corp. +                                         3,239,569
 .............................................................................................
        405,200      Paging Network, Inc. +                                    9,724,800
 .............................................................................................
         43,100      Preferred Networks, Inc. +                                  371,738
 .............................................................................................
         24,900      United States Cellular Corp. +                              771,900
 .............................................................................................
         39,200      Western Wireless Corp. Class A +                            837,882
- ---------------------------------------------------------------------------------------------
                                                                              33,928,390
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $874,268,414)                                  $1,075,789,828
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (11.3%) *
- ---------------------------------------------------------------------------------------------
Principal Amount                                                                   Value
 .............................................................................................
    $20,000,000      Falcon Asset Security, Corp. effective
                     yield of 5.40%, July 29, 1996                           $19,916,000
 .............................................................................................
     20,000,000      Federal Home Loan Mortgage, Corp.
                     effective yield of 5.35%,
                     September 5, 1996                                        19,803,833
 .............................................................................................
     20,000,000      Federal National Mortgage Association
                     effective yield of 5.27%, July 19, 1996                  19,947,300
 .............................................................................................
     30,000,000      IBM Credit, Corp. effective yield of
                     5.36%, July 12, 1996                                     29,950,867
 .............................................................................................
     46,277,000      Interest in $655,568,000 joint repurchase
                     agreement dated June 28, 1996 with
                     Morgan (J.P.) & Co., Inc. due July 1, 1996
                     with respect to various U.S. Treasury
                     obligations--maturity value of
                     $46,297,825 for an effective yield
                     of 5.40%.                                                46,297,825
- ---------------------------------------------------------------------------------------------
                     Total Short-Term Investments
                     (cost $135,915,825)                                    $135,915,825
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $1,010,184,239)***                             $1,211,705,653
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

</TABLE>


PCM Asia Pacific Growth Fund
Portfolio of investments owned
June 30, 1996 (Unaudited)

<TABLE>
<CAPTION>

COMMON STOCKS (87.9%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Australia (5.5%)
 .............................................................................................
        <S>          <C>                                                        <C>
        185,000      CSL Ltd. Ord.                                              $778,240
 .............................................................................................
        841,600      Goodman Fielder Ltd. ADR                                    853,658
 .............................................................................................
        600,000      MIM Holdings Ltd.                                           773,719
 .............................................................................................
         40,000      News Corp. Ltd. ADR                                         940,000
 .............................................................................................
        147,000      QBE Insurance Group Ltd.                                    872,675
 .............................................................................................
        200,400      Westpac Banking Corp.                                       887,145
- ---------------------------------------------------------------------------------------------
                                                                               5,105,437
- ---------------------------------------------------------------------------------------------
Hong Kong (20.4%)
 .............................................................................................
        900,000      Amoy Properties Ltd.                                      1,087,181
 .............................................................................................
         15,100      Asia Satellite Telecommunications
                     Holdings Ltd. ADR +                                         449,225
 .............................................................................................
        549,000      Chen Hsong Holdings                                         294,353
 .............................................................................................
        220,000      Cheung Kong Holdings Ltd.                                 1,584,584
 .............................................................................................
        400,000      Citic Pacific Ltd.                                        1,617,529
 .............................................................................................
        629,525      First Pacific Co. Ltd.                                      967,849
 .............................................................................................
        300,000      Guoco Group Ltd.                                          1,430,196
 .............................................................................................
        600,000      HKR International Ltd.                                      697,656
 .............................................................................................
        200,000      Hong Kong Electric Holdings Ltd.                            609,803
 .............................................................................................
        390,000      Hong Kong Land Holdings Ltd.                                877,500
 .............................................................................................
        476,800      Hong Kong Telecommunications Ltd.                           856,247
 .............................................................................................
        110,845      HSBC Holdings PLC +                                       1,675,521
 .............................................................................................
        200,000      Hutchison Whampoa Ltd.                                    1,258,365
 .............................................................................................
        160,000      Jardine Matheson Holdings Ltd.                            1,176,000
 .............................................................................................
      1,254,000      Manhattan Card Co. Ltd.                                     599,442
 .............................................................................................
         80,000      Sun Hung Kai Properties Ltd.                                808,765
 .............................................................................................
        160,000      Swire Pacific Ltd. Class A                                1,369,474
 .............................................................................................
        200,000      Varitronix International Ltd.                               417,302
 .............................................................................................
        310,000      Wharf (Holdings) Ltd.                                     1,109,403
- ---------------------------------------------------------------------------------------------
                                                                              18,886,395
- ---------------------------------------------------------------------------------------------
Indonesia (3.6%)
 .............................................................................................
        207,000      Astra International                                         300,353
 .............................................................................................
        155,000      Bank Bali                                                   333,188
 .............................................................................................
        100,000      Indorama Synthetics                                         253,653
 .............................................................................................
         86,000      Kalbe Farma                                                 192,260
 .............................................................................................
         96,000      PT Gudang Garam                                             411,691
 .............................................................................................
        300,000      PT Matahari Putra Prima                                     548,148
 .............................................................................................
        326,936      PT Mulia Industrindo                                        484,919
 .............................................................................................
        117,000      PT Tigaraksa Satria                                         301,804
 .............................................................................................
         40,000      Sampoerna Industries                                        455,715
- ---------------------------------------------------------------------------------------------
                                                                               3,281,731
- ---------------------------------------------------------------------------------------------
Japan (35.8%)
 .............................................................................................
         37,000      Amway Japan Ltd. ADR                                        920,375
 .............................................................................................
         83,000      Bridgestone Corp.                                         1,582,756
 .............................................................................................
         47,000      Chubu Electric Power, Inc.                                1,063,504
 .............................................................................................
        125,000      Chuo Trust & Banking Co. Ltd.                             1,231,752
 .............................................................................................
        149,000      Cosmo Oil Co. Ltd.                                          921,734
 .............................................................................................
         80,000      Dai Nippon Printing Co. Ltd.                              1,547,446
 .............................................................................................
         41,000      Daikin Industries Ltd.                                      448,905
 .............................................................................................
            160      East Japan Railway Co.                                      839,416
 .............................................................................................
         15,000      Futaba Corp.                                                677,464
 .............................................................................................
         17,000      Glory Ltd. (Glory Kogyo)                                    563,048
 .............................................................................................
         15,250      Hirose Electric Co. Ltd.                                    941,994
 .............................................................................................
         29,000      Hokuriku Electric Power                                     656,205
 .............................................................................................
         20,000      Ito Yokado Co. Ltd.                                       1,206,205
 .............................................................................................
         90,000      Kamigumi Co. Ltd.                                           821,168
 .............................................................................................
         72,000      KAO Corp.                                                   972,263
 .............................................................................................
          7,000      Keyence Corp.                                               951,643
 .............................................................................................
         24,000      Komori Corp.                                                613,139
 .............................................................................................
         80,000      Kuraray Co. Ltd.                                            897,810
 .............................................................................................
         45,300      Kurita Water Industries Ltd.                              1,103,568
 .............................................................................................
         50,000      Marui Co. Ltd.                                            1,108,577
 .............................................................................................
         23,000      Maruichi Steel Tube                                         413,413
 .............................................................................................
         60,250      Mitsubishi Bank Ltd.                                      1,396,305
 .............................................................................................
        130,000      Mitsui Co.                                                1,177,829
 .............................................................................................
         20,000      Murata Manufacturing Co. Ltd.                               757,299
 .............................................................................................
         90,000      Nippon Express Co. Ltd.                                     878,650
 .............................................................................................
            100      Nippon Telegraph and Telephone Corp.                        740,876
 .............................................................................................
         94,000      Ohbayashi Gumi Corp.                                        849,945
 .............................................................................................
         33,000      Omron Corp.                                                 701,551
 .............................................................................................
         37,000      Onward Kashiyama Co. Ltd.                                   604,288
 .............................................................................................
         30,300      Santen Pharmaceutical                                       704,973
 .............................................................................................
         75,000      Sharp Corp.                                               1,313,869
 .............................................................................................
         63,000      Sumitomo Trust & Banking                                    862,227
 .............................................................................................
         42,000      Takasago Thermal Engineering                                678,285
 .............................................................................................
         70,000      Tokio Marine & Fire Insurance Co. Ltd.                      932,482
 .............................................................................................
         54,000      Toyota Motor Corp.                                        1,350,000
 .............................................................................................
         33,000      Yamanouchi Pharmaceutical Co. Ltd.                          716,606
- ---------------------------------------------------------------------------------------------
                                                                              33,147,570
- ---------------------------------------------------------------------------------------------
Malaysia (10.7%)
 .............................................................................................
        120,000      Cement Industries of Malaysia Berhad                        404,170
 .............................................................................................
        127,000      Edaran Otomobil Nasional Berhad                           1,217,041
 .............................................................................................
        150,000      Gamuda Berhad                                               944,266
 .............................................................................................
        175,000      Guinness Anchor Berhad                                      361,367
 .............................................................................................
        110,000      Leader Universal                                            310,946
 .............................................................................................
        130,000      Malayan Banking Berhad                                    1,251,002
 .............................................................................................
        165,375      Malaysian Assurance Alliance                                875,281
 .............................................................................................
        100,000      Maruichi Malaysia Steel Tube                                372,895
 .............................................................................................
         10,000      Pacific and Orient Berhad                                    28,067
 .............................................................................................
        340,000      Southern Bank Berhad                                        831,596
 .............................................................................................
         85,000      Southern Bank Berhad Rights +                                26,107
 .............................................................................................
        204,000      Sungei Way Holdings Berhad ++++++                           957,017
 .............................................................................................
        140,000      Telekom Malaysia                                          1,246,191
 .............................................................................................
        210,000      YTL Corp. Berhad                                          1,094,627
- ---------------------------------------------------------------------------------------------
                                                                               9,920,573
- ---------------------------------------------------------------------------------------------
Philippines (2.8%)
 .............................................................................................
      1,568,200      Filinvest Development Corp.                                 824,895
 .............................................................................................
         26,501      Metropolitan Bank and Trust Co.                             745,151
 .............................................................................................
         60,000      Philippine Commercial International                         751,722
 .............................................................................................
        174,300      Pilipino Telephone Corp. +                                  266,718
- ---------------------------------------------------------------------------------------------
                                                                               2,588,486
- ---------------------------------------------------------------------------------------------
Singapore (7.8%)
 .............................................................................................
         50,000      City Developments Ltd. +                                    389,933
 .............................................................................................
        160,000      Clipsal Industries (Holdings) Ltd.                          449,600
 .............................................................................................
        109,000      Courts Ltd.                                                 173,875
 .............................................................................................
         60,000      Cycle & Carriage Ltd.                                       642,325
 .............................................................................................
        100,000      Development Bank of Singapore                             1,247,784
 .............................................................................................
        132,000      Far East Levingston Shipbuilding Ltd.                       729,954
 .............................................................................................
        220,000      NatSteel Ltd.                                               436,725
 .............................................................................................
        160,000      Overseas Union Bank Ltd.                                  1,100,319
 .............................................................................................
        100,000      Singapore Airlines Ltd.                                   1,056,363
 .............................................................................................
        350,000      United Overseas Land Ltd.                                   615,385
 .............................................................................................
        186,000      Venture Manufacturing Ltd.                                  342,857
 .............................................................................................
         46,500      Venture Manufacturing Ltd. Rights +                          33,956
- ---------------------------------------------------------------------------------------------
                                                                               7,219,076
- ---------------------------------------------------------------------------------------------
Thailand (0.5%)
 .............................................................................................
        105,000      Industrial Finance Corp. of Thailand                        471,464
- ---------------------------------------------------------------------------------------------
United States (0.8%)
 .............................................................................................
         25,750      AFLAC Inc.                                                  769,281
- ---------------------------------------------------------------------------------------------
                     Total Common Stocks
                     (cost $78,809,643)                                      $81,390,013
- ---------------------------------------------------------------------------------------------
INVESTMENT COMPANIES (5.5%) *
- ---------------------------------------------------------------------------------------------
Number of Shares                                                                   Value
 .............................................................................................
Thailand (0.9%)
 .............................................................................................
        700,000      Ruam Pattana Fund                                          $461,814
 .............................................................................................
        300,000      Sinpinyo Fund 5                                             209,737
 .............................................................................................
        424,000      Thana Phum Fund                                             200,402
- ---------------------------------------------------------------------------------------------
                                                                                 871,953
- ---------------------------------------------------------------------------------------------
United Kingdom (0.9%)
 .............................................................................................
         47,000      JF Philippine Fund +                                        863,625
- ---------------------------------------------------------------------------------------------
United States (3.7%)
 .............................................................................................
         86,600      Taiwan Fund                                               2,078,397
 .............................................................................................
        110,000      ROC Taiwan Fund                                           1,251,250
- ---------------------------------------------------------------------------------------------
                                                                               3,329,647
- ---------------------------------------------------------------------------------------------
                     Total Investment Companies
                     (cost $4,973,651)                                        $5,065,225
- ---------------------------------------------------------------------------------------------
WARRANTS (0.2%) * + (cost $261,316)
- ---------------------------------------------------------------------------------------------
<CAPTION>
Number of Warrants                                          Expiration
                                                                  Date             Value
 .............................................................................................
          <S>        <C>                                      <C>               <C>
          1,500      Lecien Corp. (Japan)                     10/29/99          $210,745
- ---------------------------------------------------------------------------------------------
SHORT-TERM INVESTMENTS (9.5%) *
- ---------------------------------------------------------------------------------------------
<CAPTION>
Principal Amount                                                                   Value
 .............................................................................................
     <S>             <C>                                                      <C>
     $5,000,000      Federal National Mortgage Association,
                     effective yield of 5.27%, July 26, 1996                  $4,981,701
 .............................................................................................
      3,830,000      Interest in $434,902,000 joint repurchase
                     agreement date June 28, 1996 with Goldman,
                     Sachs & Co. due July 1, 1996 with respect
                     to various U.S. Treasury obligations--
                     maturity value of $3,831,716 for an
                     effective yield of 5.375%.                                3,831,716
- ---------------------------------------------------------------------------------------------
                     Total Short-Term Investments
                     (cost $8,813,417)                                        $8,813,417
- ---------------------------------------------------------------------------------------------
                     Total Investments
                     (cost $92,858,027) ***                                  $95,479,400
- ---------------------------------------------------------------------------------------------
Forward Currency Contracts to Sell at June 30, 1996

