<PAGE>
<TABLE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 1
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ADC TELECOM INC COM 000886 10 1 10,851 149,543 X 149,543
AMR CORP COM 001765 10 6 3,534 52,750 X 9,950 42,800
AT&T CORP COM 001957 10 9 14,569 286,710 X 53,160 233,550
AT&T CORP COM 001957 10 9 18 350 X 350
AT&T LIB MEDIA GP A COM 001957 20 8 320 5,640 X 5,640
ASI SOLUTIONS INC COM 00206F 10 8 427 100,500 X 100,500
ATG INC COM 00206P 10 6 2,136 495,243 X 495,243
ATG INC COM 00206P 10 6 3 800 X 400 400
ABBOT LABS COM 002824 10 0 15,140 416,920 X 306,170 48,000 62,750
ABBOT LABS COM 002824 10 0 145 4,000 X 4,000
ABBOT LABS COM 002824 10 0 806 22,200 X 12,200 10,000
ABERCROMBIE&FITCH-A COM 002896 20 7 26,715 1,001,000 X 914,500 86,500
ABERCROMBIE&FITCH-A COM 002896 20 7 16,120 604,000 X 604,000
ABGENIX INC COM 00339B 10 7 451 3,400 X 3,400
ACTEL CORP COM 004934 10 5 34,207 1,425,300 X 1,128,10 297,200
ACTEL CORP COM 004934 10 5 8,904 371,000 X 371,000
ACTUATE SOFTWARE COM 00508B 10 2 22,278 519,600 X 406,800 112,800
ACTUATE SOFTWARE COM 00508B 10 2 5,655 131,900 X 131,900
ADAPTEC INC COM 00651F 10 8 5,093 102,111 X 102,111
ADMINISTAFF INC COM 007094 10 5 1,588 52,500 X 52,500
ADOBE SYS INC COM 00724F 10 1 8,083 120,198 X 120,198
ADV MARKETING SVCS COM 00753T 10 5 1,396 49,100 X 49,100
ADV MICRO DEVICES COM 007903 10 7 2,456 84,865 X 80,815 150 3,900
PAGE TOTAL 180,895
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 2
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ADVANCED ENERGY INDS COM 007973 10 0 37,464 760,700 X 595,900 164,800
ADVANCED ENERGY INDS COM 007973 10 0 8,688 176,400 X 176,400
AFFILIATED MGRS GP COM 008252 10 8 29,803 737,000 X 578,200 158,800
AFFILIATED MGRS GP COM 008252 10 8 6,717 166,100 X 166,100
AFFYMETRIX INC COM 00826T 10 8 594 3,500 X 3,500
ALBERTSONS INC COM 013104 10 4 103 3,200 X 3,200
ALCAN ALUMINIUM LTD COM 013716 10 5 74,640 1,803,980 X 1,199,98 420,000 184,000
ALCAN ALUMINIUM LTD COM 013716 10 5 616 14,900 X 14,900
ALCAN ALUMINIUM LTD COM 013716 10 5 10,213 246,850 X 246,850
ALCOA INC COM 013817 10 1 120,072 1,446,650 X 1,103,85 342,800
ALCOA INC COM 013817 10 1 191 2,300 X 2,300
ALCATEL SA ADR COM 013904 30 5 2,624 58,300 X 58,300
ALLAIRE CORP COM 016714 10 7 42,343 289,400 X 202,900 86,500
ALLAIRE CORP COM 016714 10 7 7,520 51,400 X 51,400
ALLSTATE CORP COM 020002 10 1 87 3,612 X 3,612
ALTERA CORP COM 021441 10 0 9,318 188,000 X 178,300 9,700
ALTERA CORP COM 021441 10 0 2,602 52,500 X 52,500
ALZA CORP COM 022615 10 8 17 500 X 500
AMAZON.COM INC COM 023135 10 6 24,783 325,560 X 78,971 50 246,539
AMAZON.COM INC COM 023135 10 6 87,536 1,149,898 X 24,700 1,125,19
AMER ONLINE INC COM 02364J 10 4 253,084 3,335,545 X 2,442,29 1,160 892,095
AMER ONLINE INC COM 02364J 10 4 197 2,600 X 2,600
AMER ONLINE INC COM 02364J 10 4 190,834 2,515,107 X 52,561 2,462,54
AMER ASIATIC OIL PRV COM 023879 10 9 15 15,000 X 15,000
PAGE TOTAL 910,061
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 3
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- ------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- ----- ----------- ---------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AMER DENTAL PARTNERS COM 025353 10 3 634 90,500 X 90,500
AMER EXPRESS CO COM 025816 10 9 553 3,324 X 3,324
AMER EXPRESS CO COM 025816 10 9 3,907 23,500 X 23,500
AMER HOME PRODS COM 026609 10 7 16,572 422,224 X 361,924 60,300
AMER INTL GP INC COM 026874 10 7 418,399 3,869,583 X 3,043,49 4,606 821,485
AMER INTL GP INC COM 026874 10 7 1,165 10,775 X 6,475 4,300
AMER INTL GP INC COM 026874 10 7 1,679 15,527 X 11,427 4,100
AMER RETIREMENT CORP COM 028913 10 1 393 49,500 X 12,400 37,100
AMER RETIREMENT CORP COM 028913 10 1 1,904 239,800 X 239,800
AMER XTAL TECH INC COM 030514 10 3 71 4,100 X 4,100
AMGEN INC COM 031162 10 0 857,873 14,282,880 X 10,481,3 10,100 3,791,47
AMGEN INC COM 031162 10 0 8,096 134,800 X 125,600 9,200
AMGEN INC COM 031162 10 0 4,018 66,900 X 66,000 900
ANALOG DEVICES COM 032654 10 5 31,276 336,300 X 307,300 29,000
ANALOG DEVICES COM 032654 10 5 279 3,000 X 3,000
ANALOG DEVICES COM 032654 10 5 28,594 307,459 X 133,000 174,459
ANDREW CORP COM 034425 10 8 1,554 82,049 X 82,049
ANHEUSER-BUSCH COS COM 035229 10 3 188,712 2,662,600 X 2,170,45 650 491,500
ANHEUSER-BUSCH COS COM 035229 10 3 374 5,270 X 2,370 2,900
APPLE COMPUTER INC COM 037833 10 0 4,299 41,810 X 39,730 80 2,000
APPLE COMPUTER INC COM 037833 10 0 16,541 160,880 X 160,880
APPLIED MATERIALS COM 038222 10 5 110,729 874,030 X 667,210 205 206,615
APPLIED MATERIALS COM 038222 10 5 51,057 403,015 X 24,600 378,415
APPL MICRO CIRCUITS COM 03822W 10 9 204 1,600 X 1,600
APTARGROUP INC COM 038336 10 3 827 32,933 X 32,933
ARACRUZ CELOLOSE ADR COM 038496 20 4 15,175 578,090 X 527,690 50,400
ARACRUZ CELOLOSE ADR COM 038496 20 4 278 10,600 X 10,600
PAGE TOTAL 1, 765,163
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 4
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ARADIGM CORP COM 038505 10 3 713 75,000 X 75,000
ARTESYN TECH INC COM 043127 10 9 28,174 1,341,600 X 1,033,90 307,700
ARTESYN TECH INC COM 043127 10 9 9,162 436,300 X 261,300 175,000
ASPECT DEV INC COM 045234 10 1 384 5,600 X 5,600
AT HOME CORP SER A COM 045919 10 7 6,959 162,303 X 162,303
AT HOME CORP SER A COM 045919 10 7 23,131 539,489 X 4,822 534,667
ASSOC FIRST CAP CL A COM 046008 10 8 4,138 150,824 X 59,738 91,086
ASSOC FIRST CAP CL A COM 046008 10 8 52 1,900 X 1,900
ATLANTIC RICHFIELD COM 048825 10 3 208 2,400 X 2,400
ATMEL CORP COM 049513 10 4 38,840 1,313,800 X 1,184,80 129,000
ATMEL CORP COM 049513 10 4 25,655 867,800 X 867,800
AUTODESK INC COM 052769 10 6 2,059 61,001 X 61,001
AUTO DATA PROCESSING COM 053015 10 3 1,131 21,000 X 21,000
AUTONATION INC COM 05329W 10 2 37 4,000 X 4,000
AUTOZONE INC COM 053332 10 2 17,154 530,865 X 30,000 500,865
AVERY DENNISON CORP COM 053611 10 9 255 3,500 X 3,500
AVNET INC COM 053807 10 3 6,149 101,630 X 18,230 83,400
AXYS PHARM INC COM 054635 10 7 130 32,098 X 32,098
BISYS GP INC COM 055472 10 4 15,419 236,300 X 210,700 25,600
BISYS GP INC COM 055472 10 4 9,911 151,900 X 151,900
BJ SVCS CO COM 055482 10 3 68,026 1,626,900 X 1,488,90 138,000
BJ SVCS CO COM 055482 10 3 34,517 825,500 X 825,500
BP AMOCO PLC ADR COM 055622 10 4 6,568 110,742 X 110,742
BP AMOCO PLC ADR COM 055622 10 4 712 12,000 X 12,000
PAGE TOTAL 299,484
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 5
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BMC SOFTWARE INC COM 055921 10 0 84,708 1,059,665 X 835,405 160 224,100
BMC SOFTWARE INC COM 055921 10 0 448 5,600 X 5,600
BMC SOFTWARE INC COM 055921 10 0 41,754 522,326 X 279,975 242,351
BWC FINL CORP COM 056042 10 4 166 8,548 X 8,548
BK OF AMER CORP COM 060505 10 4 4,280 85,278 X 85,278
BK OF NEW YORK INC COM 064057 10 2 197,102 4,927,555 X 3,869,08 1,058,47
BK OF NEW YORK INC COM 064057 10 2 957 23,928 X 18,128 5,800
BAUSCH & LOMB INC COM 071707 10 3 2,666 38,950 X 6,850 32,100
BAXTER INTL INC COM 071813 10 9 4,083 65,000 X 65,000
BEA SYS INC COM 073325 10 2 32,752 468,300 X 227,300 241,000
BEA SYS INC COM 073325 10 2 27,598 394,600 X 394,600
BECTON DICKINSON CO COM 075887 10 9 95 3,534 X 3,534
BED BATH & BEYOND COM 075896 10 0 35,402 1,018,750 X 788,550 230,200
BED BATH & BEYOND COM 075896 10 0 4,761 137,000 X 137,000
BELL ATLANTIC CORP COM 077853 10 9 77,767 1,263,215 X 943,815 319,400
BELL ATLANTIC CORP COM 077853 10 9 286 4,650 X 4,650
BELL ATLANTIC CORP COM 077853 10 9 1,071 17,400 X 12,200 5,200
BELLSOUTH CORP COM 079860 10 2 239 5,110 X 5,110
BEN&JERRY'S INC CL A COM 081465 10 6 187 7,500 X 7,500
BERKSHIRE HATHAWAY A COM 084670 10 8 729 13 X 13
BERKSHIRE HATHAWAY A COM 084670 10 8 56 1 X 1
BERKSHIRE HATHAWAY B COM 084670 20 7 3,583 1,958 X 1,435 220 303
BERKSHIRE HATHAWAY B COM 084670 20 7 2 1 X 1
BINDVIEW DEV CORP COM 090327 10 7 38,314 771,100 X 582,300 188,800
BINDVIEW DEV CORP COM 090327 10 7 10,380 208,900 X 208,900
PAGE TOTAL 569,386
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 6
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BIOCRYST PHARM INC COM 09058V 10 3 761 25,800 X 25,800
BIOGEN INC COM 090597 10 5 228 2,700 X 2,200 500
BIOMET INC COM 090613 10 0 4,020 100,500 X 100,500
BIOMET INC COM 090613 10 0 4,836 120,900 X 120,900
BLACK BOX CORP COM 091826 10 7 33,627 501,900 X 384,400 117,500
BLACK BOX CORP COM 091826 10 7 13,661 203,900 X 91,900 112,000
BLACKROCK ADVTGE TR COM 09247A 10 1 46 5,124 X 5,124
H&R BLOCK INC COM 093671 10 5 57 1,300 X 1,300
BOEING CO COM 097023 10 5 22,291 537,935 X 289,310 425 248,200