                          Market            Aggregate         Delivery        Unrealized
                           Value           Face Value             Date      Appreciation
 .............................................................................................
Japanese Yen         $11,887,122          $12,317,568          7/17/96          $430,446
- ---------------------------------------------------------------------------------------------
See page 62 for Notes to the Portfolios.


THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS

PUTNAM CAPITAL MANAGER TRUST
Notes to the Portfolios
June 30, 1996 (Unaudited)

     * Percentages are based on net assets.

     + Non-income-producing security.

    ++ The interest rate and date shown parenthetically represent the new interest rate to be 
       paid and the date the fund will begin receiving interest at this rate.

   +++ Restricted, excluding 144A securities, as to public resale.  The total market value of 
       restricted securities by fund did not exceed 1% of each fund's net assets. 

  ++++ Income may be received in cash or additional securities at the discretion of the issuer.

++++++ Forward commitment (See Note 1).

     # A portion of this security was pledged and segregated with the custodian to cover 
       margin requirements for futures contracts at June 30, 1996.  The market value of 
       segregated securities with the custodian for transactions on futures contracts for 
       PCM Global Asset Allocation Fund is $10,405,575 or 1.7% of net assets.

       144A after the name of a security represents those exempt from registration under 
       Rule 144A of the Securities Act of 1933. These securities may be resold in transactions 
       exempt from registration, normally to qualified institutional buyers.

       ADR, ADS or GDR after the name of a foreign holding stands for American Depository Receipt, 
       American Depository Shares or Global Depository Receipt, respectively, representing 
       ownership of foreign securities on deposit with a domestic custodian bank.

       TBA after the name of a security represents to be announced securities (See Note 1).

       The rate shown on Floating Rate Bonds (FRB) and Floating Rate Notes (FRN) are the 
       current interest rates shown at June 30, 1996, which are subject to change based on 
       the terms of the security.

   *** On June 30, 1996, the composition of unrealized appreciation and (depreciation) of 
       investment securities based on the aggregate cost of investments for federal income tax 
       purposes was as follows:

<CAPTION>
                                                                                                        Federal Tax
                                                  Appreciation    (Depreciation)          Net               Cost
                                                 -------------    --------------     ------------     --------------
<S>                                               <C>              <C>               <C>              <C>
PCM Voyager Fund                                  $720,990,547     $(85,557,382)     $635,433,165     $2,145,405,661
PCM Global Growth Fund                             151,142,796      (19,111,589)      132,031,207        966,208,846
PCM Growth & Income Fund                           675,377,820      (46,783,767)      628,594,053      3,739,407,937
PCM Global Asset Allocation Fund                    65,766,748       (5,564,481)       60,202,267        565,669,941
PCM High Yield Fund                                 21,689,570      (17,279,311)        4,410,259        580,484,299
PCM U.S. Government and High Quality Bond Fund      11,575,386      (14,151,070)       (2,575,684)       731,241,611
PCM Utilities Growth & Income Fund                  64,366,651      (14,913,839)       49,452,812        520,144,882
PCM Diversified Income Fund                          7,556,491       (7,210,342)          346,149        429,302,229
PCM New Opportunities Fund                         239,860,369      (38,819,832)      201,040,537      1,010,665,116
PCM Asia Pacific Growth Fund                         4,616,555       (2,020,556)        2,595,999         92,883,401

The aggregate identified cost on a tax basis for PCM Money Market Fund is the same.

</TABLE>


<TABLE>
Putnam Capital Manager Trust
Statement of Assets and Liabilities

<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------
June 30,1996 (Unaudited)                                     PCM             PCM             PCM          PCM Global
                                                           Voyager      Global Growth     Growth and        Asset
                                                             Fund            Fund        Income Fund   Allocation Fund
- ----------------------------------------------------------------------------------------------------------------------
<S>                                                     <C>             C>              <C>               <C>
Assets
Investments in securities, at value (Note 1)            $2,780,838,826  $1,098,240,053  $4,368,001,990    $625,872,208
Cash                                                                --         366,574              --         371,251
Foreign currency, at value                                          --         343,172              --         712,948
Dividends, interest, and other receivables                   1,358,004       1,581,914      13,987,448       4,362,340
Receivables for shares of the fund sold                      4,714,164          58,745       4,495,272         206,326
Receivables for securities sold                             19,575,507       4,649,107       3,830,409      11,605,962
Receivables for open forward currency contracts                     --       7,505,212              --       1,024,926
Receivables for closed forward currency contracts                   --              --              --              --
Foreign tax reclaim                                             67,018       1,438,387              --         107,113
 ......................................................................................................................
Total assets                                             2,806,553,519   1,114,183,164   4,390,315,119     644,263,074
 ......................................................................................................................
Distributions payable to shareholders                               --              --              --              --
Payable to subcustodian (Note 2)                               547,937              --          26,435              --
Payable for variation margin                                        --              --              --         156,035
Payable for securities purchased                            38,804,641      14,020,860      18,672,290      14,292,743
Payable for shares of the fund repurchased                       4,514       1,040,055              --          52,785
Payable for compensation of Manager (Note 2)                 3,668,128       1,535,075       5,038,548         985,596
Payable for administrative services (Note 2)                     6,861           4,524          10,875           3,274
Payable for compensation of Trustees (Note 2)                    3,408              --           4,678           1,502
Payable for investor servicing and 
 custodian fees (Note 2)                                       400,679         283,369         363,376         161,849
Payable for open forward currency contracts                         --         852,038              --         527,487
Payable for closed forward currency contracts                       --              --              --         310,288
TBA sale commitments, at value
 (proceeds receivable $15,271,713)                                  --              --              --              --
Other accrued expenses                                          34,379         145,485          50,577          41,285
 ......................................................................................................................
Total liabilities                                           43,470,547      17,881,406      24,166,779      16,532,844
 ......................................................................................................................
Net assets                                              $2,763,082,972  $1,096,301,758  $4,366,148,340    $627,730,230
 ......................................................................................................................
Represented by:
Paid in Capital (Notes 1 and 4)                         $2,022,820,595    $920,664,040  $3,536,904,250    $534,394,675
Undistributed net investment income (Note 1)                $3,344,197       2,694,159      51,770,162       7,644,322
Accumulated net realized gain (loss) on investments
 and foreign currency transactions (Note 1)                101,485,015      33,154,144     142,059,627      23,917,803
Net unrealized appreciation (depreciation) of
 investments and assets and liabilities in
 foreign currencies                                        635,433,165     139,789,415     635,414,301      61,773,430
 ......................................................................................................................
Total--Representing net assets applicable to capital
 shares outstanding                                     $2,763,082,972  $1,096,301,758  $4,366,148,340    $627,730,230
 ......................................................................................................................
Computation of net asset value
Number of shares outstanding                                85,690,528      69,366,789     198,527,742      39,588,915
Net asset value, offering price and redemption
 price per share (net assets divided by number
 of shares outstanding)                                         $32.24          $15.80          $21.99          $15.86
 ......................................................................................................................
Cost of investments (Note 1)                            $2,145,405,661    $965,091,639  $3,732,589,877    $564,554,078
Cost of foreign currency (Note 1)                                   --         358,330              --         838,347
- ----------------------------------------------------------------------------------------------------------------------


Statement of Assets and Liabilities (CONTINUED)

<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------
                                                             PCM       PCM U.S. Governm      PCM        PCM Utilities
                                                          High Yield   and High Quality     Money         Growth and
                                                             Fund         Bond Fund      Market Fund     Income Fund
- ----------------------------------------------------------------------------------------------------------------------
<S>                                                       <C>             <C>             <C>             <C>
Assets
Investments in securities, at value (Note 1)              $584,894,558    $728,665,927    $359,502,365    $569,597,694
Cash                                                             1,966         404,642       4,768,425          27,814
Foreign currency, at value                                          --              --              --              --
Dividends, interest, and other receivables                   9,392,661      10,471,784         121,329       3,530,488
Receivables for shares of the fund sold                      1,664,816       6,201,876          83,895          77,908
Receivables for securities sold                              3,292,521              --              --      21,120,955
Receivables for open forward currency contracts                     --              --              --              --
Receivables for closed forward currency contracts                   --          24,938              --              --
Foreign tax reclaim                                                 --              --              --          12,847
 ......................................................................................................................
Total assets                                               599,246,522     745,769,167     364,476,014     594,367,706
 ......................................................................................................................
Liabilities
Distributions payable to shareholders                               --              --          97,978              --
Payable to subcustodian (Note 2)                                    --              --              --              --
Payable for variation margin                                        --              --              --              --
Payable for securities purchased                             8,748,718           8,770       4,997,633       5,950,931
Payable for shares of the fund repurchased                         104           9,122       2,387,591          11,214
Payable for compensation of Manager (Note 2)                   945,248       1,125,275         397,519         843,736
Payable for administrative services (Note 2)                     3,200           3,301           1,932           3,389
Payable for compensation of Trustees (Note 2)                    1,118           1,528              --           1,512
Payable for investor servicing and 
 custodian fees (Note 2)                                        36,972         107,767          63,879          87,394
Payable for open forward currency contracts                         --          15,382              --              --
Payable for closed forward currency contracts                       --              --              --              --
TBA sale commitments, at value
 (proceeds receivable $15,271,713)                                  --              --              --              --
Other accrued expenses                                          49,622          51,383          19,665          44,480
 ......................................................................................................................
Total liabilities                                            9,784,982       1,322,528       7,966,197       6,942,656
 ......................................................................................................................
Net assets                                                $589,461,540    $744,446,639    $356,509,817    $587,425,050
 ......................................................................................................................
Represented by:
Paid in Capital (Notes 1 and 4)                           $559,337,206    $733,956,909    $356,509,817    $506,289,516
Undistributed net investment income (Note 1)                24,991,277      23,695,330             --       11,900,193
Accumulated net realized gain (loss) on investments
 and foreign currency transactions (Note 1)                    512,729     (10,622,725)             --      19,738,520
Net unrealized appreciation (depreciation) of
 investments and assets and liabilities in
 foreign currencies                                          4,620,328      (2,582,875)             --      49,596,821
 ......................................................................................................................
Total--Representing net assets applicable to capital
 shares outstanding                                       $589,461,540    $744,446,639    $356,509,817    $587,525,050
 ......................................................................................................................
Computation of net asset value
Number of shares outstanding                                48,791,280      59,526,803     356,509,817      43,526,754
Net asset value, offering price and redemption
 price per share (net assets divided by number
 of shares outstanding)                                         $12.08          $12.51           $1.00          $13.50
 ......................................................................................................................
Cost of investments (Note 1)                              $580,274,230    $731,232,762    $359,502,365    $520,000,299
Cost of foreign currency (Note 1)                                   --              --              --              --
- ----------------------------------------------------------------------------------------------------------------------


Statement of Assets and Liabilities (CONTINUED)

<CAPTION>
- ------------------------------------------------------------------------------------------------------

                                                            PCM           PCM New         PCM Asia
                                                         Diversified    Opportunities   Pacific Growth
                                                         Income Fund         Fund            Fund
- ------------------------------------------------------------------------------------------------------
<S>                                                     <C>             <C>                <C>
Assets
Investments in securities, at value (Note 1)              $429,648,378  $1,211,705,653     $95,479,400
Cash                                                           188,396         262,755           6,228
Foreign currency, at value                                          --              --              --
Dividends, interest, and other receivables                   6,400,333         152,586          99,705
Receivables for shares of the fund sold                        283,376       2,343,022       1,025,889
Receivables for securities sold                             19,279,504       9,968,383         643,872
Receivables for open forward currency contracts                680,243              --         430,446
Receivables for closed forward currency contracts              408,322              --              --
Foreign tax reclaim                                                 --              --           5,339
 ......................................................................................................
Total assets                                               456,888,552   1,224,432,399      97,690,879
 ......................................................................................................
Liabilities
Distributions payable to shareholders                               --              --              --
Payable to subcustodian (Note 2)                                    --              --              --
Payable for variation margin                                        --              --              --
Payable for securities purchased                            47,650,543      17,205,370       4,810,708
Payable for shares of the fund repurchased                         159              --         112,239
Payable for compensation of Manager (Note 2)                   639,841       1,764,511         147,757
Payable for administrative services (Note 2)                     2,220           3,527              --
Payable for compensation of Trustees (Note 2)                       --             748              --
Payable for investor servicing and 
 custodian fees (Note 2)                                        71,955          96,782          30,444
Payable for open forward currency contracts                    971,755              --              --
Payable for closed forward currency contracts                1,016,471              --              --
TBA sale commitments, at value
 (proceeds receivable $15,271,713)                          15,413,416              --              --
Other accrued expenses                                          23,933          19,086          27,164
 ......................................................................................................
Total liabilities                                           65,790,293      19,090,024       5,128,312
 ......................................................................................................
Net assets                                                $391,098,259  $1,205,342,375     $92,562,567
 ......................................................................................................
Represented by:
Paid in Capital (Notes 1 and 4)                           $382,938,541  $1,008,042,980     $90,054,900
Undistributed net investment income (Note 1)                11,799,155        (521,761)       (191,630)
Accumulated net realized gain (loss) on investments
 and foreign currency transactions (Note 1)                 (3,827,928)     (3,700,258)       (352,007)
Net unrealized appreciation (depreciation) of
 investments and assets and liabilities in
 foreign currencies                                            188,492     201,521,414       3,051,304
 ......................................................................................................
Total--Representing net assets applicable to capital
 shares outstanding                                        $391,098,259  $1,205,342,375     $92,562,567
 ......................................................................................................
Computation of net asset value
Number of shares outstanding                                37,256,791      66,486,760       8,651,129
Net asset value, offering price and redemption
 price per share (net assets divided by number
 of shares outstanding)                                         $10.50          $18.13          $10.70
 ......................................................................................................
Cost of investments (Note 1)                              $429,017,062  $1,010,184,239     $92,858,027
Cost of foreign currency (Note 1)                                   --              --              --
- ------------------------------------------------------------------------------------------------------

</TABLE>

THE ACCOMPANYING NOTES ARE AN INTEGRAL. PART OF THESE FINANCIAL STATEMENTS


<TABLE>

Putnam Capital Manager Trust
Statement of Operations
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------
Six months ended June 30, 1996 (Unaudited)                   PCM             PCM             PCM          PCM Global
                                                           Voyager       Global Growth   Growth and         Asset
                                                             Fund            Fund        Income Fund   Allocation Fund
- ----------------------------------------------------------------------------------------------------------------------
<S>                                                        <C>             <C>             <C>              <C>
Investment income:
Dividends                                                   $8,957,480     $11,019,586     $57,761,629      $3,835,900
Interest                                                     2,399,668       1,596,002       8,055,107       7,459,045
Less: foreign taxes withheld                                  (246,004)       (677,725)       (317,508)        (85,057)
 ......................................................................................................................
Total investment income                                     11,111,144      11,937,863      65,499,228      11,209,888
 ......................................................................................................................
Expenses:
Compensation of Manager (Note 2)                             6,760,948       2,864,024       9,457,725       1,936,234
Investor servicing and custodian fees (Note 2)                 582,874         511,716         613,256         283,197
Compensation of Trustees (Note 2)                               27,229          12,988          44,916           8,303
Administrative services (Note 2)                                13,522           8,138          21,394           4,982
Auditing                                                        13,859          20,444          17,189          14,179
Legal                                                           19,445           7,026          28,588          22,032
Other                                                            9,884          89,253          65,106          28,394
 ......................................................................................................................
Total expenses                                               7,427,761       3,513,589      10,248,174       2,297,321
 ......................................................................................................................
Expense Reduction (Note 2)                                     (84,563)        (49,294)       (117,367)         (7,284)
Net Expenses                                                 7,343,198       3,464,295      10,130,807       2,290,037
 ......................................................................................................................
Net investment income                                        3,767,946       8,473,568      55,368,421       8,919,851
 ......................................................................................................................
Net realized gain (loss) on investments
 (Notes 1 and 3)                                           116,885,642      23,400,578     155,581,705      24,102,434
Net realized gain (loss) on futures contracts
 (Notes 1 and 3)                                                    --              --              --         572,494
Net realized gain (loss) on written options
  (Notes 1 and 3)                                                   --              --              --              --
Net realized gain (loss) on forward currency
 contracts and foreign currency translation (Note 1)                --      12,356,789              --       1,434,103
Net unrealized appreciation (depreciation) on
 forward currency contracts and foreign currency
 translation during the period                                      --        (963,401)          2,188        (249,130)
Net unrealized appreciation (depreciation) of
 investments, written options, futures, and TBA
 sale commitments during the period                        138,146,721      44,680,294     114,537,736         532,623
 ......................................................................................................................
Net gain (loss) on investments                             255,032,363      79,474,260     270,121,629      26,392,524
 ......................................................................................................................
Net increase (decrease) in net assets resulting
 from operations                                          $258,800,309     $87,947,828    $325,490,050     $35,312,375
- ----------------------------------------------------------------------------------------------------------------------


Statement of Operations (Continued)
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------
                                                                            PCM US
                                                             PCM          Government         PCM        PCM Utilities
                                                          High Yield   and High Quality     Money         Growth and
                                                             Fund         Bond Fund      Market Fund      Income Fund
- ----------------------------------------------------------------------------------------------------------------------
<S>                                                        <C>             <C>             <C>             <C>
Investment income:
Dividends                                                  $   801,190     $        --      $       --     $11,109,579
Interest                                                    26,483,866      26,480,580       8,694,197       3,250,871
Less: foreign taxes withheld                                        --              --              --        (103,000)
 ......................................................................................................................
Total investment income                                     27,285,056      26,480,580       8,694,197      14,257,450
 ......................................................................................................................
Expenses:
Compensation of Manager (Note 2)                             1,847,885       2,270,865         720,001       1,662,579
Investor servicing and custodian fees (Note 2)                 137,318         210,946          93,918         161,999
Compensation of Trustees (Note 2)                                9,843          11,639           5,632          12,436
Administrative services (Note 2)                                 6,292           6,440           3,353           7,659
Auditing                                                        13,412          15,099          16,210           8,244
Legal                                                           13,044           8,116           8,131           6,531
Other                                                           31,313           4,621           1,680          32,519
 ......................................................................................................................
Total expenses                                               2,059,107       2,527,726         848,925       1,891,967
 ......................................................................................................................
Expense Reduction (Note 2)                                     (60,891)        (36,873)           (315)        (40,296)
Net Expenses                                                 1,998,216       2,490,853         848,610       1,851,671
 ......................................................................................................................
Net investment income                                       25,286,840      23,989,727       7,845,587      12,405,779
 ......................................................................................................................
Net realized gain (loss) on investments
 (Notes 1 and 3)                                             7,497,554        (859,674)             --      24,824,804
Net realized gain (loss) on futures contracts
 (Notes 1 and 3)                                                    --        (338,249)             --              --
Net realized gain (loss) on written options
  (Notes 1 and 3)                                                   --              --              --              --
Net realized gain (loss) on forward currency
 contracts and foreign currency translation (Note 1)                --         926,019              --          (1,487)
Net unrealized appreciation (depreciation) on
 forward currency contracts and foreign currency
 translation during the period                                      --         216,829              --            (874)
Net unrealized appreciation (depreciation) of
 investments, written options, futures, and TBA
 sale commitments during the period                         (5,963,603)    (47,036,955)             --      (6,314,617)
 ......................................................................................................................
Net gain (loss) on investments                               1,533,951     (47,092,030)             --      18,507,826
 ......................................................................................................................
Net increase (decrease) in net assets resulting
 from operations                                           $26,820,791    ($23,102,303)     $7,845,587     $30,913,605
- ----------------------------------------------------------------------------------------------------------------------




Statement of Operations (Continued)
<CAPTION>
- ------------------------------------------------------------------------------------------------------
                                                             PCM           PCM New         PCM Asia
                                                         Diversified    Opportunities   Pacific Growth
                                                         Income Fund         Fund            Fund
- ------------------------------------------------------------------------------------------------------
<S>                                                         <C>             <C>             <C>
Investment income:
Dividends                                                  $   304,112    $    500,494      $  560,765
Interest                                                    14,195,074       1,984,272         177,963
Less: foreign taxes withheld                                   (51,313)         (5,040)        (59,832)
 ......................................................................................................
Total investment income                                     14,447,873       2,479,726         678,896
 ......................................................................................................
Expenses:
Compensation of Manager (Note 2)                             1,205,082       2,812,088         234,486
Investor servicing and custodian fees (Note 2)                 152,858         223,910          92,058
Compensation of Trustees (Note 2)                                7,701          10,128             781
Administrative services (Note 2)                                 4,335           7,064           2,497
Auditing                                                        14,825          11,460          14,888
Legal                                                            3,092           7,934           2,416
Other                                                            1,844           6,886           7,170
 ......................................................................................................
Total expenses                                               1,389,737       3,079,470         354,296
 ......................................................................................................
Expense Reduction (Note 2)                                     (57,868)        (77,983)        (30,778)
Net Expenses                                                 1,331,869       3,001,487         323,518
 ......................................................................................................
Net investment income                                       13,116,004        (512,761)        355,378
 ......................................................................................................
Net realized gain (loss) on investments
 (Notes 1 and 3)                                            (2,395,281)     (1,463,748)       (442,771)
Net realized gain (loss) on futures contracts
 (Notes 1 and 3)                                                    --              --              --
Net realized gain (loss) on written options
  (Notes 1 and 3)                                               65,000              --              --
Net realized gain (loss) on forward currency
 contracts and foreign currency translation (Note 1)           182,670              --         371,801
Net unrealized appreciation (depreciation) on
 forward currency contracts and foreign currency
 translation during the period                                 (77,593)             --         132,387
Net unrealized appreciation (depreciation) of
 investments, written options, futures, and TBA
 sale commitments during the period                         (6,130,513)    107,972,562       2,274,846
 ......................................................................................................
Net gain (loss) on investments                              (8,355,717)    106,508,814       2,336,263
 ......................................................................................................
Net increase (decrease) in net assets resulting
 from operations                                           $ 4,760,287    $105,987,053      $2,691,641
- ------------------------------------------------------------------------------------------------------
</TABLE>