BOEING CO COM 097023 10 5 38,725 934,540 X 934,540
BONE CARE INTL INC COM 098072 10 1 7,211 571,175 X 469,750 101,425
BONE CARE INTL INC COM 098072 10 1 1,422 112,600 X 112,600
BRIGHT HORIZONS FAM COM 109195 10 7 413 22,000 X 22,000
BRIO TECH INC COM 109704 10 6 193 4,584 X 4,584
BRIO TECH INC COM 109704 10 6 934 22,248 X 2,923 19,325
BRISTOL-MYERS SQUIBB COM 110122 10 8 293,306 4,569,490 X 3,488,17 7,600 1,073,71
BRISTOL-MYERS SQUIBB COM 110122 10 8 1,181 18,398 X 15,698 2,700
BRISTOL-MYERS SQUIBB COM 110122 10 8 3,358 52,310 X 2,500 49,810
BROADCOM CORP CL A COM 111320 10 7 41 150 X 150
BROADVISION INC COM 111412 10 2 15,306 90,000 X 90,000
BROCADE COMMS SYS COM 111621 10 8 726 4,100 X 4,100
BROCADE COMMS SYS COM 111621 10 8 1,770 10,000 X 10,000
BROOKTROUT INC COM 114580 10 3 1,338 72,100 X 72,100
BURLINGTON RES INC COM 122014 10 3 2,381 72,000 X 63,500 8,500
BURR BROWN CORP COM 122574 10 6 41,155 1,139,250 X 882,400 256,850
PAGE TOTAL 488,897
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 7
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CDW COMPUTER CENTER COM 125129 10 6 165 2,100 X 2,100
CDW COMPUTER CENTER COM 125129 10 6 1,801 22,900 X 22,900
CH ROBINSON WORLD COM 12541W 10 0 461 11,600 X 11,600
CIGNA CORP COM 125509 10 9 8,733 108,400 X 19,400 89,000
CIT GP CL A COM 125577 10 6 401 19,000 X 19,000
CIT GP CL A COM 125577 10 6 3,872 183,300 X 183,300
CMI CORP CL A COM 125761 30 4 1,518 214,900 X 214,900
CMI CORP CL A COM 125761 30 4 277 39,200 X 39,200
CSK AUTO CORP COM 125965 10 3 25,263 1,443,600 X 1,102,90 340,700
CSK AUTO CORP COM 125965 10 3 10,381 593,200 X 393,200 200,000
CSG SYS INTL COM 126349 10 9 153 3,828 X 3,828
CSG SYS INTL COM 126349 10 9 1,008 25,269 X 25,269
CSX CORP COM 126408 10 3 1,055 33,630 X 6,380 27,250
CVS CORP COM 126650 10 0 14,176 355,500 X 342,800 12,700
CABLETRON SYS COM 126920 10 7 4,694 180,557 X 180,557
CAL DIVE INTL INC COM 127914 10 9 23,068 696,400 X 548,400 148,000
CAL DIVE INTL INC COM 127914 10 9 5,403 163,100 X 163,100
CAMBRIDGE TECH PTNRS COM 132524 10 9 152 5,800 X 5,800
CANON INC ADR COM 138006 30 9 20 500 X 500
CAP ENVIRO RES INC COM 14008M 10 4 888 149,600 X 149,600
CARDINAL HLTH INC COM 14149Y 10 8 10,652 222,500 X 212,500 10,000
CAREER EDUCATION COM 141665 10 9 1,167 30,400 X 30,400
CAREINSITE INC COM 14170M 10 6 12,981 161,255 X 67,780 2,850 90,625
CAREINSITE INC COM 14170M 10 6 378 4,700 X 4,700
CARNIVAL CORP COM 143658 10 2 55,038 1,151,100 X 949,300 201,800
CARNIVAL CORP COM 143658 10 2 91 1,900 X 1,900
PAGE TOTAL 183,796
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 8
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CARRIER ACCESS CORP COM 144460 10 2 10,548 156,700 X 156,700
CATERPILLAR INC COM 149123 10 1 8,295 176,250 X 32,950 143,300
CENTENNIAL HLTHCARE COM 150937 10 0 1,459 486,400 X 337,300 149,100
CENTENNIAL HLTHCARE COM 150937 10 0 239 79,600 X 44,100 35,500
CELESTIAL SEASONINGS COM 151016 10 2 171 9,200 X 9,200
CELLPOINT INC COM 15115E 10 9 3,455 73,500 X 9,500 64,000
CENDANT CORP COM 151313 10 3 19 700 X 700
CENDANT CORP PFD7.5% COM 151313 30 1 30 800 X 800
CENT & SOUTH WEST COM 152357 10 9 20 1,000 X 1,000
CENTURYTEL INC COM 156700 10 6 5,496 116,000 X 116,000
CENTURYTEL INC COM 156700 10 6 13,265 280,000 X 280,000
CERIDIAN CORP COM 15677T 10 6 1,014 47,025 X 44,840 85 2,100
CERIDIAN CORP COM 15677T 10 6 3,119 144,643 X 144,643
CHASE MANHATTAN CORP COM 16161A 10 8 27 350 X 350
CHASE MANHATTAN CORP COM 16161A 10 8 77 986 X 986
CHECKFREE HLDGS CORP COM 162816 10 2 37,819 361,900 X 299,000 62,900
CHECKFREE HLDGS CORP COM 162816 10 2 4,107 39,300 X 39,300
CHEVRON CORP COM 166751 10 7 45,487 525,104 X 421,150 103,954
CHEVRON CORP COM 166751 10 7 295 3,400 X 2,000 1,400
CHINA TELECOM HK ADR COM 169428 10 9 2,484 19,310 X 19,110 200
CHOICEPOINT INC COM 170388 10 2 34,407 831,600 X 650,600 181,000
CHOICEPOINT INC COM 170388 10 2 8,196 198,100 X 198,100
CHURCHILL DOWNS INC COM 171484 10 8 10,671 472,950 X 363,650 109,300
PAGE TOTAL 190,700
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 9
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CIENA CORP COM 171779 10 1 44,565 775,050 X 708,050 67,000
CIENA CORP COM 171779 10 1 31,834 553,637 X 489,000 64,637
CIMA LABS INC COM 171796 10 5 4,251 325,400 X 285,300 40,100
CIMA LABS INC COM 171796 10 5 1,429 109,400 X 109,400
CIRCUIT CITY STORES COM 172737 10 8 202,175 4,486,505 X 3,624,34 862,165
CIRCUIT CITY STORES COM 172737 10 8 486 10,778 X 7,578 3,200
CIRCUIT CITY STORES COM 172737 10 8 30,327 673,000 X 663,000 10,000
CISCO SYS INC COM 17275R 10 2 1,363,966 12,732,472 X 9,826,51 30,380 2,875,57
CISCO SYS INC COM 17275R 10 2 12,202 113,900 X 105,800 8,100
CISCO SYS INC COM 17275R 10 2 368,352 3,438,525 X 78,080 3,360,44
CITIGROUP INC COM 172967 10 1 312,893 5,618,685 X 4,397,36 1,221,32
CITIGROUP INC COM 172967 10 1 640 11,500 X 4,500 7,000
CITIGROUP INC COM 172967 10 1 4,054 72,800 X 5,300 67,500
CITRIX SYS INC COM 177376 10 0 1,314 10,684 X 10,684
CITRIX SYS INC COM 177376 10 0 15,469 125,767 X 125,767
CLARK/BARDES HLDGS COM 180668 10 5 1,036 72,100 X 72,100
CLEAR CHANNEL COMMS COM 184502 10 2 425,966 4,772,724 X 3,639,93 10,038 1,122,75
CLEAR CHANNEL COMMS COM 184502 10 2 2,526 28,300 X 25,000 3,300
CLEAR CHANNEL COMMS COM 184502 10 2 1,254 14,050 X 12,850 1,200
CLOROX CO COM 189054 10 9 10 200 X 200
CLOROX CO COM 189054 10 9 99 1,956 X 1,956
COCA-COLA CO COM 191216 10 0 219,343 3,765,540 X 2,824,24 24,800 916,500
COCA-COLA CO COM 191216 10 0 2,532 43,475 X 41,075 2,400
COCA-COLA CO COM 191216 10 0 1,963 33,700 X 31,000 2,700
COCA-COLA ENTERPRISE COM 191219 10 4 130,204 6,469,765 X 4,963,66 1,506,10
PAGE TOTAL 3,178,890
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 10
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
COCA-COLA ENTERPRISE COM 191219 10 4 85 4,200 X 4,200
COFLEXIP ADR COM 192384 10 5 18,384 483,800 X 411,300 72,500
COFLEXIP ADR COM 192384 10 5 13,319 350,500 X 350,500
COLGATE-PALMOLIVE CO COM 194162 10 3 306,498 4,715,350 X 3,653,59 1,061,76
COLGATE-PALMOLIVE CO COM 194162 10 3 247 3,800 X 3,800
COLGATE-PALMOLIVE CO COM 194162 10 3 1,099 16,900 X 12,700 4,200
COLUMBIA/HCA HLTHCAR COM 197677 10 7 4,560 155,550 X 28,950 126,600
COLUMBIA/HCA HLTHCAR COM 197677 10 7 89 3,026 X 3,026
COMARCO INC COM 200080 10 9 1,253 53,300 X 53,300
CMNTY FIRST BKSHS COM 203902 10 1 312 19,800 X 8,800 11,000
CMNTY FIRST BKSHS COM 203902 10 1 1,148 72,900 X 72,900
CIA CERV BRAHMA ADR COM 20440X 10 3 49 3,500 X 3,500
CIA MINAS BUENA ADR COM 204448 10 4 34 2,100 X 2,100
COMPAQ COMPUTER CORP COM 204493 10 0 15,909 587,869 X 400,659 710 186,500
COMPAQ COMPUTER CORP COM 204493 10 0 28 1,044 X 1,044
COMPAQ COMPUTER CORP COM 204493 10 0 46,548 1,720,000 X 1,720,00
COMPS.COM INC COM 204679 10 4 1,505 191,100 X 191,100
COMPUTER ASSOC INTL COM 204912 10 9 9,504 135,890 X 129,340 250 6,300
COMPUTER ASSOC INTL COM 204912 10 9 37,698 539,025 X 539,025
COMPUTER SCIENCES COM 205363 10 4 33 350 X 350
COMPUWARE CORP COM 205638 10 9 1,706 45,800 X 43,620 80 2,100
COMPUWARE CORP COM 205638 10 9 13,330 357,851 X 357,851
COMVERSE TECH INC COM 205862 40 2 8,276 57,175 X 9,175 48,000
COMVERSE TECH INC COM 205862 40 2 13,502 93,278 X 22,000 71,278
CONAGRA INC COM 205887 10 2 4,121 181,650 X 33,750 147,900
CONCENTRIC NETWORK COM 20589R 10 7 110 3,554 X 3,554
PAGE TOTAL 499,347
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 11
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
COM21 INC COM 205937 10 5 20 890 X 890
COM21 INC COM 205937 10 5 98 4,374 X 4,374
CONCORD EFS INC COM 206197 10 5 33,013 1,282,050 X 1,048,45 233,600
CONCORD EFS INC COM 206197 10 5 10,590 411,250 X 411,250
CONEXANT SYS INC COM 207142 10 0 4,510 67,950 X 10,250 57,700
CONNECTICS CORP COM 208192 10 4 26 2,482 X 2,482
CONNECTICS CORP COM 208192 10 4 683 65,000 X 65,000
CONOCO INC CL A COM 208251 30 6 125,047 5,052,390 X 3,948,22 1,104,16
CONOCO INC CL A COM 208251 30 6 146 5,900 X 5,900
CONSOL STORES CORP COM 210149 10 0 43 2,656 X 2,656
COORS (ADOLPH) CL B COM 217016 10 4 378 7,200 X 7,200
COORS (ADOLPH) CL B COM 217016 10 4 3,990 76,000 X 76,000
COPPER MOUNT NETWK COM 217510 10 6 20 400 X 400
CORDANT TECH INC COM 218412 10 4 39 1,183 X 1,183
CORNING INC COM 219350 10 5 9,224 71,535 X 68,210 125 3,200
CORNING INC COM 219350 10 5 34,141 264,785 X 20,000 244,785
CORRECTIONAL PROP TR COM 22025E 10 4 5,302 432,800 X 388,500 44,300
CORRECTIONAL PROP TR COM 22025E 10 4 1,715 140,000 X 140,000
CRANE CO COM 224399 10 5 1,310 65,891 X 65,891
CRITICAL PATH INC COM 22674V 10 0 39,944 423,250 X 158,850 264,400
CRITICAL PATH INC COM 22674V 10 0 5,018 53,175 X 53,175
PAGE TOTAL 275,257
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 12
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CROWN CORK & SEAL COM 228255 10 5 40 1,800 X 1,800
CROWN VANTAGE INC COM 228622 10 6 0 222 X 222
CUMMINS ENGINE INC COM 231021 10 6 2,805 58,050 X 10,650 47,400
CUNNINGHAM GRAPHICS COM 231157 10 8 2,043 146,600 X 146,600
CYBERIAN OUTPOST INC COM 231914 10 2 149 15,000 X 15,000
CYLINK CORP COM 232565 10 1 2,697 199,800 X 199,800
CYMER INC COM 232572 10 7 20,562 447,000 X 347,200 99,800
CYMER INC COM 232572 10 7 4,867 105,800 X 105,800
CYPRESS SEMICON COM 232806 10 9 79,044 2,441,500 X 1,889,50 552,000
CYPRESS SEMICON COM 232806 10 9 23,954 739,900 X 589,900 150,000
D & K HLTHCARE RES COM 232861 10 4 124 8,500 X 8,500
DST SYS INC COM 233326 10 7 374 4,900 X 4,900
DSP GP INC COM 23332B 10 6 335 3,600 X 3,600
DANA CORP COM 235811 10 6 1,922 64,210 X 11,710 52,500
DARDEN REST INC COM 237194 10 5 29 1,600 X 1,600
DELL COMPUTER CORP COM 247025 10 9 74,214 1,455,175 X 1,128,23 2,120 324,820
DELL COMPUTER CORP COM 247025 10 9 97 1,900 X 1,900
DELL COMPUTER CORP COM 247025 10 9 129,585 2,540,873 X 2,540,87
DELPHI AUTOMOTIVE COM 247126 10 5 30 1,905 X 1,905
DELTA AIR LINES INC COM 247361 10 8 20 404 X 404
DEUTSCHE TELEKOM ADR COM 251566 10 5 3,066 43,180 X 43,180
DIAL CORP COM 25247D 10 1 8,424 346,500 X 321,500 25,000
DIAL CORP COM 25247D 10 1 2,067 85,000 X 85,000
DIGITAL MICROWAVE COM 253859 10 2 28,435 1,213,200 X 954,400 258,800
PAGE TOTAL 384,883
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 13
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DIGITAL ISLAND INC COM 25385N 10 1 43 450 X 450
DIGITAL RIVER INC COM 25388B 10 4 8 250 X 250
DISNEY (WALT) CO COM 254687 10 6 5,096 174,220 X 100,320 27,300 46,600
DISNEY (WALT) CO COM 254687 10 6 199 6,800 X 6,800
DIRECT FOCUS INC USD COM 254931 10 8 2,062 74,300 X 74,300
DIRECT FOCUS INC USD COM 254931 10 8 278 10,000 X 10,000
DOUBLECLICK INC COM 258609 30 4 17,094 67,550 X 5,550 62,000
DOUBLECLICK INC COM 258609 30 4 8,945 35,348 X 35,348
DOVER CORP COM 260003 10 8 1,570 34,600 X 34,600
DOW CHEMICAL CO COM 260543 10 3 241 1,800 X 1,800
DUPONT (E.I.) COM 263534 10 9 6,493 98,560 X 56,072 42,488
DUPONT (E.I.) COM 263534 10 9 69 1,051 X 1,051
DUKE ENY CORP COM 264399 10 6 5,619 112,100 X 20,700 91,400
DURA AUTOMOTIVE SYS COM 265903 10 4 5,816 333,500 X 270,700 62,800
DURA AUTOMOTIVE SYS COM 265903 10 4 1,515 86,900 X 86,900
ELEC DE PORTUGAL ADR COM 268353 10 9 35 1,000 X 1,000
EMC CORP COM 268648 10 2 638,112 5,840,843 X 4,397,30 4,280 1,439,25
EMC CORP COM 268648 10 2 1,136 10,400 X 5,500 4,900
EMC CORP COM 268648 10 2 115,352 1,055,855 X 38,050 1,017,80
PAGE TOTAL 809,283
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 14
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
E-TEK DYNAMICS INC COM 269240 10 7 1,743 12,950 X 12,950
E-TEK DYNAMICS INC COM 269240 10 7 4,308 32,000 X 32,000
E*TRADE GROUP INC COM 269246 10 4 4,781 183,000 X 183,000
E*TRADE GROUP INC COM 269246 10 4 26 1,000 X 1,000
EASTMAN CHEM CO COM 277432 10 0 31 646 X 646
EASTMAN KODAK CO COM 277461 10 9 171 2,587 X 2,587
EBAY INC COM 278642 10 3 5,869 46,878 X 13,400 33,478
EBAY INC COM 278642 10 3 3,130 25,000 X 25,000
ECHELON CORP COM 27874N 10 5 1,054 53,874 X 35,700 18,174
ECHELON CORP COM 27874N 10 5 4 196 X 196
ECLIPSE SURGICAL TEC COM 278849 10 4 23 3,110 X 3,110
JD EDWARDS & CO COM 281667 10 5 299 10,000 X 10,000
EDWARDS (AG) INC COM 281760 10 8 3,780 117,900 X 21,700 96,200
EGGHEAD.COM INC COM 282329 10 1 34 2,070 X 2,070
EL PASO ENY CORP COM 283905 10 7 65 1,670 X 1,670
EL PASO ENY CORP COM 283905 10 7 7 186 X 186
ELECTRO ARTS INC COM 285512 10 9 1,445 17,200 X 17,200
ELECTRO ARTS INC COM 285512 10 9 9,912 118,000 X 98,000 20,000
ELECTRO DATA SYS COM 285661 10 4 8,180 122,200 X 20,900 101,300
ELECTRO FOR IMAGING COM 286082 10 2 110 1,900 X 1,900
ELTRAX SYSTEMS INC COM 290375 10 4 290 36,000 X 36,000
EMBREX INC COM 290817 10 5 806 75,000 X 75,000
EMBRATEL PART ADR COM 29081N 10 0 1,469 53,900 X 53,900
EMERSON ELEC CO COM 291011 10 4 6,340 110,500 X 108,900 1,600
EMERSON ELEC CO COM 291011 10 4 222 3,862 X 3,862
PAGE TOTAL 54,099
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 15
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ENRON CORP COM 293561 10 6 1,152 25,964 X 19,564 6,400
ENRON CORP COM 293561 10 6 435 9,800 X 9,000 800
ENTERCOM COMMS CORP COM 293639 10 0 73,130 1,103,850 X 921,350 182,500
ENTERCOM COMMS CORP COM 293639 10 0 32,317 487,800 X 427,800 60,000
ENZON INC COM 293904 10 8 499 11,500 X 11,500
EQUANT NV NY COM 294409 10 7 67 600 X 600
EQUITY OFFICE PROPS COM 294741 10 3 246 10,000 X 10,000
ERICSSON LM ADR COM 294821 40 0 23,947 364,555 X 310,500 54,055
ERICSSON LM ADR COM 294821 40 0 2,365 36,000 X 36,000
ESSEX PROP TR INC COM 297178 10 5 1 15 X 15
EXCHANGE APPS INC COM 300867 10 8 27,865 498,700 X 387,800 110,900
EXCHANGE APPS INC COM 300867 10 8 7,292 130,500 X 130,500
EXODUS COMMS INC COM 302088 10 9 22,826 257,010 X 73,010 184,000
EXODUS COMMS INC COM 302088 10 9 719 8,100 X 8,100
EXODUS COMMS INC COM 302088 10 9 16,235 182,800 X 182,800
EXPEDITORS INTL WASH COM 302130 10 9 32,575 743,500 X 679,500 64,000
EXPEDITORS INTL WASH COM 302130 10 9 16,868 385,000 X 385,000
EXTENDED STAY AMER COM 30224P 10 1 15 2,000 X 2,000
EXTREME NETWORKS INC COM 30226D 10 6 98 1,176 X 1,176
EXTREME NETWORKS INC COM 30226D 10 6 995 11,922 X 11,922
PAGE TOTAL 259,647
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 16
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
FPL GP INC COM 302571 10 4 30 700 X 700
FYI INC COM 302712 10 4 928 27,300 X 20,700 6,600
FAMILY DOLLAR STORES COM 307000 10 9 3,099 190,000 X 190,000
FAMILY DOLLAR STORES COM 307000 10 9 4,323 265,000 X 265,000
FREDDIE MAC COM 313400 30 1 61,780 1,312,700 X 855,400 457,300
FANNIE MAE COM 313586 10 9 114,326 1,831,035 X 1,493,15 337,885
FANNIE MAE COM 313586 10 9 212 3,400 X 3,400
FEDERATED INVESTOR B COM 314211 10 3 4,807 239,600 X 239,600
FEDERATED INVESTOR B COM 314211 10 3 6,856 341,700 X 341,700
FINET.COM INC COM 317922 30 0 1 1,000 X 1,000
FIRST SW SMALL BUS COM 336999 AB 1 22 22,250 X 22,250
FIRST TENN NATL CORP COM 337162 10 1 86 3,000 X 3,000
FIRSTAR CORP COM 33763V 10 9 9,109 431,200 X 431,200
FISERV INC COM 337738 10 8 43,298 1,130,100 X 1,031,60 98,500
FISERV INC COM 337738 10 8 25,455 664,400 X 664,400
FIRST ENY CORP COM 337932 10 7 1,182 52,100 X 52,100
FLORIDA PROGRESS COM 341109 10 6 63 1,500 X 1,500
FLUOR CORP COM 343861 10 0 53 1,147 X 1,147
FOCAL INC COM 343909 10 7 4 1,012 X 1,012
FORD MOTOR CO COM 345370 10 0 11,462 215,000 X 39,900 175,100
FOREST LAB INC COM 345838 10 6 38,657 629,200 X 562,200 67,000
PAGE TOTAL 325,753
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 17
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
FORRESTER RESEARCH COM 346563 10 9 3,444 50,000 X 50,000
FORT JAMES CORP COM 347471 10 4 61 2,223 X 2,223
FOX ENTERT GP A COM 35138T 10 7 27 1,100 X 1,100
FRANKLIN RES INC COM 354613 10 1 224 7,000 X 7,000
FRANKLIN RES INC COM 354613 10 1 2,658 82,900 X 82,900
FRED'S INC COM 356108 10 0 598 37,500 X 37,500
FRENCH FRAGRANCES COM 357658 10 3 4,468 694,000 X 518,600 175,400
FRENCH FRAGRANCES COM 357658 10 3 3,136 487,125 X 487,125
FRESENIUS MED CR ADR COM 358029 10 6 0 5 X 5
FUJITSU LTD ADR COM 359590 30 4 47 205 X 205
FURNITURE BRANDS COM 360921 10 0 2,438 110,800 X 110,800
G & K SVCS INC CL A COM 361268 10 5 8,855 273,500 X 207,700 65,800
G & K SVCS INC CL A COM 361268 10 5 8,450 261,000 X 181,000 80,000
GTE CORP COM 362320 10 3 245,520 3,479,450 X 2,611,95 867,500
GTE CORP COM 362320 10 3 2,718 38,524 X 1,000 37,524
GAP INC COM 364760 10 8 405 8,800 X 8,800
GAP INC COM 364760 10 8 56 1,225 X 1,225
GATEWAY INC COM 367626 10 8 6,200 86,030 X 80,870 1,160 4,000
GATEWAY INC COM 367626 10 8 22,810 316,535 X 316,535
PAGE TOTAL 312,115
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 18
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
GEN DYNAMICS CORP COM 369550 10 8 501 9,500 X 6,900 2,600
GEN DYNAMICS CORP COM 369550 10 8 15,138 286,973 X 86,000 200,973
GEN ELEC CO COM 369604 10 3 1,137,216 7,348,730 X 5,494,80 18,350 1,835,57
GEN ELEC CO COM 369604 10 3 8,341 53,900 X 49,100 4,800
GEN ELEC CO COM 369604 10 3 12,592 81,368 X 43,200 38,168
GEN MILLS INC COM 370334 10 4 114 3,200 X 3,200
GEN MOTORS CORP COM 370442 10 5 198 2,726 X 2,726