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS



<TABLE>
PUTNAM CAPITAL MANAGER TRUST
Statement of Changes in Net Assets
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------------

                                                            PCM Voyager Fund                   PCM Global Growth Fund
- ----------------------------------------------------------------------------------------------------------------------------
                                                    Six months ended     Year ended       Six months ended     Year ended
                                                         June 30         December 31          June 30         December 31
                                                          1996*              1995              1996*              1995
- ----------------------------------------------------------------------------------------------------------------------------
<S>                                                  <C>               <C>               <C>                 <C>
Increase (decrease) in net assets
Operations:
Net investment income (loss)                         $    3,767,946    $    7,023,583    $    8,473,568      $ 10,726,278
Net realized gain (loss) on investment and
 foreign currency transactions                          116,885,642       111,497,412        35,757,367        27,182,770
Net unrealized appreciation (depreciation)
 of investments and assets and
liabilities in foreign currencies                       138,146,721       371,780,860        43,716,893        70,328,980
 ............................................................................................................................
Net increase (decrease) in net assets
 resulting from operations                              258,800,309       490,301,855        87,947,828       108,238,028
 ............................................................................................................................
Distributions to shareholders:
 From net investment income                              (7,267,675)       (3,305,106)      (15,171,883)       (5,241,911)
 From net realized gain on investments                 (123,042,650)      (24,368,992)      (33,603,349)      (12,181,203)
 In excess of net realized gain                                  --                --                --                --
 Return of capital                                               --                --                --                --
Increase (decrease) from capital share
 transactions (Note 4)                                  634,360,608       510,632,179       225,536,145        70,957,272
 ............................................................................................................................
Total increase (decrease) in net assets                 762,850,592       973,259,936       264,708,741       161,772,186
 ............................................................................................................................
Net assets:
Beginning of period                                   2,000,232,380     1,026,972,444       831,593,017       669,820,831
 ............................................................................................................................
End of period                                        $2,763,082,972    $2,000,232,380    $1,096,301,758      $831,593,017
 ............................................................................................................................
Undistributed net investment income, end
 of period                                           $    3,344,197    $    6,843,926    $    2,694,159      $  9,392,474
- ----------------------------------------------------------------------------------------------------------------------------



Statement of Changes in Net Assets (Continued)
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------------

                                                      PCM Growth and Income Fund          PCM Global Asset Allocation Fund
- ----------------------------------------------------------------------------------------------------------------------------
                                                    Six months ended     Year ended      Six months ended     Year ended
                                                         June 30         December 31          June 30         December 31
                                                          1996*              1995              1996*              1995
- ----------------------------------------------------------------------------------------------------------------------------
<S>                                                  <C>               <C>               <C>                 <C>
Increase (decrease) in net assets
Operations:
Net investment income (loss)                         $   55,368,421    $   84,127,619      $  8,919,851      $ 15,376,527
Net realized gain (loss) on investment and
 foreign currency transactions                          155,581,705       149,378,098        26,109,031        30,375,882
Net unrealized appreciation (depreciation)
 of investments and assets and
liabilities in foreign currencies                       114,539,924       540,953,657           283,493        56,425,021
 ............................................................................................................................
Net increase (decrease) in net assets
 resulting from operations                               325,490,050       774,459,374        35,312,375       102,177,430
 ............................................................................................................................
Distributions to shareholders:
 From net investment income                             (86,191,139)      (61,294,430)      (15,253,707)       (7,825,970)
 From net realized gain on investments                 (150,161,126)      (34,820,960)      (28,669,963)               --
 In excess of net realized gain                                  --                --                --                --
 Return of capital                                               --                --                --                --
Increase (decrease) from capital share
 transactions (Note 4)                                  964,704,451       726,581,767       100,675,145        27,092,126
 ............................................................................................................................
Total increase (decrease) in net assets               1,053,842,236     1,404,925,751        92,063,850       121,443,586
 ............................................................................................................................
Net assets:
Beginning of period                                   3,312,306,104     1,907,380,353       535,666,380       414,222,794
 ............................................................................................................................
End of period                                        $4,366,148,340    $3,312,306,104      $627,730,230      $535,666,380
 ............................................................................................................................
Undistributed net investment income, end
 of period                                           $   51,770,162    $   82,592,880      $  7,644,322      $ 13,978,178
- ----------------------------------------------------------------------------------------------------------------------------


Statement of Changes in Net Assets (Continued)
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------------
                                                                                          PCM U.S. Government and High
                                                          PCM High Yield Fund                   Quality  Bond Fund
- ----------------------------------------------------------------------------------------------------------------------------
                                                     Six months ended    Year ended      Six months ended     Year ended
                                                        June 30          December 31          June 30         December 31
                                                          1996*              1995              1996*              1995
- ----------------------------------------------------------------------------------------------------------------------------
<S>                                                    <C>               <C>               <C>               <C>
Increase (decrease) in net assets
Operations:
Net investment income (loss)                           $ 25,286,840      $ 39,168,582      $ 23,989,727      $ 42,109,222
Net realized gain (loss) on investment and
 foreign currency transactions                            7,497,554        (3,056,512)         (271,904)       20,343,716
Net unrealized appreciation (depreciation)
 of investments and assets and
 liabilities in foreign currencies                       (5,963,603)       32,473,048       (46,820,126)       62,812,274
 ............................................................................................................................
Net increase (decrease) in net assets
 resulting from operations                                26,820,791       68,585,118       (23,102,303)      125,265,212
 ............................................................................................................................
Distributions to shareholders:
 From net investment income                             (37,899,438)      (32,248,315)      (45,290,231)      (42,687,165)
 From net realized gain on investments                           --                --                --                --
 In excess of net realized gain                                  --                --                --                --
 In excess of net realized gain                                  --                --                --                --
Increase (decrease) from capital share
 transactions (Note 4)                                  102,073,035       135,010,928        65,815,059        23,988,472
 ............................................................................................................................
Total increase (decrease) in net assets                  90,994,388       171,347,731        (2,577,475)      106,566,519
 ............................................................................................................................
Net assets:
Beginning of period                                     498,467,152       327,119,421       747,024,114       640,457,595
 ............................................................................................................................
End of period                                          $589,461,540      $498,467,152      $744,446,639      $747,024,114
 ............................................................................................................................
Undistributed net investment income, end
 of period                                             $ 24,991,277      $ 37,603,875      $ 23,695,330      $ 44,995,834
- ----------------------------------------------------------------------------------------------------------------------------


Statement of Changes in Net Assets (Continued)
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------------
                                                                PCM Money                        PCM Utilities Growth
                                                               Market Fund                         and Income Fund
- ----------------------------------------------------------------------------------------------------------------------------
                                                     Six months ended      Year ended     Six months ended      Year ended
                                                         June 30          December 31         June 30           December 31
                                                          1996*              1995              1996*              1995
- ----------------------------------------------------------------------------------------------------------------------------
<S>                                                    <C>               <C>               <C>               <C>
Increase (decrease) in net assets
Operations:
Net investment income (loss)                           $  7,845,587      $ 12,801,231      $ 12,405,779      $ 20,963,802
Net realized gain (loss) on investment and
 foreign currency transactions                                   --                --        24,823,317         8,862,877
Net unrealized appreciation (depreciation)
 of investments and assets and
 liabilities in foreign currencies                               --                --        (6,315,491)       90,894,818
 ............................................................................................................................
Net increase (decrease) in net assets
 resulting from operations                                7,845,587        12,801,231         30,913,605       120,721,497
 ............................................................................................................................
Distributions to shareholders:
 From net investment income                              (7,845,587)      (12,801,231)      (21,053,914)      (20,768,768)
 From net realized gain on investments                           --                --                --                --
 In excess of net realized gain                                  --                --                --                --
 In excess of net realized gain                                  --                --                --                --
Increase (decrease) from capital share                                                                                   
 transactions (Note 4)                                   93,296,518        19,149,356        47,204,673        46,338,634
 ............................................................................................................................
Total increase (decrease) in net assets                  93,296,518        19,149,356        57,064,364       146,291,363
 ............................................................................................................................
Net assets:
Beginning of period                                     263,213,299       244,063,943       530,460,686       384,169,323
 ............................................................................................................................
End of period                                          $356,509,817      $263,213,299      $587,525,050      $530,460,686
 ............................................................................................................................
Undistributed net investment income, end
 of period                                             $         --      $         --      $ 11,900,193      $ 20,548,328
- ----------------------------------------------------------------------------------------------------------------------------


Statement of Changes in Net Assets (Continued)
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------------

                                                        PCM Diversified Income Fund         PCM New Opportunities Fund
- ----------------------------------------------------------------------------------------------------------------------------
                                                      Six months ended     Year ended     Six months ended     Year ended
                                                          June 30         December 31         June 30         December 31
                                                           1996*              1995             1996*              1995
- ----------------------------------------------------------------------------------------------------------------------------
<S>                                                    <C>               <C>             <C>                 <C>
Increase (decrease) in net assets
Operations:
Net investment income (loss)                           $ 13,116,004      $ 19,521,438    $     (521,761)     $    (63,494)
Net realized gain (loss) on investment and
 foreign currency transactions                           (2,147,611)        6,168,362        (1,463,748)       (2,173,197)
Net unrealized appreciation (depreciation)
 of investments and assets and
 liabilities in foreign currencies                        6,208,106        17,173,203       107,972,562        90,775,571
 ............................................................................................................................
Net increase (decrease) in net assets
 resulting from operations                                4,760,287        42,863,003       105,987,053        88,538,880
 ............................................................................................................................
Distributions to shareholders:
 From net investment income                             (20,930,328)      (11,017,722)               --            (7,784)
 From net realized gain on investments                           --                --                --          (208,404)
 In excess of net realized gain                                  --                --                --           (63,823)
 In excess of net realized gain                                  --                --                --           (73,542)
Increase (decrease) from capital share                                             --
 transactions (Note 4)                                  103,547,507        55,940,183       584,246,698       358,331,301
 ............................................................................................................................
Total increase (decrease) in net assets                  87,377,466        87,785,464       690,233,751       446,516,628
 ............................................................................................................................
Net assets:
Beginning of period                                     303,720,793       215,935,329       515,108,624        68,591,996
 ............................................................................................................................
End of period                                          $391,098,259      $303,720,793    $1,205,342,375      $515,108,624
 ............................................................................................................................
Undistributed net investment income, end
 of period                                             $ 11,799,156      $ 19,613,479    $     (521,761)     $         --
- ----------------------------------------------------------------------------------------------------------------------------


Statement of Changes in Net Assets (Continued)
<CAPTION>
- ----------------------------------------------------------------------------------------

                                                         PCM Asia Pacific  Growth Fund
- ----------------------------------------------------------------------------------------
                                                       Six months ended     Year ended
                                                           June 30          December 31
                                                            1996*             1995**
- ----------------------------------------------------------------------------------------
<S>                                                     <C>               <C>
Increase (decrease) in net assets
Operations:
Net investment income (loss)                            $   355,378       $    90,233
Net realized gain (loss) on investment and
 foreign currency transactions                              (70,970)         (151,962)
Net unrealized appreciation (depreciation)
 of investments and assets and
 liabilities in foreign currencies                        2,407,233           644,071
 ........................................................................................
Net increase (decrease) in net assets
 resulting from operations                                2,691,641            582,342
 ........................................................................................
Distributions to shareholders:
 From net investment income                                (807,399)               --
 From net realized gain on investments                           --                --
 In excess of net realized gain                                  --                --
 In excess of net realized gain                                  --                --
Increase (decrease) from capital share
 transactions (Note 4)                                   65,633,712        24,462,271
 ........................................................................................
Total increase (decrease) in net assets                  67,517,954        25,044,613
 ........................................................................................
Net assets:
Beginning of period                                      25,044,613                --
 ........................................................................................
End of period                                           $92,562,567       $25,044,613
 ........................................................................................
Undistributed net investment income, end
 of period                                              $  (191,630)      $   260,391
- ----------------------------------------------------------------------------------------

*  Unaudited.