GENZYME CORP GEN DIV COM 372917 10 4 329 7,300 X 7,300
GENZYME TISSUE REP COM 372917 40 1 1 198 X 198
GEORGIA-PACIFIC GP COM 373298 10 8 4,222 83,200 X 16,300 66,900
GILLETTE CO COM 375766 10 2 82,569 2,004,690 X 1,493,65 511,040
GILLETTE CO COM 375766 10 2 881 21,400 X 19,500 1,900
GLAXO WELLCOME ADR COM 37733W 10 5 3,123 55,900 X 55,900
GLOBAL INDS LTD COM 379336 10 0 125 14,500 X 14,500
GLOBAL TELESYS GP COM 37936U 10 4 49,924 1,436,675 X 1,220,82 1,300 214,550
GLOBAL TELESYS GP COM 37936U 10 4 23 650 X 650
GLOBAL TELESYS GP COM 37936U 10 4 19,733 567,850 X 567,450 400
GLOBECOMM SYSTEMS COM 37956X 10 3 1,810 71,700 X 71,700
GOODRICH PET CORP COM 382410 40 5 0 6 X 6
GOODYEAR TIRE & RUBR COM 382550 10 1 1,591 56,710 X 10,210 46,500
GO2NET INC COM 383486 10 7 1,740 20,000 X 20,000
GRAINGER (W.W.) INC COM 384802 10 4 48 1,000 X 1,000
GREAT LAKES CHEM COM 390568 10 3 53 1,400 X 1,400
GREATER BAY BANCORP COM 391648 10 2 883 20,600 X 20,600
GPO TELEVISA GDR COM 40049J 20 6 785 11,500 X 11,500
PAGE TOTAL 1,341,940
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 19
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
GUCCI GROUP NY COM 401566 10 4 10,515 91,830 X 64,080 18,600 9,150
GUCCI GROUP NY COM 401566 10 4 143 1,250 X 1,250
GUCCI GROUP NY COM 401566 10 4 2,944 25,710 X 25,710
GUIDANT CORP COM 401698 10 5 106,556 2,267,153 X 1,775,17 9,475 482,500
GUIDANT CORP COM 401698 10 5 888 18,900 X 17,500 1,400
GUIDANT CORP COM 401698 10 5 16,128 343,150 X 336,850 6,300
HADCO CORP COM 404681 10 8 27,983 548,695 X 434,195 114,500
HADCO CORP COM 404681 10 8 6,574 128,900 X 113,900 15,000
HALLIBURTON CO COM 406216 10 1 17,151 426,100 X 235,100 191,000
HANNAFORD BROS CO COM 410550 10 7 125 1,800 X 1,800
HANSON PLC ADR COM 411352 40 4 2 62 X 62
HARBOR INTL GRWTH FD COM 411511 80 1 2,587 118,333 X 118,333
HARLEY-DAVIDSON INC COM 412822 10 8 19,149 298,910 X 222,035 3,675 73,200
HARLEY-DAVIDSON INC COM 412822 10 8 1,570 24,500 X 24,500
HARLEY-DAVIDSON INC COM 412822 10 8 215 3,350 X 2,900 450
HARTFORD FINL SVCS COM 416515 10 4 2,973 62,760 X 11,710 51,050
HARTFORD FINL SVCS COM 416515 10 4 104 2,200 X 1,200 1,000
HEARTPORT INC COM 421969 10 6 86 18,000 X 18,000
HEARTPORT INC COM 421969 10 6 447 94,000 X 94,000
HEALTHEON/WEBMD CORP COM 422209 10 6 216 5,752 X 2,075 3,677
HEINZ (HJ) CO COM 423074 10 3 96 2,400 X 2,400
HELLENIC TELECOM ADR COM 423325 30 7 54 4,500 X 4,500
HEWLETT-PACKARD CO COM 428236 10 3 316,854 2,785,529 X 2,162,52 16,250 606,755
HEWLETT-PACKARD CO COM 428236 10 3 3,509 30,850 X 30,050 800
HEWLETT-PACKARD CO COM 428236 10 3 119,563 1,051,100 X 26,400 1,024,70
HIGH SPEED ACCESS COM 42979U 10 2 8,344 473,400 X 362,000 111,400
HIGH SPEED ACCESS COM 42979U 10 2 1,683 95,500 X 95,500
PAGE TOTAL 666,459
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 20
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
HOME DEPOT INC COM 437076 10 2 242 3,525 X 3,525
HOME DEPOT INC COM 437076 10 2 175 2,550 X 2,550
HORIZON OFFSHORE COM 44043J 10 5 1,117 207,800 X 207,800
HOUSEHOLD INTL INC COM 441815 10 7 6,463 173,500 X 86,300 87,200
HUMAN GENOME SCI INC COM 444903 10 8 382 2,500 X 2,500
ICG COMMS INC COM 449246 10 7 22,313 1,190,000 X 964,600 225,400
ICG COMMS INC COM 449246 10 7 11,025 588,000 X 588,000
ICT GP INC COM 44929Y 10 1 49 4,000 X 4,000
IDEC PHARM CORP COM 449370 10 5 1,067 10,856 X 8,368 2,488
IDEC PHARM CORP COM 449370 10 5 9,763 99,372 X 99,372
IMS HLTH INC COM 449934 10 8 71 2,600 X 2,600
ISS GP INC COM 450306 10 5 854 12,009 X 12,009
ISS GP INC COM 450306 10 5 8,668 121,869 X 2,257 119,612
I-STAT CORP COM 450312 10 3 1,272 87,700 X 87,700
ITT INDS INC COM 450911 10 2 2,960 88,515 X 600 87,915
IKON OFFICE SOL INC COM 451713 10 1 1,016 149,124 X 149,124
ILEX ONCOLOGY INC COM 451923 10 6 441 18,300 X 18,300
ILLINOIS TOOL WORKS COM 452308 10 9 4,723 69,900 X 49,900 20,000
ILLINOIS TOOL WORKS COM 452308 10 9 165 2,439 X 2,439
IMATION CORP COM 45245A 10 7 2 59 X 59
IMPATH INC COM 45255G 10 1 10,035 394,500 X 290,000 104,500
PAGE TOTAL 82,803
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 21
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
IMPERIAL TOBACCO ADR COM 453142 10 1 2 125 X 125
INCYTE PHARM INC COM 45337C 10 2 566 9,431 X 8,000 1,431
INCYTE PHARM INC COM 45337C 10 2 1,226 20,427 X 20,427
INFOSYS TECH LTD ADR COM 456788 10 8 8,867 26,870 X 5,870 21,000
INFOSPACE.COM INC COM 45678T 10 2 10,272 48,000 X 48,000
INFO RESOURCES COM 456905 10 8 1 132 X 84 19 29
INFO RESOURCES COM 456905 10 8 0 32 X 15 17
INHALE THERAPEUTIC COM 457191 10 4 38,667 908,475 X 653,675 400 254,400
INHALE THERAPEUTIC COM 457191 10 4 992 23,300 X 23,300
INHALE THERAPEUTIC COM 457191 10 4 6,016 141,350 X 140,900 450
INNERDYNE INC COM 45764D 10 2 992 283,300 X 283,300
INSIGHT ENT INC COM 45765U 10 3 11,257 277,100 X 218,800 58,300
INSIGHT ENT INC COM 45765U 10 3 3,189 78,500 X 78,500
INNOTRAC CORP COM 45767M 10 9 1,305 94,900 X 94,900
INTEGRATED ELEC SVCS COM 45811E 10 3 5,950 591,300 X 489,600 101,700
INTEGRATED ELEC SVCS COM 45811E 10 3 2,726 270,900 X 270,900
INTEL CORP COM 458140 10 0 549,654 6,677,611 X 5,121,54 24,195 1,531,87
INTEL CORP COM 458140 10 0 3,289 39,960 X 36,960 3,000
INTEL CORP COM 458140 10 0 283,988 3,450,100 X 95,500 3,354,60
PAGE TOTAL 928,959
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 22
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
INTERMEDIA COMMS FLA COM 458801 10 7 29,391 757,250 X 593,350 163,900
INTERMEDIA COMMS FLA COM 458801 10 7 5,562 143,300 X 143,300
IBM CORP COM 459200 10 1 300,033 2,781,304 X 2,240,71 4,255 536,335
IBM CORP COM 459200 10 1 766 7,100 X 4,900 2,200
IBM CORP COM 459200 10 1 194,796 1,805,754 X 2,900 1,802,85
INTL PAPER CO COM 460146 10 3 113 2,005 X 2,005
INTERNET CAP GP INC COM 46059C 10 6 34 200 X 200
INTERPUBLIC GP COS COM 460690 10 0 4,800 83,200 X 52,300 16,600 14,300
INTERTAN INC COM 461120 10 7 29,487 1,128,700 X 879,400 249,300
INTERTAN INC COM 461120 10 7 6,853 262,300 X 262,300
INTERVU INC COM 46114R 10 6 19,457 185,300 X 146,300 39,000
INTERVU INC COM 46114R 10 6 4,169 39,700 X 39,700
INTUIT INC COM 461202 10 3 17,257 287,910 X 30,910 257,000
INTUIT INC COM 461202 10 3 20,752 346,230 X 226,230 120,000
INVITROGEN CORP COM 46185R 10 0 17,802 296,700 X 229,100 67,600
INVITROGEN CORP COM 46185R 10 0 4,056 67,600 X 67,600
I2 TECH INC COM 465754 10 9 21,908 112,350 X 32,350 80,000
I2 TECH INC COM 465754 10 9 14,898 76,400 X 76,400
IVILLAGE INC COM 46588H 10 5 31 1,529 X 1,529
JABIL CIRCUIT INC COM 466313 10 3 49,594 679,370 X 622,870 56,500
JABIL CIRCUIT INC COM 466313 10 3 26,404 361,700 X 361,700
PAGE TOTAL 768,163
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 23
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
JOHNSON & JOHNSON COM 478160 10 4 270,599 2,901,870 X 2,190,53 8,625 702,714
JOHNSON & JOHNSON COM 478160 10 4 177 1,900 X 500 1,400
JOHNSON & JOHNSON COM 478160 10 4 2,749 29,482 X 5,400 24,082
JOHNSON CTRL INC COM 478366 10 7 3,879 68,200 X 11,800 56,400
JONES APPAREL GP INC COM 480074 10 3 475 17,500 X 17,500
JONES APPAREL GP INC COM 480074 10 3 5,018 185,000 X 185,000
KLA-TENCOR CORP COM 482480 10 0 44,061 395,605 X 362,940 65 32,600
KLA-TENCOR CORP COM 482480 10 0 38,942 349,649 X 259,700 89,949
KERR MCGEE CORP COM 492386 10 7 4,221 68,080 X 11,880 56,200
KEYSTONE AUTO INDS COM 49338N 10 9 1,935 329,300 X 256,100 73,200
KEYSTONE AUTO INDS COM 49338N 10 9 361 61,400 X 40,100 21,300
KIMBERLY CLARK CORP COM 494368 10 3 7,999 122,240 X 40,740 81,500
KNIGHT TRIMARK GP A COM 499067 10 6 8,733 189,850 X 24,850 165,000
KNIGHT TRIMARK GP A COM 499067 10 6 2,852 62,000 X 62,000
KOHLS CORP COM 500255 10 4 30,375 420,775 X 316,200 2,650 101,925
KOHLS CORP COM 500255 10 4 722 10,000 X 10,000
KOHLS CORP COM 500255 10 4 1,689 23,400 X 5,000 18,400
KOREA ELEC PWR ADR COM 500631 10 6 249 14,850 X 14,850
KOREA TELCOM ADR COM 50063P 10 3 58,185 778,400 X 508,250 222,850 47,300
KOREA TELCOM ADR COM 50063P 10 3 561 7,500 X 7,500
KOREA TELCOM ADR COM 50063P 10 3 4,844 64,800 X 64,800
KRAUSES FURNITURE COM 500760 20 2 2,575 895,700 X 895,700
KRAUSES FURNITURE COM 500760 20 2 206 71,800 X 71,800
LSI LOGIC CORP COM 502161 10 2 3,081 45,650 X 43,470 80 2,100
PAGE TOTAL 494,488
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 24
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
L-3 COMMS CORP COM 502424 10 4 42,766 1,027,400 X 891,200 136,200
L-3 COMMS CORP COM 502424 10 4 19,060 457,900 X 457,900
FOURTH SEATTLE PRV COM 509999 01 9 500 500,000 X 500,000
ESTEE LAUDER CO CL A COM 518439 10 4 33,707 668,285 X 436,610 10,850 220,825
ESTEE LAUDER CO CL A COM 518439 10 4 1,947 38,600 X 38,600
ESTEE LAUDER CO CL A COM 518439 10 4 7,659 151,850 X 150,850 1,000
LEGATO SYS INC COM 524651 10 6 84 1,225 X 1,225
LEVEL 3 COMMS INC COM 52729N 10 0 328 4,000 X 4,000
LEXMARK INTL GP CL A COM 529771 10 7 11,559 127,725 X 127,725
LIFEPOINT HOSP INC COM 53219L 10 9 2 159 X 159
LIGAND PHARM CL B COM 53220K 20 7 322 25,000 X 25,000
LIGAND PHARM CL B COM 53220K 20 7 1,288 100,000 X 100,000
LILLY (ELI) & CO COM 532457 10 8 350,662 5,273,114 X 3,968,97 21,325 1,282,81
LILLY (ELI) & CO COM 532457 10 8 3,564 53,600 X 49,900 3,700
LILLY (ELI) & CO COM 532457 10 8 3,697 55,592 X 47,000 8,592
LOCKHEED MARTIN CORP COM 539830 10 9 2,344 107,158 X 101,958 200 5,000
LOCKHEED MARTIN CORP COM 539830 10 9 8,661 395,953 X 395,953
LUCENT TECH COM 549463 10 7 428,901 5,718,684 X 4,402,14 9,000 1,307,53
LUCENT TECH COM 549463 10 7 1,673 22,300 X 19,500 2,800
LUCENT TECH COM 549463 10 7 240,196 3,202,607 X 23,796 3,178,81
MBIA INC COM 55262C 10 0 53 1,000 X 1,000
MCI WORLDCOM INC COM 55268B 10 6 720,366 13,575,679 X 10,473,7 39,028 3,062,86
MCI WORLDCOM INC COM 55268B 10 6 7,174 135,200 X 125,700 9,500
MCI WORLDCOM INC COM 55268B 10 6 4,379 82,530 X 74,580 7,950
MDSI MOBILE DATA SOL COM 55268N 10 0 2,078 80,700 X 80,700
MMC NETWORKS INC COM 55308N 10 2 89 2,575 X 2,575
MMC NETWORKS INC COM 55308N 10 2 376 10,925 X 10,925
PAGE TOTAL 1,893,435
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 25
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MACROMEDIA INC COM 556100 10 5 3,660 50,057 X 23,577 26,480
MAPINFO CORP COM 565105 10 3 1,639 44,600 X 44,600
MARIMBA COM 56781Q 10 9 129 2,791 X 2,791
MARSH & MCLENNAN COS COM 571748 10 2 38,863 406,145 X 299,470 1,925 104,750
MARSH & MCLENNAN COS COM 571748 10 2 77 800 X 800
MARSH & MCLENNAN COS COM 571748 10 2 163 1,700 X 1,700
MARTIN MARIETTA MATL COM 573284 10 6 246 6,000 X 6,000
MARTIN MARIETTA MATL COM 573284 10 6 2,645 64,500 X 64,500
MAXIM INTEGRATE PROD COM 57772K 10 1 95,742 2,028,940 X 1,723,62 120 305,200
MAXIM INTEGRATE PROD COM 57772K 10 1 34,195 724,660 X 604,660 120,000
MAXYGEN COM 577776 10 7 923 13,000 X 13,000
MAXYGEN COM 577776 10 7 4,828 68,000 X 68,000
MAY DEPARTMANT STORE COM 577778 10 3 89 2,763 X 2,763
MAYTAG CORP COM 578592 10 7 4,690 97,700 X 18,200 79,500
MCDONALDS CORP COM 580135 10 1 301,608 7,481,650 X 5,408,40 21,050 2,052,20
MCDONALDS CORP COM 580135 10 1 1,854 46,000 X 40,500 5,500
MCDONALDS CORP COM 580135 10 1 2,491 61,800 X 58,000 3,800
MCGRAW HILL CO INC COM 580645 10 9 160 2,600 X 2,600
MCKESSON HBOC INC COM 58155Q 10 3 2 100 X 100
MCLEODUSA INC CL A COM 582266 10 2 48,130 817,500 X 752,400 65,100
MCLEODUSA INC CL A COM 582266 10 2 31,763 539,500 X 539,500
MEADE INSTRUMENTS COM 583062 10 4 11,605 407,200 X 357,900 49,300
MEADE INSTRUMENTS COM 583062 10 4 3,563 125,000 X 125,000
MEASUREMENT SPECIAL COM 583421 10 2 296 14,200 X 14,200
MEDAREX INC COM 583916 10 1 615 16,500 X 16,500
PAGE TOTAL 589,976
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 26
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MEDIMMUNE INC COM 584699 10 2 232 1,400 X 1,400
MEDTRONIC INC COM 585055 10 6 11,974 328,618 X 323,816 3,600 1,202
MERCK & CO INC COM 589331 10 7 186,454 2,775,114 X 2,167,25 4,400 603,458
MERCK & CO INC COM 589331 10 7 551 8,200 X 7,100 1,100
MERCK & CO INC COM 589331 10 7 2,735 40,700 X 34,500 6,200
MERCURY INTERACTIVE COM 589405 10 9 12,445 115,300 X 8,300 107,000
MERCURY INTERACTIVE COM 589405 10 9 2,267 21,000 X 21,000
MERISTAR HOTEL & RES COM 589988 10 4 1,654 464,100 X 464,100
MERISTAR HOTEL & RES COM 589988 10 4 143 40,000 X 40,000
MERRILL LYNCH & CO COM 590188 10 8 15,100 181,250 X 36,050 145,200
METALS USA INC COM 591324 10 8 6,583 774,500 X 555,400 219,100
METALS USA INC COM 591324 10 8 1,480 174,100 X 174,100
METTLER-TOLEDO INTL COM 592688 10 5 3,777 98,900 X 70,400 28,500
METTLER-TOLEDO INTL COM 592688 10 5 729 19,100 X 1,900 17,200
MICROS SYS INC COM 594901 10 0 34,114 461,000 X 355,200 105,800
MICROS SYS INC COM 594901 10 0 9,679 130,800 X 105,800 25,000
MICROSOFT CORP COM 594918 10 4 1, 376,456 11,789,771 X 9,248,65 37,835 2,503,28
MICROSOFT CORP COM 594918 10 4 14,419 123,500 X 116,800 6,700
MICROSOFT CORP COM 594918 10 4 619,379 5,305,175 X 121,650 5,183,52
MICROCHIP TECH INC COM 595017 10 4 25,360 370,556 X 290,700 79,856
MICROCHIP TECH INC COM 595017 10 4 20,163 294,620 X 261,100 33,520
MICROCIDE PHARM INC COM 595018 10 2 35 3,934 X 3,934
MICROCIDE PHARM INC COM 595018 10 2 172 19,341 X 19,341
MICROMUSE INC COM 595094 10 3 6,010 35,350 X 19,150 16,200
PAGE TOTAL 2,351,911
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 27
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MICRON TECH INC COM 595112 10 3 21,082 269,847 X 269,847
MID-STATE BANCSHS COM 595440 10 8 478 15,000 X 15,000
MILLENNIUM PHARM INC COM 599902 10 3 2,329 19,090 X 4,000 15,090
MILLENNIUM PHARM INC COM 599902 10 3 7,615 62,421 X 62,421
MILLENNIUM CHEM INC COM 599903 10 1 1 35 X 35
MINNESOTA MNG & MFG COM 604059 10 5 8,751 89,413 X 85,088 175 4,150
MINNESOTA MNG & MFG COM 604059 10 5 39,281 401,334 X 401,334
MODIS PROF SVCS INC COM 607830 10 6 15,282 1,072,400 X 840,900 231,500
MODIS PROF SVCS INC COM 607830 10 6 6,464 453,600 X 278,600 175,000
MOLEX INC COM 608554 10 1 86 1,525 X 1,525
MOLEX INC COM 608554 10 1 8,887 156,771 X 156,771
MOLEX INC CL A COM 608554 20 0 35,281 779,700 X 699,900 79,800
MOLEX INC CL A COM 608554 20 0 22,127 489,000 X 439,000 50,000
MONRO MUFFLER BRAKE COM 610236 10 1 128 17,100 X 17,100
MONSANTO CO COM 611662 10 7 135 3,800 X 3,800
MORGAN (JP) & CO INC COM 616880 10 0 12,659 99,975 X 19,175 80,800
MS DEAN WITTER & CO COM 617446 44 8 71 500 X 500
MOTOROLA INC COM 620076 10 9 394,449 2,678,770 X 2,033,11 380 645,275
MOTOROLA INC COM 620076 10 9 1,104 7,500 X 4,400 3,100
MOTOROLA INC COM 620076 10 9 94,401 641,094 X 32,000 609,094
NCI BLDG SYS INC COM 628852 10 5 6,805 367,850 X 293,950 73,900
NCR CORP COM 62886E 10 8 3 87 X 87
PAGE TOTAL 677,419
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 28
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NS GROUP INC COM 628916 10 8 1,277 167,500 X 167,500
NEC CORP ADR COM 629050 20 4 30 250 X 250
NATL CMRC BANCORP COM 635449 10 1 4,374 192,800 X 192,800
NATL CMRC BANCORP COM 635449 10 1 5,064 223,200 X 223,200
NATL DATA CORP COM 635621 10 5 4 130 X 130
NATL-OILWELL INC COM 637071 10 1 27,849 1,775,200 X 1,381,50 393,700
NATL-OILWELL INC COM 637071 10 1 7,107 453,000 X 453,000
NATL SEMICON CORP COM 637640 10 3 7,343 171,519 X 171,519
NEOMAGIC CORP COM 640497 10 3 164 15,000 X 15,000
NEOMAGIC CORP COM 640497 10 3 316 28,865 X 28,865
NETWORK ASSOC INC COM 640938 10 6 280 10,500 X 10,500
NET PERCEPTIONS INC COM 64107U 10 1 6,636 158,000 X 158,000
NETSILICON INC COM 64115X 10 5 8 400 X 400
NETWORK APPLIANCE COM 64120L 10 4 46,488 559,670 X 516,390 80 43,200
NETWORK APPLIANCE COM 64120L 10 4 45,605 549,038 X 399,700 149,338
NETWORK ACCESS SOL COM 64120S 10 9 12,273 371,900 X 299,300 72,600
NETWORK ACCESS SOL COM 64120S 10 9 2,630 79,700 X 79,700
NETWORK SOL CL A COM 64121Q 10 2 28,240 129,800 X 54,000 75,800
NETWORK SOL CL A COM 64121Q 10 2 16,143 74,200 X 74,200
NETWORK PERIPHERALS COM 64121R 10 0 35 750 X 750
NEW ERA OF NETWORKS COM 644312 10 0 24 500 X 500
PAGE TOTAL 211,890
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 29
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NEWPORT NEWS SHPBLDG COM 652228 10 7 49 1,797 X 1,797
NEWPORT NEWS SHPBLDG COM 652228 10 7 6 200 X 200
NEXTCARD INC COM 65332K 10 7 67 2,326 X 2,326
NEXTEL COMMS A COM 65332V 10 3 235,672 2,285,305 X 1,791,01 494,290
NEXTEL COMMS A COM 65332V 10 3 2,258 21,900 X 21,900
NEXTEL COMMS A COM 65332V 10 3 186 1,800 X 1,800
NEXTLINK COMMS A COM 65333H 70 7 42,836 515,700 X 473,200 42,500
NEXTLINK COMMS A COM 65333H 70 7 28,241 340,000 X 340,000
NIKE INC CL B COM 654106 10 3 141,722 2,859,426 X 2,167,69 7,700 684,030
NIKE INC CL B COM 654106 10 3 149 3,000 X 700 2,300
NIKE INC CL B COM 654106 10 3 1,720 34,700 X 29,000 5,700
NIPPON TEL & TEL ADR COM 654624 10 5 19 220 X 220
NIPPON TEL & TEL ADR COM 654624 10 5 689 8,000 X 8,000
NOKIA OYJ ADR A COM 654902 20 4 989,571 5,179,290 X 4,125,60 26,915 1,026,77
NOKIA OYJ ADR A COM 654902 20 4 16,355 85,600 X 85,600
NOKIA OYJ ADR A COM 654902 20 4 26,195 137,100 X 130,900 6,200
NORDSTROM INC COM 655664 10 0 9,195 349,450 X 247,450 102,000
NORDSTROM INC COM 655664 10 0 8,025 305,000 X 305,000