**From May 1, 1995 (commencement of operations) to December 31, 1996

THE ACCOMPANYING NOTES ARE AN INTEGRAL PART OF THESE FINANCIAL STATEMENTS.

</TABLE>


PUTNAM CAPITAL MANAGER TRUST
Financial Highlights

<TABLE>
<CAPTION>
- -------------------------------------------------------------------------------------------------------------
                                                                Investment Operations
                                                                              Net
                                                                              Realized and
                                                                              Unrealized
                                      Net Asset Value,      Net               Gain (Loss)       Total from
                                      Beginning of          Investment        on                Investment
Period ended                          Period                Income            Investments       Operations
- -------------------------------------------------------------------------------------------------------------
PCM Voyager Fund
<S>                                         <C>              <C>                 <C>             <C>
June 30, 1996+                              $30.50           $   .04             $3.51           $  3.55
December 31, 1995                            22.20               .10              8.76              8.86
December 31, 1994                            22.41               .07               .14               .21
December 31, 1993                            19.21               .04              3.50              3.54
December 31, 1992                            17.94               .07              1.72              1.79
December 31, 1991                            12.58            .11(a)              5.61              5.72
 .............................................................................................................
PCM Global Growth Fund
June 30, 1996+                              $15.18           $   .12             $1.32           $  1.44
December 31, 1995                            13.48               .20              1.85              2.05
December 31, 1994                            13.68               .13              (.26)             (.13)
December 31, 1993                            10.48               .08              3.28              3.36
December 31, 1992                            10.61               .10              (.14)             (.04)
December 31, 1991                             9.32               .11              1.28              1.39
 .............................................................................................................
PCM Growth and Income Fund
June 30, 1996+                              $21.47           $   .24             $1.68           $  1.92
December 31, 1995                            16.44               .53              5.31              5.84
December 31, 1994                            17.38               .50              (.48)              .02
December 31, 1993                            15.93               .38              1.83              2.21
December 31, 1992                            15.33               .39              1.04              1.43
December 31, 1991                            13.51               .43              2.09              2.52
 .............................................................................................................
PCM Global Asset Allocation Fun
June 30, 1996+                              $16.15           $   .21             $ .77            $  .98
December 31, 1995                            13.19               .47              2.74              3.21
December 31, 1994                            14.29               .35              (.71)             (.36)
December 31, 1993                            12.92               .30              1.87              2.17
December 31, 1992                            12.77               .35               .41               .76
December 31, 1991                            11.28               .45              1.64              2.09
 .............................................................................................................
PCM High Yield Fund
June 30, 1996+                              $12.37           $   .49             $ .13            $  .62
December 31, 1995                            11.46               .91              1.05              1.96
December 31, 1994                            12.53              1.05             (1.17)             (.12)
December 31, 1993                            11.17               .73              1.37              2.10
December 31, 1992                            10.12              1.26               .59              1.85
December 31, 1991                             7.91               .85              2.47              3.32
 .............................................................................................................
PCM U.S. Government and High
Quality Bond Fund
June 30, 1996+                              $13.74           $   .39             $(.80)           $ (.41)
December 31, 1995                            12.22               .81              1.56              2.37
December 31, 1994                            13.53               .81             (1.24)             (.43)
December 31, 1993                            12.85               .63               .78              1.41
December 31, 1992                            12.57               .60               .28               .88
December 31, 1991                            11.36               .56              1.31              1.87
 .............................................................................................................
PCM Money Market Fund
June 30, 1996+                              $ 1.00           $ .0243             $  --            $.0243
December 31, 1995                             1.00             .0533                --             .0533
December 31, 1994                             1.00             .0377                --             .0377
December 31, 1993                             1.00             .0276                --             .0276
December 31, 1992                             1.00             .0352                --             .0352
December 31, 1991                             1.00             .0575             .0001             .0576
 .............................................................................................................
PCM Utilities Growth and
Income Fund
June 30, 1996+                              $13.28           $   .27             $ .46            $  .73
December 31, 1995                            10.68               .53              2.65              3.18
December 31, 1994                            12.00               .60             (1.44)             (.84)
December 31, 1993                            10.71               .30              1.13              1.43
December 31, 1992*                           10.00               .15(b)            .56               .71
 .............................................................................................................
PCM Diversified Income Fund
June 30, 1996+                              $11.03            $  .28             $(.14)           $  .14
December 31, 1995                             9.74               .71              1.09              1.80
December 31, 1994                            10.23               .61             (1.04)             (.43)
December 31, 1993**                          10.00               .06               .17              0.23
 .............................................................................................................
PCM New Opportunities Fund
June 30, 1996+                              $15.63            $ (.01)            $2.51             $2.50
December 31, 1995                            10.82                --              4.84              4.84
December 31, 1994***                         10.00                --(b)            .82               .82
 .............................................................................................................
PCM Asia Pacific Growth
Fund
June 30, 1996+                              $10.23            $  .02             $ .60             $ .62
December 31, 1995****                        10.00               .06(a)(b)         .17               .23
- -------------------------------------------------------------------------------------------------------------


Financial Highlights (Continued)
<CAPTION>
- -------------------------------------------------------------------------------------------------------------
                                                                Less Distributions
                                                            From               In Excess
                                          From              Net                of Net
                                          Net               Realized           Realized            Return
                                          Investment        Gain on            Gain on             of
Period ended                              Income            Investments        Investments         Capital
- -------------------------------------------------------------------------------------------------------------
PCM Voyager Fund
<S>                                       <C>                 <C>                  <C>              <C>
June 30, 1996+                            $   (.10)           $(1.71)              $--               $--
December 31, 1995                             (.07)             (.49)               --                --
December 31, 1994                             (.05)             (.37)               --                --
December 31, 1993                             (.07)             (.27)               --                --
December 31, 1992                             (.08)             (.44)               --                --
December 31, 1991                             (.12)             (.24)               --                --
 .............................................................................................................
PCM Global Growth Fund
June 30, 1996+                            $   (.25)           $ (.57)              $--               $--
December 31, 1995                             (.11)             (.24)               --                --
December 31, 1994                             (.05)             (.02)               --                --
December 31, 1993                             (.16)               --                --                --
December 31, 1992                             (.09)               --                --                --
December 31, 1991                             (.10)               --                --                --
 .............................................................................................................
PCM Growth and Income Fund
June 30, 1996+                            $   (.51)           $ (.89)              $--               $--
December 31, 1995                             (.51)             (.30)               --                --
December 31, 1994                             (.38)             (.58)               --                --
December 31, 1993                             (.39)             (.37)               --                --
December 31, 1992                             (.42)             (.41)               --                --
December 31, 1991                             (.53)             (.17)               --                --
 .............................................................................................................
PCM Global Asset Allocation Fund
June 30, 1996+                            $   (.44)           $ (.83)              $--               $--
December 31, 1995                             (.25)               --                --                --
December 31, 1994                             (.29)             (.43)             (.02)               --
December 31, 1993                             (.55)             (.25)               --                --
December 31, 1992                             (.42)             (.19)               --                --
December 31, 1991                             (.54)             (.06)               --                --
 .............................................................................................................
PCM High Yield Fund
June 30, 1996+                            $   (.91)             $ --               $--               $--
December 31, 1995                            (1.05)               --                --                --
December 31, 1994                             (.79)             (.14)             (.02)               --
December 31, 1993                             (.74)               --                --                --
December 31, 1992                             (.80)               --                --                --
December 31, 1991                            (1.11)               --                --                --
 .............................................................................................................
PCM U.S. Government and High
Quality Bond Fund
June 30, 1996+                            $   (.82)            $  --               $--               $--
December 31, 1995                             (.85)               --                --                --
December 31, 1994                             (.66)             (.22)               --                --
December 31, 1993                             (.61)             (.12)               --                --
December 31, 1992                             (.54)             (.06)               --                --
December 31, 1991                             (.66)               --                --                --
 .............................................................................................................
PCM Money Market Fund
June 30, 1996+                             $(.0243)            $  --               $--               $--
December 31, 1995                           (.0533)               --                --                --
December 31, 1994                           (.0377)               --                --                --
December 31, 1993                           (.0276)               --                --                --
December 31, 1992                           (.0352)               --                --                --
December 31, 1991                           (.0575)           (.0001)               --                --
 .............................................................................................................
PCM Utilities Growth and
Income Fund
June 30, 1996+                            $   (.51)             $ --               $--               $--
December 31, 1995                             (.58)               --                --                --
December 31, 1994                             (.35)             (.12)             (.01)               --
December 31, 1993                             (.12)             (.02)               --                --
December 31, 1992*                              --                --                --                --
 .............................................................................................................
PCM Diversified Income Fund
June 30, 1996+                               $(.67)              $--               $--               $--
December 31, 1995                             (.51)               --                --                --
December 31, 1994                             (.06)               --                --                --
December 31, 1993**                             --                --                --                --
 .............................................................................................................
PCM New Opportunities Fund
June 30, 1996+                                $ --               $--               $--               $--
December 31, 1995                               --              (.02)               --              (.01)
December 31, 1994***                            --                --                --                --
 .............................................................................................................
PCM Asia Pacific Growth
Fund
June 30, 1996+                               $(.15)              $--               $--               $--
December 31, 1995****                           --                --                --                --
- -------------------------------------------------------------------------------------------------------------


Financial Highlights (Continued)

<CAPTION>
- -------------------------------------------------------------------------------------------------------------
                                                                             Total
                                                                             Investment
                                                                             Return at         Net Assets,
                                        Total             Net Asset Value,   Net Asset         End of Period
Period ended                            Distributions     End of Period      Value (%)(c)      (in thousands)
- -------------------------------------------------------------------------------------------------------------
PCM Voyager Fund
<S>                                       <C>                 <C>                <C>            <C>
June 30, 1996+                            $  (1.81)           $32.24             11.96(d)       $2,763,083
December 31, 1995                             (.56)            30.50             40.67           2,000,232
December 31, 1994                             (.42)            22.20              1.04           1,026,972
December 31, 1993                             (.34)            22.41             18.70             675,198
December 31, 1992                             (.52)            19.21             10.36             317,225
December 31, 1991                             (.36)            17.94             46.09             156,741
 .............................................................................................................
PCM Global Growth Fund
June 30, 1996+                            $   (.82)           $15.80              9.71(d)       $1,096,302
December 31, 1995                             (.35)            15.18             15.67             831,593
December 31, 1994                             (.07)            13.48              (.96)            669,821
December 31, 1993                             (.16)            13.68             32.40             352,786
December 31, 1992                             (.09)            10.48              (.36)             86,854
December 31, 1991                             (.10)            10.61             15.01              40,183
 .............................................................................................................
PCM Growth and Income Fund
June 30, 1996+                            $  (1.40)           $21.99              9.16(d)       $4,366,148
December 31, 1995                             (.81)            21.47             36.71           3,312,306
December 31, 1994                             (.96)            16.44               .35           1,907,380
December 31, 1993                             (.76)            17.38             14.27           1,407,382
December 31, 1992                             (.83)            15.93              9.75             641,508
December 31, 1991                             (.70)            15.33             19.05             325,861
 .............................................................................................................
PCM Global Asset Allocation Fund
June 30, 1996+                            $  (1.27)           $15.86              6.30(d)       $  627,730
December 31, 1995                             (.25)            16.15             24.71             535,666
December 31, 1994                             (.74)            13.19             (2.50)            414,223
December 31, 1993                             (.80)            14.29             17.48             297,307
December 31, 1992                             (.61)            12.92              6.29             134,667
December 31, 1991                             (.60)            12.77             19.02              82,071
 .............................................................................................................
PCM High Yield Fund
June 30, 1996+                            $   (.91)           $12.08              5.15(d)        $ 589,462
December 31, 1995                            (1.05)            12.37             18.32             498,467
December 31, 1994                             (.95)            11.46              (.94)            327,119
December 31, 1993                             (.74)            12.53             19.57             291,737
December 31, 1992                             (.80)            11.17             18.98             118,804
December 31, 1991                            (1.11)            10.12             44.83              42,823
 .............................................................................................................
PCM U.S. Government and High
Quality Bond Fund
June 30, 1996+                            $   (.82)           $12.51            (3.01)(d)       $  744,447
December 31, 1995                             (.85)            13.74             20.44             747,024
December 31, 1994                             (.88)            12.22             (3.23)            640,458
December 31, 1993                             (.73)            13.53             11.28             735,386
December 31, 1992                             (.60)            12.85              7.49             435,906
December 31, 1991                             (.66)            12.57             17.28             229,306
 .............................................................................................................
PCM Money Market Fund
June 30, 1996+                             $(.0243)          $  1.00              2.46(d)       $  356,510
December 31, 1995                           (.0533)             1.00              5.46             263,213
December 31, 1994                           (.0377)             1.00              3.82             244,064
December 31, 1993                           (.0276)             1.00              2.79             129,329
December 31, 1992                           (.0352)             1.00              3.57             105,694
December 31, 1991                           (.0576)             1.00              5.92              78,568
 .............................................................................................................
PCM Utilities Growth and
Income Fund
June 30, 1996+                            $   (.51)           $13.50              5.63(d)       $  587,525
December 31, 1995                             (.58)            13.28             31.08             530,461
December 31, 1994                             (.48)            10.68             (7.02)            384,169
December 31, 1993                             (.14)            12.00             13.42             443,281
December 31, 1992*                              --             10.71              7.10(d)           83,522
 .............................................................................................................
PCM Diversified Income Fund
June 30, 1996+                              $  .67            $10.50              1.38(d)       $  391,098
December 31, 1995                             (.51)            11.03             19.13             303,721
December 31, 1994                             (.06)             9.74             (4.23)            215,935
December 31, 1993**                             --             10.23              2.30(d)           80,449
 .............................................................................................................
PCM New Opportunities Fund
June 30, 1996+                              $   --            $18.13             15.99(d)       $1,205,342
December 31, 1995                             (.03)            15.63             44.87             515,109
December 31, 1994***                            --             10.82              8.20(d)           68,592
 .............................................................................................................
PCM Asia Pacific Growth
Fund
June 30, 1996+                              $ (.15)           $10.70              6.03(d)       $   92,563
December 31, 1995****                           --             10.23              2.30(d)           25,045
- -------------------------------------------------------------------------------------------------------------