NORFOLK SOUTHERN COM 655844 10 8 5,734 279,700 X 51,900 227,800
NORFOLK SOUTHERN COM 655844 10 8 72 3,529 X 3,529
NORTEL NETWORKS USD COM 656569 10 0 290,461 2,875,850 X 2,240,52 183,690 451,635
NORTEL NETWORKS USD COM 656569 10 0 1,192 11,800 X 10,100 1,700
NORTEL NETWORKS USD COM 656569 10 0 145,383 1,439,435 X 103,825 1,335,61
NORTHROP GRUMMAN COM 666807 10 2 617 11,420 X 11,050 20 350
NORTHROP GRUMMAN COM 666807 10 2 3,757 69,489 X 69,489
NOVELL INC COM 670006 10 5 3,387 84,795 X 80,845 150 3,800
PAGE TOTAL 1,953,588
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 30
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NUCOR CORP COM 670346 10 5 3,156 57,580 X 10,430 47,150
NUCOR CORP COM 670346 10 5 58 1,051 X 1,051
NVIDIA CORP COM 67066G 10 4 5 100 X 100
OCTEL CORP COM 675727 10 1 6 600 X 600
OMNICOM GP INC COM 681919 10 6 1,000 10,000 X 10,000
ONE PRICE CLOTHING COM 682411 10 3 621 242,200 X 242,200
ORACLE CORP COM 68389X 10 5 71,248 635,784 X 527,675 1,560 106,549
ORACLE CORP COM 68389X 10 5 997 8,900 X 8,900
ORACLE CORP COM 68389X 10 5 159,888 1,426,772 X 3,100 1,423,67
OREGON STEEL MILLS COM 686079 10 4 2,677 337,300 X 337,300
OREGON STEEL MILLS COM 686079 10 4 1,232 155,200 X 155,200
PECO ENY CO COM 693304 10 7 997 28,700 X 28,700
PE CORP PE BIOSYS GP COM 69332S 10 2 244,311 2,030,630 X 1,626,56 40 404,030
PE CORP PE BIOSYS GP COM 69332S 10 2 914 7,600 X 5,000 2,600
PE CORP PE BIOSYS GP COM 69332S 10 2 41,974 348,874 X 245,800 103,074
PF CHANGS BISTRO COM 69333Y 10 8 6,567 264,000 X 211,700 52,300
PF CHANGS BISTRO COM 69333Y 10 8 1,468 59,000 X 59,000
PNC BK CORP COM 693475 10 5 7,142 160,500 X 30,700 129,800
PPG INDS INC COM 693506 10 7 5,592 89,380 X 16,380 73,000
PPG INDS INC COM 693506 10 7 140 2,237 X 2,237
PS GP HLDGS INC COM 693622 10 2 0 1 X 1
PACIFIC SUNWEAR CA COM 694873 10 0 5,865 184,000 X 138,500 45,500
PACIFIC SUNWEAR CA COM 694873 10 0 819 25,700 X 25,700
PACTIV CORP COM 695257 10 5 95 8,986 X 8,986
PAGE TOTAL 556,772
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 31
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PANTRY INC COM 698657 10 3 2,010 142,300 X 142,300
PARAMETRIC TECH CORP COM 699173 10 0 7,287 269,257 X 269,257
PATTERSON ENERGY INC COM 703414 10 2 2,569 197,600 X 166,700 30,900
PATTERSON ENERGY INC COM 703414 10 2 545 41,900 X 41,900
PEERLESS SYS CORP COM 705536 10 0 3,119 402,500 X 353,400 49,100
PEGASUS SYS INC COM 705906 10 5 11,707 194,100 X 150,100 44,000
PEGASUS SYS INC COM 705906 10 5 615 10,200 X 10,200
PENTON MEDIA INC COM 709668 10 7 575 23,953 X 23,953
PEOPLESOFT INC COM 712713 10 6 5,739 269,260 X 800 268,460
PEPSICO INC COM 713448 10 8 5,901 167,401 X 48,301 119,100
PEREGRINE SYS INC COM 71366Q 10 1 5,712 67,850 X 8,850 59,000
PEREGRINE SYS INC COM 71366Q 10 1 1,852 22,000 X 22,000
PERKINELMER INC COM 714046 10 9 1,925 46,172 X 46,172
PERSONNEL GP AMER COM 715338 10 9 21,189 2,067,200 X 1,714,00 353,200
PERSONNEL GP AMER COM 715338 10 9 6,530 637,100 X 637,100
PHARMACYCLICS INC COM 716933 10 6 578 14,000 X 14,000
PHARMACYCLICS INC COM 716933 10 6 2,475 60,000 X 60,000
PHARMACIA & UPJOHN COM 716941 10 9 98,198 2,182,175 X 1,640,37 541,800
PHARMACIA & UPJOHN COM 716941 10 9 653 14,500 X 12,900 1,600
PFIZER INC COM 717081 10 3 311,195 9,593,546 X 7,009,78 22,130 2,561,63
PFIZER INC COM 717081 10 3 1,712 52,790 X 45,590 7,200
PFIZER INC COM 717081 10 3 409 12,600 X 11,800 800
PHARMACOPEIA COM 71713B 10 4 191 8,457 X 8,457
PHARMACOPEIA COM 71713B 10 4 804 35,520 X 35,520
PHILIP MORRIS COM 718154 10 7 25,009 1,087,350 X 937,350 150,000
PAGE TOTAL 518,499
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 32
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PHILLIPS PETROLEUM COM 718507 10 6 7,001 148,950 X 27,750 121,200
PINNACLE SYS INC COM 723481 10 7 37,278 916,200 X 725,000 191,200
PINNACLE SYS INC COM 723481 10 7 9,118 224,100 X 224,100
PITNEY BOWES INC COM 724479 10 0 3,605 74,620 X 71,085 135 3,400
PITNEY BOWES INC COM 724479 10 0 12,815 265,256 X 265,256
PITTWAY CORP COM 725790 10 9 1,404 31,160 X 31,160
PITTWAY CORP CL A COM 725790 20 8 41,535 926,846 X 657,496 5,800 263,550
PITTWAY CORP CL A COM 725790 20 8 3,303 73,700 X 73,700
PITTWAY CORP CL A COM 725790 20 8 2,592 57,850 X 51,400 6,450
PJ AMER INC COM 72585Q 10 4 1,169 75,400 X 75,400
POHANG IRON ADR COM 730450 10 3 36,120 1,032,000 X 694,800 278,500 58,700
POHANG IRON ADR COM 730450 10 3 494 14,100 X v 14,100
POHANG IRON ADR COM 730450 10 3 2,671 76,300 X 76,300
POLAROID CORP COM 731095 10 5 0 4 X 4
POPE & TALBOT INC COM 732827 10 0 16 1,000 X 1,000
POWER INTEGRATIONS COM 739276 10 3 751 15,672 X 15,672
PRAXAIR INC COM 74005P 10 4 17,257 343,000 X 243,900 99,100
PRAXAIR INC COM 74005P 10 4 9,786 194,500 X 194,500
PROCTER & GAMBLE CO COM 742718 10 9 333,841 3,047,020 X 2,313,52 10,282 723,213
PROCTER & GAMBLE CO COM 742718 10 9 1,545 14,100 X 11,500 2,600
PROCTER & GAMBLE CO COM 742718 10 9 4,185 38,200 X 31,400 6,800
PROTEIN DESIGN LABS COM 74369L 10 3 707 10,100 X 10,100
PROVIDIAN FINL CORP COM 74406A 10 2 4,708 51,700 X 9,600 42,100
QLT PHOTOTHERAP USD COM 746927 10 2 917 15,600 X 15,600
PAGE TOTAL 532,818
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 33
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
QUALCOMM INC COM 747525 10 3 994,324 5,645,560 X 4,173,84 5,160 1,466,56
QUALCOMM INC COM 747525 10 3 2,677 15,200 X 10,800 4,400
QUALCOMM INC COM 747525 10 3 124,033 704,232 X 44,000 660,232
QWEST COMMS INTL COM 749121 10 9 39,179 911,150 X 620,300 7,775 283,075
QWEST COMMS INTL COM 749121 10 9 413 9,600 X 8,900 700
DRCM STRAT GBL GOVT COM 74936A 10 1 2,132 236,880 X 87,770 149,110
RF MONOLITHICS INC COM 74955F 10 6 1 146 X 146
DRCM TR INTLEQ EBT I COM 749999 AD 1 21,984 1,487,028 X 1,279,82 207,204
PAGE TOTAL 1,184,743
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 34
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
RAMBUS INC COM 750917 10 6 202 3,000 X 3,000
RAMBUS INC COM 750917 10 6 1,012 15,000 X 15,000
RALSTON PURINA GP COM 751277 30 2 3,693 132,500 X 25,000 107,500
RATIONAL SOFTWARE COM 75409P 20 2 442 9,000 X 9,000
RAYTHEON CO CL A COM 755111 30 9 4 173 X 173
RAYTHEON CO CL B COM 755111 40 8 6,655 250,520 X 91,350 120 159,050
RAYTHEON CO CL B COM 755111 40 8 8,990 338,425 X 338,425
RAZORFISH INC COM 755236 10 6 3,615 38,000 X 38,000
REALNETWORKS INC COM 75605L 10 4 8,859 73,630 X 10,630 63,000
REALNETWORKS INC COM 75605L 10 4 7,772 64,600 X 64,600
REDBACK NETWORKS COM 757209 10 1 53 300 X 300
REMEDYTEMP INC CL A COM 759549 10 8 1,512 79,600 X 79,600
RENAL CARE GP INC COM 759930 10 0 2,312 98,900 X 89,600 9,300
RENAL CARE GP INC COM 759930 10 0 767 32,800 X 32,800
REUTERS GP PLC ADR COM 76132M 10 2 112 1,386 X 1,386
REX STORES CORP COM 761624 10 5 13,997 399,900 X 323,700 76,200
REX STORES CORP COM 761624 10 5 2,825 80,700 X 80,700
ROCKWELL INTL CORP COM 773903 10 9 10,451 218,295 X 85,205 90 133,000
ROCKWELL INTL CORP COM 773903 10 9 13,966 291,722 X 101,500 190,222
ROHM & HAAS CO COM 775371 10 7 13,041 320,500 X 290,000 30,500
ROHM & HAAS CO COM 775371 10 7 65 1,600 X 1,600
ROHM & HAAS CO COM 775371 10 7 9,073 223,000 X 223,000
ROMAC INTL INC COM 775835 10 1 45,029 3,350,900 X 2,591,70 759,200
ROMAC INTL INC COM 775835 10 1 16,912 1,258,500 X 920,000 338,500
ROSS STORES INC COM 778296 10 3 336 18,716 X 18,716
PAGE TOTAL 171,695
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FLE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 35
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ROYAL DUTCH PETE NY COM 780257 80 4 575 9,500 X 8,400 1,100
ROYAL DUTCH PETE NY COM 780257 80 4 61 1,000 X 1,000
SBC COMMS INC COM 78387G 10 3 159,349 3,268,706 X 2,514,37 2,500 751,830
SBC COMMS INC COM 78387G 10 3 219 4,500 X 4,500
SBC COMMS INC COM 78387G 10 3 609 12,500 X 9,000 3,500
SBS TECH INC COM 78387P 10 3 438 12,000 X 12,000
SCP POOL CORP COM 784028 10 2 1,346 51,900 X 51,900
SDL INC COM 784076 10 1 1,799 8,250 X 8,250
SDL INC COM 784076 10 1 4,360 20,000 X 20,000
SFX ENTERT INC COM 784178 10 5 30,119 832,300 X 628,000 204,300
SFX ENTERT INC COM 784178 10 5 8,638 238,700 X 108,700 130,000
S&P500 DEP RECEIPT COM 78462F 10 3 15 100 X 100
SAFECO CORP COM 786429 10 0 3,866 155,400 X 28,900 126,500
SAFEWAY INC COM 786514 20 8 111,093 3,107,490 X 1,640,07 1,467,42
SAFEWAY INC COM 786514 20 8 504 14,100 X 11,200 2,900
ST PAUL COS INC COM 792860 10 8 710 21,072 X 21,072
ST PAUL COS INC COM 792860 10 8 48 1,432 X 586 846
SANMINA CORP COM 800907 10 7 36,513 365,590 X 335,305 85 30,200