Financial Highlights (C0ntinued)

<CAPTION>
- -------------------------------------------------------------------------------------------------------------
                                                            Ratio of Net
                                          Ratio of          Investment
                                          Expenses          Income to                           Average
                                          to Average Net    Average Net      Portfolio          commission rate
Period ended                              Assets(%)(e)      Assets(%)        Turnover(%)        paid (f)
- -------------------------------------------------------------------------------------------------------------
PCM Voyager Fund
<S>                                            <C>               <C>             <C>                 <C>
June 30, 1996+                                 .31(d)            .16(d)          31.27(d)            $.0536
December 31, 1995                              .68               .49             57.51
December 31, 1994                              .71               .40             62.44
December 31, 1993                              .66               .33             55.85
December 31, 1992                              .75               .56             48.17
December 31, 1991                              .81               .78             55.04
 .............................................................................................................
PCM Global Growth Fund
June 30, 1996+                                 .37(d)            .88(d)          37.67(d)            $.0336
December 31, 1995                              .75              1.49             82.53
December 31, 1994                              .77              1.21             41.55
December 31, 1993                              .75              1.38             47.00
December 31, 1992                              .85              1.82             59.68
December 31, 1991                              .99              2.01             48.67
 .............................................................................................................
PCM Growth and Income Fund
June 30, 1996+                                 .27(d)           1.44(d)          20.79(d)            $.0523
December 31, 1995                              .57              3.34             50.87
December 31, 1994                              .62              3.64             46.43
December 31, 1993                              .64              3.49             62.63
December 31, 1992                              .69              3.79             39.58
December 31, 1991                              .72              4.37             37.94
 .............................................................................................................
PCM Global Asset Allocation Fund
June 30, 1996+                                 .40(d)           1.54(d)          91.72(d)            $.0482
December 31, 1995                              .84              3.31            150.88
December 31, 1994                              .76              3.19            150.21
December 31, 1993                              .72              3.28            192.48
December 31, 1992                              .79              3.84            141.87
December 31, 1991                              .87              4.55             77.31
 .............................................................................................................
PCM High Yield Fund
June 30, 1996+                                 .38(d)           4.67(d)          28.00(d)
December 31, 1995                              .79              9.42             69.78
December 31, 1994                              .74              9.79             62.09
December 31, 1993                              .67              9.88             85.59
December 31, 1992                              .71             11.53             84.24
December 31, 1991                              .92             12.64            104.62
 .............................................................................................................
PCM U.S. Government and High
Quality Bond Fund
June 30, 1996+                                 .34(d)           3.24(d)          98.46(d)
December 31, 1995                              .70              6.22            149.18
December 31, 1994                              .67              6.24            118.34
December 31, 1993                              .64              6.16             94.01
December 31, 1992                              .70              6.98             45.82
December 31, 1991                              .74              7.57             59.29
 .............................................................................................................
PCM Money Market Fund
June 30, 1996+                                 .26(d)           2.44(d)             --
December 31, 1995                              .57              5.43                --
December 31, 1994                              .55              3.90                --
December 31, 1993                              .42              2.77                --
December 31, 1992                              .48              3.49                --
December 31, 1991                              .50              5.74                --
 .............................................................................................................
PCM Utilities Growth and
Income Fund
June 30, 1996+                                 .36(d)           2.23(d)          36.61(d)            $.0494
December 31, 1995                              .68              4.72             60.33
December 31, 1994                              .68              5.23             84.88
December 31, 1993                              .69              5.02             50.79
December 31, 1992*                             .64 (b)(d)       3.43 (b)(d)      19.29 (d)
 .............................................................................................................
PCM Diversified Income Fund
June 30, 1996+                                 .40(d)           3.79(d)         150.28(d)
December 31, 1995                              .85              7.85            297.17
December 31, 1994                              .80              7.60            165.17
December 31, 1993**                            .28(d)           1.45(d)          40.83(d)
 .............................................................................................................
PCM New Opportunities Fund
June 30, 1996+                                 .38(d)           (.06)(d)         21.70(d)            $.0506
December 31, 1995                              .84              (.03)            30.87
December 31, 1994***                           .47(b)(d)         .03(b)(d)       32.77(d)
 .............................................................................................................
PCM Asia Pacific Growth
Fund
June 30, 1996+                                 .59(d)            .59(d)          29.34(d)            $.0222
December 31, 1995****                          .81(b)(d)         .72(b)(d)       67.72(d)
- -------------------------------------------------------------------------------------------------------------
+ Unaudited.
   * For the period May 4, 1992 (commencement of operations) to December 31, 1992.
  ** For the period September 15, 1993 (commencement of operations) to December 31, 1993.
 *** For the period May 2, 1994 (commencement of operations) to December 31, 1994.
**** For the period May 1, 1995 (commencement of operations) to December 31, 1995.
 (a) Per share net investment income has been determined on the basis of the weighted average number of 
     shares outstanding during the period.
 (b) Reflects an expense limitation in effect during the period. As a result of such limitation, expenses of 
     PCM Utilities Growth and Income Fund for the period ended December 31, 1992 reflect a reduction of 
     approximately $0.01 per share, expenses of PCM New Opportunities Fund for the period ended December 31, 
     1994 reflect a reduction of approximately $0.02 per share, and expenses of PCM Asia Pacific Growth Fund 
     for the period ended December 31, 1995 reflect a reduction of approximately $0.03 per share.
 (c) Total investment return assumes dividend reinvestment and does not reflect the effect of sales charges.
 (d) Not annualized.
 (e) The ratio of expenses to average net assets for the periods ended December 31, 1995, and thereafter, 
     includes amounts paid through expense offset and brokerage service arrangements. Prior period ratios 
     exclude these amounts (Note 2).
 (f) Certain funds are required to disclose the average commission rate paid per share for fiscal periods 
     beginning on or after September 1, 1995.
</TABLE>


PUTNAM CAPITAL MANAGER TRUST
Notes to Financial Statements
June 30, 1996 (Unaudited)

NOTE 1
SIGNIFICANT
ACCOUNTING
POLICIES

Putnam Capital Manager (the "Trust") is registered under the Investment 
Company Act of 1940, as amended, as a diversified, open-end management 
investment company (except for PCM Utilities Growth and Income Fund,
which is non-diversified) which consists of a series of investment 
portfolios (the "funds"), each of which is represented by a separate 
series of shares of beneficial interest. The Trust currently offers the 
following eleven funds: PCM Voyager Fund, PCM Global Growth Fund, PCM 
Growth and Income Fund, PCM Global Asset Allocation Fund, PCM High Yield 
Fund, PCM U.S. Government and High Quality Bond Fund, PCM Money Market 
Fund, PCM Utilities Growth and Income Fund, PCM Diversified Income Fund, 
PCM New Opportunities Fund and PCM Asia Pacific Growth Fund. The 
following is a summary of significant accounting policies consistently 
followed by the Trust in preparation of its financial statements. The 
preparation of financial statements are in conformity with generally 
accepted accounting principles and requires management to make estimates 
and assumptions that affect the reported amounts of assets and 
liabilities. Actual results could differ from those estimates.

A) Security valuation For all funds, other than PCM Money Market Fund, 
investments for which market quotations are readily available are stated 
at market value, which is determined using the last reported sale price 
on the principal market on which such securities are traded, or, if no 
sales are reported--as in the case of some securities traded over-the-
counter--the last reported bid price. Securities quoted in foreign 
currencies are translated into U.S. dollars at the current exchange 
rate. Short-term investments having remaining maturities of 60 days or 
less are stated at amortized cost, which approximates market value. 
Other investments, including restricted securities, are stated at fair 
value following procedures approved by the Trustees. Market quotations 
are not considered to be readily available for long-term corporate bonds 
and notes; such investments are stated at fair value on the basis of 
valuations furnished by a pricing service, approved by the Trustees, or 
dealers which determine valuations for normal, institutional-size 
trading units of such securities using methods based on market 
transactions for comparable securities and variable relationships 
between securities that are generally recognized by institutional 
traders. (See Sections H and I with respect to the valuation of options, 
forward currency contracts and futures.) 

The valuation of PCM Money Market Fund's portfolio is determined by 
means of the amortized cost method, which approximates market value, as 
set forth in Rule 2a-7 under the Investment Company Act of 1940. The 
amortized cost of an instrument is determined by valuing it at cost 
originally and thereafter amortizing any discount or premium from its 
face value at a constant rate until maturity.

B) Joint trading account Pursuant to an exemptive order issued by the 
Securities and Exchange Commission, the funds may transfer uninvested 
cash balances into a joint trading account along with the cash of other 
registered investment companies managed by Putnam Investment Management, 
Inc. ("Putnam Management"), the funds' Manager, a wholly-owned 
subsidiary of Putnam Investments, Inc. and certain other accounts. These 
balances may be invested in one or more repurchase agreements and/or 
short-term money market instruments. 

C) Repurchase agreements The funds, or any joint trading account, 
through their custodian, receive delivery of the underlying securities, 
the market value of which at the time of purchase is required to be in 
an amount at least equal to the resale price, including accrued 
interest. Putnam Management is responsible for determining that the 
value of these underlying securities is at all times at least equal to 
the resale price, including accrued interest.

D) Security transactions and related investment income Security 
transactions are accounted for on the trade date (date the order to buy 
or sell is executed). 

Interest income is recorded on the accrual basis. Dividend income is 
recorded on the ex-dividend date except that certain dividends from 
foreign securities are recorded as soon as the fund is informed of the 
ex-dividend date. Discounts on zero coupon bonds, original issue, 
stepped-coupon bonds and payment-in-kind bonds are accreted according to 
the effective yield method.

Securities purchased or sold on a forward commitment or delayed delivery 
basis may be settled a month or more after the trade date; interest 
income is not accrued until settlement date. Losses may arise due to 
changes in the market value of the underlying securities or if the 
counterparty does not perform under the contract.

E) TBA purchase commitments Each fund, (except for PCM Money Market 
Fund) may enter into "TBA" (to be announced) purchase commitments to 
purchase securities for a fixed unit price at a future date beyond 
customary settlement time. Although the unit price has been established, 
the principal value has not been finalized. However, the amount of the 
commitments will not fluctuate more than 2.0% from the principal amount. 
The fund holds, and maintains until settlement date, cash or high-grade 
debt obligations in an amount sufficient to meet the purchase price, or 
the fund may enter into offsetting contracts for the forward sale of 
other securities it owns. Income on the securities will not be earned 
until settlement date. TBA purchase commitments may be considered 
securities in themselves, and involve a risk of loss if the value of the 
security to be purchased declines prior to the settlement date, which 
risk is in addition to the risk of decline in the value of a fund's 
other assets. Unsettled TBA purchase commitments are valued at the 
current market value of the underlying securities, generally according 
to the procedures described under "Security valuation" above.

Although a fund will generally enter into TBA purchase commitments with 
the intention of acquiring securities for its portfolio or for delivery 
pursuant to options contracts it has entered into, the fund may dispose 
of a commitment prior to settlement if Putnam Management deems it 
appropriate to do so. 

F) TBA sale commitments Each fund, (except PCM Money Market Fund) may 
enter into TBA sale commitments to hedge its portfolio positions or to 
sell mortgage-backed securities it owns under delayed delivery 
arrangements. Proceeds of TBA sale commitments are not received until 
the contractual settlement date. During the time a TBA sale commitment 
is outstanding, equivalent deliverable securities, or an offsetting TBA 
purchase commitment deliverable on or before the sale commitment date, 
are held as "cover" for the transaction.

Unsettled TBA sale commitments are valued at the current market value of 
the underlying securities, generally according to the procedures 
described under "Security valuation" above. The contract is "marked-to-
market" daily and the change in market value is recorded by a fund as an 
unrealized gain or loss. If the TBA sale commitment is closed through 
the acquisition of an offsetting purchase commitment, the fund realizes 
a gain or loss on the underlying security. If the fund delivers 
securities under the commitment, the fund realizes a gain or a loss from 
the sale of the securities based upon the unit price established at the 
date the commitment was entered into.

G) Foreign currency translation The accounting records of the Trust are 
maintained in U.S. dollars. The market value of foreign securities, 
currency holdings, other assets and liabilities are recorded in the 
books and records of the Trust after translation to U.S. dollars based 
on the exchange rates on that day. The cost of each security is 
determined using historical exchange rates. Income and withholding taxes 
are translated at prevailing exchange rates when accrued or incurred. 
The Trust does not isolate that portion of realized or unrealized gains 
or losses resulting from changes in the foreign exchange rate on 
investments from fluctuations arising from changes in the market prices 
of the securities. Such fluctuations are included with the net realized 
and unrealized gain or loss on investments. Net realized gains and 
losses on foreign currency transactions represent net exchange gains or 
losses on closed forward currency contracts, disposition of foreign 
currencies and the difference between the amount of investment income 
and foreign withholding taxes recorded on the Trust's books and the U.S. 
dollar equivalent amounts actually received or paid. Net unrealized 
gains and losses on foreign currency transactions arise from changes in 
the value of open forward currency contracts and assets and liabilities 
other than investments at the period end, resulting from changes in the 
exchange rate.

H) Forward currency contracts Each fund, except PCM Money Market Fund, 
may engage in forward currency contracts, which are agreements between 
two parties to buy and sell currencies at a set price on a future date, 
to protect against a decline in value relative to the U.S. dollar of the 
currencies in which its portfolio securities are denominated or quoted 
(or an increase in the value of a currency in which securities a fund 
intends to buy are denominated, when a fund holds cash reserves and 
short-term investments). The U.S. dollar value of forward currency 
contracts is determined using forward currency exchange rates supplied 
by a quotation service. The market value of the contract will fluctuate 
with changes in currency exchange rates. The contract is "marked to 
market" daily and the change in market value is recorded as an 
unrealized gain or loss. When the contract is closed, the fund records a 
realized gain or loss equal to the difference between the value of the 
contract at the time it was opened and the value at the time it was 
closed. The fund could be exposed to risk if the value of the currency 
changes unfavorably, if the counterparties to the contracts are unable 
to meet the terms of their contracts or if the fund is unable to enter 
into a closing position.

I) Futures and options contracts Each fund (other than PCM High Yield 
Fund and PCM Money Market Fund) may use futures and options contracts to 
hedge against changes in the values of securities the fund owns or 
expects to purchase. Each fund (other than PCM High Yield Fund and PCM 
Money Market Fund) may also write options on securities it owns or which 
it invests to increase its current returns.

The potential risk to each fund is that the change in value of futures 
and options contracts may not correspond to the change in value of the 
hedged instruments. In addition, losses may arise from changes in the 
value of the underlying instruments, if there is an illiquid secondary 
market for the contracts, or if the counterparty to the contract is 
unable to perform.

Futures contracts are valued at the quoted daily settlement prices 
established by the exchange on which they trade. Exchange traded options 
are valued at the last sale price, or if no sales are reported, the last 
bid price for purchased options and the last ask price for written 
options. Options traded over-the-counter are valued using prices 
supplied by dealers.

J) Federal income taxes Each fund of the Trust is created as a separate 
entity for federal income tax purposes. It is the policy of each fund to 
distribute all of its taxable income within the prescribed time and 
otherwise comply with the provisions of the Internal Revenue Code 
applicable to regulated investment companies. It is also the intention 
of the fund to distribute an amount sufficient to avoid imposition of 
any excise tax under Section 4982 of the Internal Revenue Code of 1986. 
Therefore, no provision has been made for federal taxes on income, 
capital gains or unrealized appreciation on securities held and for 
excise tax on income and capital gains.

At December 31, 1995 the following funds had capital loss carryovers, 
which will expire on the following dates:

                                  Loss Carryover     Expiration Date
- --------------------------------------------------------------------
PCM High Yield Fund                   $1,850,724            12/31/02
                                       4,923,971            12/31/03
PCM U.S. Government and High 
  Quality Bond Fund                   10,341,978            12/31/02
PCM Utilities Growth and Income 
  Fund                                 4,780,803            12/31/02
PCM Diversified Income Fund            1,395,150            12/31/02
PCM New Opportunities Fund             1,755,633            12/31/03
PCM Asia Pacific Growth Fund             202,247            12/31/03
- --------------------------------------------------------------------

These capital loss carryovers may be used to offset realized gains, 
if any. 

K) Distributions to shareholders Distributions to shareholders from net 
investment income are recorded by the funds on the ex-dividend date. 
Capital gain distributions, if any, are recorded on the ex-dividend date 
and paid annually. The amount and character of income and gains to be 
distributed are determined in accordance with income tax regulations 
which may differ from generally accepted accounting principles. 
Reclassifications are made to the funds' capital accounts to reflect 
income and gains available for distribution (or available capital loss 
carryovers) under income tax regulations.

L) Expenses of the trust Expenses directly charged or attributable to 
any fund will be paid from the assets of that fund. Generally, expenses 
of the trust will be allocated among and charged to the assets of each 
fund on a basis that the Trustees deem fair and equitable, which may be 
based on the relative assets of each fund or the nature of the services 
performed and relative applicability to each fund.

M) Beneficial Interest At June 30, 1996, insurance companies or their 
separate accounts were record owners of all but a de minimis number of 
the shares of each fund. From 95% to almost 100% of each fund is owned 
by accounts of one group of insurance companies. 

NOTE 2 MANAGEMENT FEE, ADMINISTRATIVE 
SERVICES,  AND OTHER TRANSACTIONS

Compensation of Putnam Management for management and investment advisory 
services is paid quarterly based on the average net assets of the funds. 
The following summarizes the management fee rates in effect at June 30, 
1996: 

<TABLE>
<CAPTION>
                                                            Rate
- -----------------------------------------------------------------------------------------------------------------------
<S>                                                         <C>
PCM Global Growth Fund and                                  .60%
PCM Utilities Growth and Income Fund*
 .......................................................................................................................
PCM Voyager Fund, PCM Global Asset Allocation Fund,         .70% of the first $500 million of average net assets,
PCM High Yield Fund, PCM Diversified Income Fund and        .60% of the next $500 million 
PCM New Opportunities Fund                                  .55% of the next $500 million and 
                                                            .50% of any amount over $1.5 billion 
 .......................................................................................................................
PCM Growth and Income Fund                                  .65% of the first $500 million of average net assets,
                                                            .55% of the next $500 million 
                                                            .50% of the next $500 million and 
                                                            .45% of any amount over $1.5 billion 
 .......................................................................................................................
PCM U.S. Government and High Quality Bond Fund              .65% of the first $500 million of average net assets,
                                                            .55% of the next $500 million
                                                            .50% of the next $500 million
                                                            .45% of the next $5 billion
                                                            .425% of the next $5 billion
                                                            .405% of the next $5 billion
                                                            .39% of the next $5 billion and 
                                                            .38% of any excess thereafter
 .......................................................................................................................
PCM Money Market Fund                                       .45% of the first $500 million of average net assets,
                                                            .35% of the next $500 million 
                                                            .30% of the next $500 million and 
                                                            .25% of any amount over $1.5 billion 
 .......................................................................................................................
PCM Asia Pacific Growth Fund                                .80% of the first $500 million of average net assets,
                                                            .70% of the next $500 million 
                                                            .65% of the next $500 million 
                                                            .60% of the next $5 billion
                                                            .575% of the next $5 billion
                                                            .555% of the next $5 billion
                                                            .54% of the next $5 billion and
                                                            .53% of any excess thereafter
- -----------------------------------------------------------------------------------------------------------------------
* Effective July 11, 1996, management fees for the PCM Utilities Growth and Income Fund will be .70% of the first $500 
  million of average net assets, .60% of the next $500 million, .55% of the next $500 million, .50% of the next $5 
  billion, .475% of the next $5 billion, .455% of the next $5 billion, .44% of the next $5 billion and .43% of any
  excess thereafter.
- -----------------------------------------------------------------------------------------------------------------------
</TABLE>

Putnam Management has voluntarily agreed to limit expenses of PCM Asia 
Pacific Growth Fund to an annual rate of 1.2% of the fund's average 
daily net assets. The fund's expenses subject to this limitation are 
exclusive of brokerage, interest, taxes, insurance, amortization of 
deferred organization expenses, extraordinary expenses and credits from 
Putnam Fiduciary Trust Company ("PFTC"), a wholly-owned subsidiary of 
Putnam Investments, Inc., if any. For PCM Asia Pacific Growth Fund, this 
limitation expired on April 30, 1996.

As part of the custodian contract between the subcustodian bank and 
PFTC, the subcustodian bank has a lien on the securities of PCM Voyager 
Fund and PCM Growth and Income Fund to the extent permitted by the 
funds' investment restrictions to cover any advances made by the 
subcustodian bank for the settlement of securities purchased by the 
funds. 

The Trust reimburses Putnam Management for the compensation and related 
expenses of certain officers of the Trust and their staff who provide 
administrative services to the Trust. The aggregate amount of all such 
reimbursements is determined annually by the Trustees.

Custodial functions for each fund's assets are provided by PFTC. 
Investor servicing agent functions are provided by Putnam Investor 
Services, a division of PFTC. 

For the six months ended June 30, 1996, each fund's expenses were 
reduced under expense offset arrangements with PFTC and brokerage 
service arrangements by the following amounts:

PCM Voyager Fund                                    $ 84,563
PCM Global Growth Fund                                49,294
PCM Growth and Income Fund                           117,367
PCM Global Asset Allocation Fund                       7,284
PCM High Yield Fund                                   60,891
PCM U.S. Government and High Quality Bond Fund        36,873
PCM Money Market Fund                                    315
PCM Utilities Growth and Income Fund                  40,296
PCM Diversified Income Fund                           57,868
PCM New Opportunities Fund                            77,983
PCM Asia Pacific Growth Fund                          30,778

Investor servicing and custodian fees reported in the Statement of 
operations exclude these credits. Each fund could have invested a 
portion of these assets utilized in connection with the expense offset 
arrangements in an income producing asset if it had not entered into 
such arrangements.