SANMINA CORP COM 800907 10 7 11,386 114,000 X 114,000
SAP AG ADR COM 803054 20 4 677 13,000 X 13,000
SAP AG ADR COM 803054 20 4 729 14,000 X 14,000
SAPIENT CORP COM 803062 10 8 8,315 59,000 X 59,000
SARA LEE CORP COM 803111 10 3 1,095 49,614 X 46,414 3,200
SAUCONY INC CL B COM 804120 20 2 25 1,800 X 1,800
SCANSOURCE INC COM 806037 10 7 868 21,400 X 21,400
SCHERING PLOUGH CORP COM 806605 10 1 19,759 466,300 X 326,700 16,000 123,600
PAGE TOTAL 403,116
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 36
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SCHLUMBERGER LTD COM 806857 10 8 86,081 1,533,740 X 1,291,74 242,000
SCHLUMBERGER LTD COM 806857 10 8 511 9,100 X 6,100 3,000
SCHOOL SPECIALTY INC COM 807863 10 5 15,349 1,014,800 X 815,500 199,300
SCHOOL SPECIALTY INC COM 807863 10 5 4,813 318,200 X 253,200 65,000
SCHWAB (CHARLES) COM 808513 10 5 51,100 1,335,946 X 1,017,37 24,098 294,478
SCHWAB (CHARLES) COM 808513 10 5 1,500 39,220 X 39,220
SCHWAB (CHARLES) COM 808513 10 5 748 19,550 X 4,800 14,750
SCIENTIFIC ATLANTA COM 808655 10 4 2,181 39,035 X 37,165 70 1,800
SCIENTIFIC ATLANTA COM 808655 10 4 4,390 78,561 X 78,561
SCOTTS CO CL A COM 810186 10 6 25,249 627,300 X 404,100 223,200
SCOTTS CO CL A COM 810186 10 6 2,089 51,900 X 51,900
SCOTTS CO CL A COM 810186 10 6 3,494 86,800 X 5,700 81,100
SCUDDER DEV FD COM 811196 10 4 310 7,052 X 7,052
SEAGATE TECH INC COM 811804 10 3 2,482 53,295 X 50,805 90 2,400
SEAGATE TECH INC COM 811804 10 3 9,699 208,304 X 208,304
SEALED AIR CORP COM 81211K 10 0 1,114 21,500 X 21,500
SEALED AIR CORP COM 81211K 10 0 1,813 35,000 X 35,000
SEARS ROEBUCK & CO COM 812387 10 8 2,391 78,700 X 14,200 64,500
SEPRACOR INC COM 817315 10 4 105,259 1,061,204 X 785,809 950 274,445
SEPRACOR INC COM 817315 10 4 1,091 11,000 X 10,000 1,000
SEPRACOR INC COM 817315 10 4 2,981 30,050 X 29,900 150
SHELL TRNSPRT ADR COM 822703 60 9 172 3,500 X 3,500
SHERWIN WILLIAMS CO COM 824348 10 6 54 2,593 X 2,593
SHIRE PHARM GP ADR COM 82481R 10 6 561 19,270 X 19,270
SIEBEL SYS INC COM 826170 10 2 31,975 380,650 X 207,650 173,000
SIEBEL SYS INC COM 826170 10 2 16,817 200,200 X 200,200
PAGE TOTAL 374,224
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 37
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SIGMA ALDRICH CORP COM 826552 10 1 44 1,474 X 1,474
SILICON GRAPHICS INC COM 827056 10 2 1,781 183,803 X 183,803
SILICON VALLEY BNCSH COM 827064 10 6 8,578 173,300 X 113,400 59,900
SILICON VALLEY BNCSH COM 827064 10 6 5,000 101,000 X 26,000 75,000
SILKNET SOFTWARE INC COM 827094 10 3 8,951 54,000 X 54,000
SMITH INTL INC COM 832110 10 0 37,549 755,700 X 689,200 66,500
SMITH INTL INC COM 832110 10 0 17,118 344,500 X 344,500
SMITHKLINE BEECH ADR COM 832378 30 1 21,604 336,900 X 326,100 2,000 8,800
SMITHKLINE BEECH ADR COM 832378 30 1 1,924 30,000 X 30,000
SOFTNET SYS INC COM 833964 10 9 22,190 883,200 X 698,600 184,600
SOFTNET SYS INC COM 833964 10 9 5,741 228,500 X 228,500
SOLECTRON CORP COM 834182 10 7 27,867 292,954 X 292,954
SOLUTIA INC COM 834376 10 5 27 1,719 X 1,719
SONY CORP ADR COM 835699 30 7 1,788 6,280 X 6,180 100
SONY CORP ADR COM 835699 30 7 712 2,500 X 2,500
SOURCE INFO MGMT CO COM 836151 20 9 1,700 101,500 X 101,500
SPORTSLINE USA INC COM 848934 10 5 871 17,376 X 5,000 12,376
SPORTSLINE USA INC COM 848934 10 5 2,778 55,416 X 4,916 50,500
SPRINT CORP (FON GP) COM 852061 10 0 39 583 X 583
SPRINT CORP (FON GP) COM 852061 10 0 156 2,318 X 2,318
STAPLES INC COM 855030 10 2 21,196 1,021,500 X 918,000 103,500
STAPLES INC COM 855030 10 2 14,629 705,000 X 705,000
STAR BUFFET INC COM 855086 10 4 875 250,000 X 250,000
STAR BUFFET INC COM 855086 10 4 152 43,500 X 43,500
STATE STREET CORP COM 857477 10 3 804 11,000 X 9,400 1,600
STERLING COMMERCE COM 859205 10 6 133 3,900 X 3,900
PAGE TOTAL 204,207
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 38
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
STMICROELECRO NV NY COM 861012 10 2 1,514 10,000 X 10,000
STMICROELECRO NV NY COM 861012 10 2 11,933 78,800 X 78,800
STRYKER CORP COM 863667 10 1 37,925 544,700 X 504,200 40,500
STRYKER CORP COM 863667 10 1 18,799 270,000 X 270,000
SUN MICROSYS INC COM 866810 10 4 84,141 1,086,562 X 798,820 2,642 285,100
SUN MICROSYS INC COM 866810 10 4 434 5,600 X 5,600
SUN MICROSYS INC COM 866810 10 4 146,815 1,895,900 X 4,950 1,890,95
SUPERIOR ENY SVCS COM 868157 10 8 16,889 2,502,000 X 1,995,80 506,200
SUPERIOR ENY SVCS COM 868157 10 8 3,908 578,900 X 578,900
SYBRON INTL CORP COM 87114F 10 6 7,061 286,000 X 259,000 27,000
SYBRON INTL CORP COM 87114F 10 6 4,518 183,000 X 183,000
SYKES ENTERPRISES COM 871237 10 3 26,286 599,100 X 473,700 125,400
SYKES ENTERPRISES COM 871237 10 3 7,068 161,100 X 161,100
SYNOPSYS INC COM 871607 10 7 2,176 32,600 X 5,700 26,900
SYSCO CORP COM 871829 10 7 3,889 98,300 X 47,200 12,800 38,300
TRW INC COM 872649 10 8 6,038 116,245 X 46,385 60 69,800
TRW INC COM 872649 10 8 7,692 148,104 X 7,300 140,804
TSI INTL SOFTWARE COM 872879 10 1 35,427 625,650 X 487,750 137,900
TSI INTL SOFTWARE COM 872879 10 1 8,494 150,000 X 150,000
TMP WORLDWIDE INC COM 872941 10 9 7,100 50,000 X 50,000
TV GUIDE INC CL A COM 87307Q 10 9 258 6,000 X 6,000
TAIWAN SEMICON ADR COM 874039 10 0 55,097 1,224,383 X 864,731 306,762 52,890
TAIWAN SEMICON ADR COM 874039 10 0 736 16,360 X 16,360
TAIWAN SEMICON ADR COM 874039 10 0 3,936 87,461 X 87,461
TALK.COM INC COM 874264 10 4 11 600 X 600
TANDY CORP COM 875382 10 3 1,840 37,400 X 30,400 7,000
TANDY CORP COM 875382 10 3 4,033 82,000 X 82,000
PAGE TOTAL 504,018
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 39
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
TEKTRONIX INC COM 879131 10 0 1,837 47,249 X 47,249
TELE NORTE LESTE ADR COM 879246 10 6 56 2,200 X 2,200
TELECOM CORP NZD ADR COM 879278 20 8 1,540 40,000 X 40,000
TELEBRAS ADR PFD COM 879287 30 8 90 700 X 700
TELE SA ADR COM 879382 20 8 1,179 14,964 X 14,964
TELE DE MEXICO ADR L COM 879403 78 0 46,748 415,535 X 295,835 95,000 24,700
TELE DE MEXICO ADR L COM 879403 78 0 765 6,800 X 6,800
TELE DE MEXICO ADR L COM 879403 78 0 3,607 32,060 X 32,060
TELESCAN INC COM 879516 10 2 6,441 260,900 X 207,700 53,200
TELESCAN INC COM 879516 10 2 222 9,000 X 9,000
TELLABS INC COM 879664 10 0 5,856 91,235 X 86,865 170 4,200
TELLABS INC COM 879664 10 0 25,821 402,276 X 402,276
TENNECO AUTOMOTIVE COM 880349 10 5 17 1,798 X 1,798
TERADYNE INC COM 880770 10 2 11,286 170,998 X 170,998
TETRA TECH INC COM 88162G 10 3 10,779 701,075 X 522,775 178,300
TETRA TECH INC COM 88162G 10 3 2,844 185,000 X 185,000
TEXACO INC COM 881694 10 3 109 2,000 X 1,000 1,000
TEXAS INSTRUMENTS COM 882508 10 4 67,738 701,035 X 507,550 385 193,100
TEXAS INSTRUMENTS COM 882508 10 4 77 800 X 800
TEXAS INSTRUMENTS COM 882508 10 4 79,036 817,967 X 5,972 811,995
TEXAS REGL BANCSHS A COM 882673 10 6 490 16,900 X 16,900
TEXAS UTIL CO (HLDG) COM 882848 10 4 1,351 38,000 X 38,000
TEXTRON INC COM 883203 10 1 3,214 41,915 X 39,840 75 2,000
TEXTRON INC COM 883203 10 1 11,407 148,741 X 148,741
THERMO ELECTRON CORP COM 883556 10 2 2,374 158,237 X 158,237
THOMAS & BETTS CORP COM 884315 10 2 1,843 57,818 X 57,818
PAGE TOTAL 286,727
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 40
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
3COM CORP COM 885535 10 4 10,368 220,605 X 84,895 110 135,600
3COM CORP COM 885535 10 4 16,216 345,029 X 345,029
TIME WARNER INC COM 887315 10 9 222,298 3,074,115 X 2,424,64 6,785 642,685
TIME WARNER INC COM 887315 10 9 1,989 27,500 X 25,200 2,300
TIME WARNER INC COM 887315 10 9 1,475 20,400 X 19,900 500
TITAN PHARM INC COM 888314 10 1 9,240 486,300 X 385,300 101,000
TITAN PHARM INC COM 888314 10 1 1,362 71,700 X 71,700
TOTAL FINA SA ADR COM 89151E 10 9 346 5,000 X 5,000
TRANS WORLD ENTERT COM 89336Q 10 0 21,591 2,056,300 X 1,594,40 461,900
TRANS WORLD ENTERT COM 89336Q 10 0 6,206 591,000 X 591,000
TRANSATLANTIC HLDGS COM 893521 10 4 176 2,250 X 2,250
TRIAD HOSP INC COM 89579K 10 9 2 159 X 159
TRICON GBL REST COM 895953 10 7 8 200 X 200
TRIBUNE CO COM 896047 10 7 661 12,000 X 12,000
TRIBUNE CO COM 896047 10 7 126 2,290 X 2,290
TRIZETTO GROUP INC COM 896882 10 7 23 500 X 500
TUBOSCOPE INC COM 898600 10 1 23,031 1,450,800 X 1,108,90 341,900
TUBOSCOPE INC COM 898600 10 1 6,593 415,300 X 415,300
TWEETER HOME ENTERT COM 901167 10 6 547 15,400 X 15,400
TYCO INTL LTD COM 902124 10 6 678,984 17,409,844 X 13,192,7 13,450 4,203,64
TYCO INTL LTD COM 902124 10 6 1,520 38,972 X 25,272 13,700
TYCO INTL LTD COM 902124 10 6 6,408 164,300 X 163,500 800
USX-MARATHON GP COM 902905 82 7 3,259 132,000 X 25,900 106,100