Trustees of the Trust receive an annual Trustees fee of $16,840 and an 
additional fee for each Trustee's meeting attended. Trustees who are not 
interested persons of Putnam Management and who serve on committees of 
the Trustees receive additional fees for attendance at certain committee 
meetings.

Each fund adopted a Trustee Fee Deferral Plan (the "Plan") which allows 
the Trustees to defer the receipt of all or a portion of Trustees Fees 
payable on or after July 1, 1995. The deferred fees remain in each fund 
and are invested in certain Putnam funds until distribution in 
accordance with the Plan.

NOTE 3 PURCHASES AND SALES OF SECURITIES

During the six months ended June 30, 1996, purchases and sales of 
investment securities (other than short-term investments) 
were as follows: 

<TABLE>
<CAPTION>
                                                  U.S. Government 
                                                    Obligations                     Other Securities 
- ---------------------------------------------------------------------------------------------------------------
                                            Purchases         Sales           Purchases            Sales
- ---------------------------------------------------------------------------------------------------------------
<S>                                        <C>             <C>              <C>                <C>
PCM Voyager Fund                           $         --    $         --     $1,153,740,975     $717,417,003
PCM Global Growth Fund                               --              --        509,601,919      339,778,142
PCM Growth and Income Fund                  185,667,235              --      1,371,184,184      759,108,913
PCM Global Asset Allocation Fund            217,954,758     207,269,803        314,919,338      260,346,810
PCM High Yield Fund                                  --              --        240,362,307      145,695,456
PCM U.S. Government and High Quality 
  Bond Fund                                 609,477,710     509,325,274        147,537,915      205,237,972
PCM Utilities Growth and Income Fund         33,855,259      24,032,630        164,089,681      171,865,565
PCM Diversified Income Fund                 342,315,099     291,338,773        250,893,110      201,902,342
PCM New Opportunities Fund                           --              --        645,914,536      162,996,116
PCM Asia Pacific Growth Fund                         --              --         77,120,525       16,056,343
- ---------------------------------------------------------------------------------------------------------------
</TABLE>

PCM Money Market Fund: Purchases and sales (including maturities) of 
investment securities (all short-term obligations) aggregated 
$3,768,590,401 and $3,670,869,436, respectively.

In determining net gain or loss on securities sold, the cost of 
securities has been determined on the identified cost basis.

Written option transactions during the period are summarized as follows:

<TABLE>
<CAPTION>
                                                                Contract Amounts          Premiums Received
- ---------------------------------------------------------------------------------------------------------------
<S>                                                                 <C>                         <C>
PCM Diversified Income Fund 
Contracts outstanding at beginning of period                        $         --                $     --
Options opened                                                        20,000,000                  65,000
Options expired                                                      (20,000,000)                (65,000)
 ................................................................................................................
Written options outstanding at end of period                        $         --                $     --
- ---------------------------------------------------------------------------------------------------------------
</TABLE>

NOTE 4 CAPITAL SHARES
At June 30, 1996, there was an unlimited number of shares of beneficial 
interest authorized. Transactions in capital shares were as follows: 


<TABLE>
<CAPTION>

                                                                         Six months ended June 30         Year ended December 31
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                               1996                              1995
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                         Shares          Amount         Shares          Amount
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                                                    <C>          <C>               <C>          <C>
PCM Voyager Fund
Shares sold                                                            17,167,925     $544,714,329    20,723,279     $546,895,857
Shares issued in connection with reinvestment of distributions          4,259,887      130,309,924     1,179,126       27,674,098
 ...................................................................................................................................
                                                                       21,427,812      675,024,253    21,902,405      574,569,955
Shares repurchased                                                     (1,308,129)     (40,663,645)   (2,590,280)     (63,937,776)
 ...................................................................................................................................
Net increase                                                           20,119,683     $634,360,608    19,312,125     $510,632,179
 ...................................................................................................................................
PCM Global Growth Fund
Shares sold                                                            14,162,671     $220,273,423     12,808,443    $178,822,459
Shares issued in connection with reinvestment of distributions          3,200,475       48,775,232     1,356,940       17,423,114
 ...................................................................................................................................
                                                                       17,363,146      269,048,655    14,165,383      196,245,573
Shares repurchased                                                     (2,787,364)     (43,512,510)   (9,069,293)    (125,288,301)
 ...................................................................................................................................
Net increase                                                           14,575,782     $225,536,145     5,096,090     $ 70,957,272
 ...................................................................................................................................
PCM Growth and Income Fund
Shares sold                                                            33,520,240     $735,937,545     34,911,574    $670,155,121
Shares issued in connection with reinvestment of distributions         11,075,560      236,352,265     5,584,857       96,115,390
 ...................................................................................................................................
                                                                       44,595,800      972,289,810    40,496,431      766,270,511
Shares repurchased                                                       (347,036)      (7,585,359)   (2,229,560)     (39,688,744)
 ...................................................................................................................................
Net increase                                                           44,248,764     $964,704,451   $38,266,871     $726,581,767
 ...................................................................................................................................
PCM Global Asset Allocation Fund
Shares sold                                                             3,869,562     $ 61,762,224      3,576,518    $ 53,113,182
Shares issued in connection with reinvestment of distributions          2,859,813       43,923,648       572,911        7,825,970
 ...................................................................................................................................
                                                                        6,729,375      105,685,872     4,149,429       60,939,152
Shares repurchased                                                       (313,841)      (5,010,727)   (2,388,987)     (33,847,026)
 ...................................................................................................................................
Net increase                                                            6,415,534     $100,675,145     1,760,442     $ 27,092,126
 ...................................................................................................................................
PCM High Yield Fund
Shares sold                                                            10,513,480     $129,435,940    20,402,208     $237,744,815
Shares issued in connection with reinvestment of distributions          3,195,568       37,899,437     2,953,143       32,248,315
 ...................................................................................................................................
                                                                       13,709,048      167,335,377    23,355,351      269,993,130
Shares repurchased                                                     (5,221,575)     (65,262,342)  (11,586,104)    (134,982,202)
 ...................................................................................................................................
Net increase                                                            8,487,473     $102,073,035    11,769,247     $135,010,928
 ...................................................................................................................................
PCM U.S. Government and High Quality Bond Fund
Shares sold                                                             3,543,966     $ 46,178,956     8,879,875     $113,577,691
Shares issued in connection with reinvestment of distributions          3,626,120       45,290,231     3,575,140       42,687,165
 ...................................................................................................................................
                                                                        7,170,086       91,469,187    12,455,015      156,264,856
Shares repurchased                                                     (2,013,546)     (25,654,128)  (10,513,126)    (132,276,384)
 ...................................................................................................................................
Net increase                                                            5,156,540     $ 65,815,059     1,941,889     $ 23,988,472
 ...................................................................................................................................
PCM Money Market Fund
Shares sold                                                                    --     $349,196,109            --     $343,877,495
Shares issued in connection with reinvestment of distributions                 --        7,747,609            --       12,801,231
 ...................................................................................................................................
                                                                               --      356,943,718            --      356,678,726
Shares repurchased                                                             --     (263,647,200)           --     (337,529,370)
 ...................................................................................................................................
Net increase                                                                   --     $ 93,296,518            --     $ 19,149,356
 ...................................................................................................................................
PCM Utilities Growth and Income Fund
Shares sold                                                             3,536,206     $ 47,011,224     5,530,720     $ 65,418,199
Shares issued in connection with reinvestment of distributions          1,621,989       21,053,411     1,939,194       20,768,768
 ...................................................................................................................................
                                                                        5,158,195       68,064,635     7,469,914       86,186,967
Shares repurchased                                                     (1,590,516)     (20,859,962)   (3,483,831)     (39,848,333)
 ...................................................................................................................................
Net increase                                                            3,567,679     $ 47,204,673     3,986,083     $ 46,338,634
 ...................................................................................................................................
PCM Diversified Income Fund
Shares sold                                                             8,935,281     $ 96,238,640     6,146,785     $ 64,169,357
Shares issued in connection with reinvestment of distributions          2,023,693       20,930,328     1,133,511       11,017,722
 ...................................................................................................................................
                                                                       10,958,974      117,168,968     7,280,296       75,187,079
Shares repurchased                                                     (1,235,661)     (13,621,461)   (1,905,536)     (19,246,896)
 ...................................................................................................................................
Net increase                                                            9,723,313     $103,547,507     5,374,760     $ 55,940,183
 ...................................................................................................................................
PCM New Opportunities Fund
Shares sold                                                            34,316,167     $597,719,675    29,068,100     $388,540,076
Shares issued in connection with reinvestment of distributions                 --               --        30,039          353,553
 ...................................................................................................................................
                                                                       34,316,167      597,719,675    29,098,139      388,893,629
Shares repurchased                                                       (776,388)     (13,472,977)   (2,490,522)     (30,562,328)
- -----------------------------------------------------------------------------------------------------------------------------------
Net increase                                                           33,539,779     $584,246,698    26,607,617     $358,331,301
- -----------------------------------------------------------------------------------------------------------------------------------

</TABLE>


<TABLE>
<CAPTION>
                                                                                                         For the period
                                                                                                           May 1, 1995
                                                                                                         (commencement of
                                                                                                           operations) to
                                                                        Six months ended June 30             December 31
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                  1996                           1995
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                         Shares           Amount        Shares           Amount
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                                                    <C>            <C>              <C>           <C>
PCM Asia Pacific Growth Fund
Shares sold                                                            10,515,591     $111,279,617     5,079,125     $ 50,654,905
Shares issued in connection with reinvestment of distributions             75,653          798,899            --               --
 ...................................................................................................................................
                                                                       10,591,244      112,078,516     5,079,125       50,654,905
Shares repurchased                                                     (4,388,963)     (46,444,804)   (2,630,277)     (26,192,634)
- -----------------------------------------------------------------------------------------------------------------------------------
Net increase                                                            6,202,281     $ 65,633,712     2,448,848     $ 24,462,271
- -----------------------------------------------------------------------------------------------------------------------------------

</TABLE>

PUTNAM CAPITAL MANAGER TRUST
PCM Utilities Growth and Income Fund 
Results of July 11, 1996 shareholder meeting (unaudited)

An annual meeting of shareholders of the fund was held on July 11, 1996. 

A proposal to approve a new management contract, increasing the fees 
payable by the fund to Putnam Investment Management, Inc. was approved 
as follows: 27,514,684 votes for, and 12,143,025 votes against, with 
3,574,545 abstentions. All tabulations have been rounded to the nearest 
whole number.


Putnam
Capital
Manager
Trust

FUND INFORMATION
Investment Manager
Putnam Investment Management, Inc.
One Post Office Square
Boston, MA  02109

Marketing Services
Putnam Mutual Funds Corp.
One Post Office Square
Boston, MA  02109

Investor Servicing Agent
Putnam Investor Services
Mailing address:
P.O. Box 41203
Providence, RI  02940-1203
1-800-225-1581

Custodian
Putnam Fiduciary
Trust Company

Legal counsel
Ropes & Gray

Trustees
George Putnam, Chairman, 
William F. Pounds, Vice Chairman, 
Jameson Adkins Baxter, Hans H. Estin, 
John A. Hill, Ronald J. Jackson, Elizabeth T. Kennan, 
Lawrence J. Lasser, Robert E. Patterson, 
Donald S. Perkins, George Putnam, III, Eli Shapiro, 
A.J.C. Smith, W. Nicholas Thorndike

Putnam Investor Services has received the 
DALBAR Quality Tested Service Seal for 
the past six years. In more than 146,000 
tests of 56 shareholder service components, 
Putnam outperformed the industry 
standard in every category.


PUTNAM INVESTMENTS

This report has been prepared for the shareholders of Putnam Capital 
Manager Trust. It is not authorized for other distribution unless 
preceded or accompanied by an effective prospectus that describes the 
trust's policies, charges and other matters of interest for the 
prospective investor.

26987    8/96





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