US BANCORP COM 902973 10 6 102 4,302 X 4,302
PAGE TOTAL 1,012,531
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 41
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ULTIMATE ELECTRONICS COM 903849 10 7 20,734 837,750 X 663,350 174,400
ULTIMATE ELECTRONICS COM 903849 10 7 4,574 184,800 X 184,800
UIT F TR 291 NET GR5 COM 903999 AB 1 148 3,961 X 3,961
UNIBANCO GDR COM 90458E 10 7 50 1,650 X 1,650
UNISYS CORP COM 909214 10 8 2,325 72,810 X 69,375 135 3,300
UNISYS CORP COM 909214 10 8 9,898 309,905 X 309,905
UTD HEALTHCARE CORP COM 910581 10 7 62 1,167 X 1,167
UTD PAN EUR COMM ADR COM 911300 20 0 6,248 49,000 X 49,000
UTD TECH CORP COM 913017 10 9 33,580 516,615 X 418,695 220 97,700
UTD TECH CORP COM 913017 10 9 295 4,546 X 2,546 2,000
UTD TECH CORP COM 913017 10 9 31,326 481,941 X 3,200 478,741
UNOCAL CORP COM 915289 10 2 58 1,720 X 1,720
USINTERNETWORKING COM 917311 80 5 26 375 X 375
USWEB CORP COM 917327 10 8 16,278 366,300 X 73,300 293,000
USWEB CORP COM 917327 10 8 10,074 226,700 X 226,700
PAGE TOTAL 135,676
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 42
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
VERIO INC COM 923433 10 6 88 1,900 X 1,900
VERITAS SOFTWARE CO COM 923436 10 9 76,829 536,794 X 440,409 2,135 94,250
VERITAS SOFTWARE CO COM 923436 10 9 50,308 351,500 X 351,250 250
VERISIGN INC COM 92343E 10 2 22,103 115,950 X 5,950 110,000
VERISIGN INC COM 92343E 10 2 22,875 120,000 X 20,000 100,000
VESTCOM INTL INC COM 924904 10 5 523 149,500 X 149,500
VERTEX PHARMA INC COM 92532F 10 0 781 22,300 X 22,300
VETERINARY CTR AMER COM 925514 10 1 16,676 1,295,250 X 998,350 296,900
VETERINARY CTR AMER COM 925514 10 1 4,571 355,000 X 355,000
VIACOM INC CL A COM 925524 10 0 1 10 X 10
VIACOM INC CL B COM 925524 30 8 1 10 X 10
VISTA INFO SOLUTIONS COM 928365 20 4 1,578 435,400 X 435,400
VISTA INFO SOLUTIONS COM 928365 20 4 127 35,000 X 35,000
VISX INC COM 92844S 10 5 223 4,300 X 4,300
VITESSE SEMICON CORP COM 928497 10 6 47,614 908,000 X 833,000 75,000
VITESSE SEMICON CORP COM 928497 10 6 31,237 595,700 X 595,700
VODAFONE AIRTOUC ADR COM 92857T 10 7 77,325 1,562,120 X 1,317,93 8,010 236,175
VODAFONE AIRTOUC ADR COM 92857T 10 7 4,558 92,075 X 92,075
VODAFONE AIRTOUC ADR COM 92857T 10 7 1,082 21,850 X 21,100 750
VOICESTREAM WIRELESS COM 928615 10 3 67,542 474,600 X 435,600 39,000
VOICESTREAM WIRELESS COM 928615 10 3 44,971 316,000 X 316,000
VOYAGER.NET INC COM 92906W 10 1 1,214 132,100 X 132,100
WACKENHUT CORRECTION COM 929798 10 6 10,242 876,300 X 677,000 199,300
WACKENHUT CORRECTION COM 929798 10 6 2,868 245,400 X 245,400
WAL-MART STORES INC COM 931142 10 3 291,233 4,213,135 X 3,096,52 1,116,61
PAGE TOTAL 776,570
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 43
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
WAL-MART STORES INC COM 931142 10 3 235 3,400 X 3,400
WALGREEN CO COM 931422 10 9 54,292 1,856,152 X 1,199,49 14,525 642,128
WALGREEN CO COM 931422 10 9 38 1,300 X 1,300
WALGREEN CO COM 931422 10 9 266 9,100 X 7,100 2,000
WARNER-LAMBERT COM 934488 10 7 484,608 5,914,329 X 4,523,36 15,095 1,375,87
WARNER-LAMBERT COM 934488 10 7 3,208 39,150 X 34,850 4,300
WARNER-LAMBERT COM 934488 10 7 4,843 59,100 X 56,300 2,800
WASTE CONNECTIONS COM 941053 10 0 1,512 104,700 X 104,700
WATERS CORP COM 941848 10 3 10,218 192,800 X 163,200 29,600
WATERS CORP COM 941848 10 3 6,291 118,700 X 118,700
WEATHERFORD INTL INC COM 947074 10 0 101,670 2,545,700 X 2,092,07 12,750 440,875
WEATHERFORD INTL INC COM 947074 10 0 80 2,000 X 2,000
WEATHERFORD INTL INC COM 947074 10 0 35,082 878,400 X 877,200 1,200
WELLS FARGO CO COM 949746 10 1 24,871 615,050 X 529,250 85,800
WELLS FARGO CO COM 949746 10 1 105 2,600 X 2,600
WESTAMERICA BANCORP COM 957090 10 3 1,090 39,000 X 24,000 15,000
WESTAMERICA BANCORP COM 957090 10 3 2,514 90,000 X 90,000
WESTERN WIRELESS A COM 95988E 20 4 31,993 479,300 X 435,800 43,500
WESTERN WIRELESS A COM 95988E 20 4 21,206 317,700 X 317,700
WILLIAMS COMMS GRP COM 969455 10 4 5 175 X 175
WILMAR INDS INC COM 971426 10 1 14,168 815,400 X 607,300 208,100
WILMAR INDS INC COM 971426 10 1 4,646 267,400 X 267,400
WINSTAR COMMS INC COM 975515 10 7 20,944 278,325 X 186,325 7,050 84,950
PAGE TOTAL 823,885
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 44
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
WINSTAR COMMS INC COM 975515 10 7 1,806 24,000 X 23,750 250
WRIGLEY (WM) JR CO COM 982526 10 5 274 3,300 X 3,300
XRC CORP COM 983803 10 2 0 2,318 X 2,318
XILINX INC COM 983919 10 1 213,679 4,699,450 X 3,709,96 260 989,230
XILINX INC COM 983919 10 1 146 3,200 X 3,200
XILINX INC COM 983919 10 1 50,891 1,119,252 X 800,400 318,852
XEROX CORP COM 984121 10 3 3,102 136,710 X 119,275 235 17,200
XEROX CORP COM 984121 10 3 15,071 664,262 X 664,262
YAHOO INC COM 984332 10 6 679,889 1,571,315 X 1,153,69 3,405 414,215
YAHOO INC COM 984332 10 6 5,257 12,150 X 11,000 1,150
YAHOO INC COM 984332 10 6 121,434 280,650 X 17,310 263,340
YOUNG & RUBICAM INC COM 987425 10 5 56,970 805,230 X 742,230 63,000
YOUNG & RUBICAM INC COM 987425 10 5 425 6,000 X 6,000
YOUNG & RUBICAM INC COM 987425 10 5 30,599 432,500 X 432,500
Z-TEL TECH INC COM 988792 10 7 21,831 540,700 X 427,800 112,900
Z-TEL TECH INC COM 988792 10 7 7,473 185,100 X 110,200 74,900
ZIFF-DAVIS INC-ZDNET COM 989511 20 9 410 19,500 X 19,500
ZIONS BANCORP COM 989701 10 7 2,172 36,700 X 26,700 10,000
ZIONS BANCORP COM 989701 10 7 9,002 152,100 X 82,100 70,000
WINK COMMS INC COM 999WIN K9 9 63 62,500 X 62,500
LEVI STRAUSS&CO PRV COM 99LEVI 99 9 168 167,965 X 167,965
MONTEREY CO CARMEL COM 9MONTE RE Y 200 1 X 1
AMDOCS LTD COM G02602 10 3 28,062 813,400 X 755,200 58,200
AMDOCS LTD COM G02602 10 3 631 18,300 X 18,300
AMDOCS LTD COM G02602 10 3 8,780 254,500 X 254,500
GBL CROSSING LTD COM G3921A 10 0 13,663 273,250 X 84,250 189,000
PAGE TOTAL 1,271,988
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 45
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
XL CAPITAL LTD CL A COM G98255 10 5 239 4,600 X 4,600
ALADDIN KNOWLEDGE COM M0392N 10 1 4,876 286,800 X 115,300 171,500
ALADDIN KNOWLEDGE COM M0392N 10 1 967 56,900 X 56,900
AUDIOCODES LTD COM M15342 10 4 14,315 155,600 X 118,800 36,800
AUDIOCODES LTD COM M15342 10 4 1,573 17,100 X 17,100
BACKWEB TECH LTD COM M15633 10 6 775 18,400 X 18,400
CHECK POINT SOFTWARE COM M22465 10 4 46,311 233,010 X 139,010 94,000
CHECK POINT SOFTWARE COM M22465 10 4 26,513 133,400 X 133,400
GILAT SATELLITE NTWK COM M51474 10 0 59 500 X 500
GILAT SATELLITE NTWK COM M51474 10 0 166 1,400 X 1,400
ORBOTECH LTD COM M75253 10 0 53 680 X 680
ASM LITHOGRAPHY NY COM N07059 11 1 120,451 1,058,910 X 806,210 134,000 118,700
ASM LITHOGRAPHY NY COM N07059 11 1 876 7,700 X 7,700
ASM LITHOGRAPHY NY COM N07059 11 1 36,798 323,500 X 323,500
CORE LABORATORIES NV COM N22717 10 7 17,964 898,200 X 696,600 201,600
CORE LABORATORIES NV COM N22717 10 7 4,334 216,700 X 216,700
ROYAL CARIBBEAN LTD COM V7780T 10 3 13,448 272,700 X 270,700 2,000
ROYAL CARIBBEAN LTD COM V7780T 10 3 9,246 187,500 X 187,500
ASE TEST LTD COM Y02516 10 5 1,053 43,200 X 43,200
FLEXTRONICS INTL LTD COM Y2573F 10 2 38,502 837,000 X 758,000 79,000
FLEXTRONICS INTL LTD COM Y2573F 10 2 22,687 493,200 X 493,200
PACIFIC INTERNET COM Y66183 10 7 8,479 180,640 X 3,640 177,000
PACIFIC INTERNET COM Y66183 10 7 94 2,000 X 2,000
{BK NEW ENGLAND COM {06384 01 0 0 88 X 88
{CAREERCOM CORP COM {14168 61 0 1 50,000 X 50,000
PAGE TOTAL 369,780
<PAGE>
<CAPTION>
SCHEDULE 13F
DRESDNER RCM GLOBAL INVESTORS LLC FILE NO. 28-223
94-3244780
ID: SCHED13F 12/31/99 PAGE 46
ITEM 4: ITEM 5: INVESTMENT DISCRETION VOTING AUTHORITY (SHARES)
----------------------- -------- --------------------
ITEM 1: ITEM 2: ITEM 3: MARKET SHAREE OR (B)SHARED (C) MANAGER
VALUE PRINCIPAL (A) AS DEFINED SHARED SEE
NAME OF ISSUE CLASS CUSIP NO. AMOUNT SOLE IN INSTR. -OTHER INSTR. (A)SOLE (B)SHARED (C)NONE
- ------------------------- --- ----------- ------- ----------- ---- ----------- ------------- ------- --------- -------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DAYTON HUDSON CORP COM {23975 31 0 208 2,837 X 1,737 1,100
{GEN INSTRUMENT CORP COM {37012 01 0 4,321 50,835 X 48,435 100 2,300
{GEN INSTRUMENT CORP COM {37012 01 0 14,792 174,024 X 174,024
OPTICAL COATING LAB COM {68382 91 0 2,131 7,200 X 7,200
OPTICAL COATING LAB COM {68382 91 0 14,918 50,400 X 50,400
{DRCM GBL HLTHCARE F COM {74935 P6 0 22 1,475 X 1,475
{REPUBLIC NEW YORK COM {76071 91 0 177 2,463 X 2,463
{STAGECOACH US GOVT COM {85253 L7 0 99 9,391 X 9,391
PAGE TOTAL 36,668
</TABLE>