GENERAL MOTORS INVESTMENT MANAGEMENT CORP
13F-HR/A, 1999-07-26
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                             Form 13F Amendment NO. 1

                               Form 13F COVER PAGE

Report  for  the  Calendar  Year  or  Quarter  Ended:  03/31/99

Check  here  if Amendment [X];  Amendment  Number: 1
This Amendment (Check  only  one.):  [X] is  a  restatement.
                                     [ ] adds  new  holdings entries.

Institutional  Investment  Manager  Filing  this  Report:

Name:     General  Motors  Investment  Mgt.  Co.
Address:  767  Fifth  Avenue  15th  Floor
          New  York,  NY  10153

Form  13F  File  Number:  28-______________

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

Person  Signing  this  Report  on  Behalf  of  Reporting  Manager:

Name:   Michael  Connors
Title:  Assistant  Vice  President
Phone:  (617)  985-7452

Signature,  Place,  and  Date  of  Signing:

 /s/ Michael  Connors           North  Quincy,  MA                    7/26/99
- -------------------------     ----------------------                  -------
     [Signature]                 [City,  State]                       [Date]

Report  Type  (Check  only  one.):

[X]  13F HOLDINGS  REPORT. (Check  here  if  all  holdings  of  this  reporting
     manager  are  reported  in  this  report.)

[ ]  13F  NOTICE. (Check here  if  no holdings reported are in this report, and
     all  holdings  are  reported  by  other  reporting  manager(s.)

[ ]  13F  COMBINATION  REPORT. (Check here it a portion of the holdings for this
     reporting  manager are reported in this report  and a portion are reported
     by other  reporting  manager(s).)

List  of  Other  managers  Reporting  for  this  Manager:
[If  there  are  no  entries  in  this  list,  omit  this  section.]

Form  13F  File  Number     Name

28-_______________          _____________________________________

[Repeat as necessary.]

                              Form 13F SUMMARY PAGE

Report  Summary:

Number  of  Other  Included  Managers:         0

Form  13F  Information  Table  Entry  Total:   1183

Form  13F  Information  Table  Value  Total:  $2,825,711,299.00
                                               (Actual Amount)

List  of  Other  Included  Managers:

Provide  a  numbered  list  of  the  name(s)  and Form 13F file number(s) of all
institutional  investment  managers  with respect to which this report is filed,
other  than  the  manager  filing  this  report.

[If there are no entries in this list, state "NONE" and omit the column headings
and  list  entries.]

NONE

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5           ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR       INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL       DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT    SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -----------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>          <C>   <C>    <C>    <C>   <C>   <C>     <C>
ABR INFORMATION SVCS INC
COM                              00077R108     258,888   14,900.000    X                        X

AFLAC INC
COM                              001055102   1,763,775   32,400.000    X                        X

AGL RES INC
COM                              001204106   2,651,938  151,000.000    X                        X

AHL SVCS INC
COM                              001296102     200,900    9,800.000    X                        X

AMB PPTY CORP
COM                              00163T109     226,175   10,900.000    X                        X

AMLI RESIDENTIAL PPTYS TR
SH BEN INT                       001735109     352,688   17,100.000    X                        X

AMR CORP DEL
COM                              001765106     591,481   10,100.000    X                        X

ARM FINCL INC
CL A                             001944107     436,175   29,200.000    X                        X

AT + T CORP
COM                              001957109  17,359,219  217,500.000    X                        X

AT+T CORP
COM LIBERTY MEDIA GRP CL A       001957208     325,644    6,188.000    X                        X

ABACUS DIRECT CORP
COM                              002553105     360,800    4,400.000    X                        X

ACCEPTANCE INSURANCE CO
COM                              004308102   1,231,200   91,200.000    X                        X

ACCLAIM ENTMT INC
COM PAR 0.02                     004325205     546,975   61,200.000    X                        X

ACTEL CORP
COM                              004934105   2,669,450  162,400.000    X                        X

                                           -------------------
                                PAGE  TOTAL        28,975,308
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
ADAPTEC INC
SUB NT CONV                      00651FAC2   1,235,625  1,500,000.000    X                        X

ADVO INC
COM                              007585102   1,458,094     75,500.000    X                        X

ADVANTA CORP
CL A COM                         007942105     798,713     72,200.000    X                        X

AETNA INC
COM                              008117103   3,818,000     46,000.000    X                        X

AFFILIATED COMPUTER SVCS INC
CL A                             008190100     805,200     17,600.000    X                        X

AFFILIATED MANAGERS GROUP INC
COM                              008252108   1,762,800     67,800.000    X                        X

AIR PRODS + CHEMS INC
COM                              009158106   2,236,525     65,300.000    X                        X

ALBEMARLE CORP
COM                              012653101   1,520,063     72,600.000    X                        X

ALBERTSONS INC
COM                              013104104   1,137,744     20,900.000    X                        X

ALCOA INC
COM                              013817101     280,075      6,800.000    X                        X

ALEXANDRIA REAL ESTATE EQUIT
COM                              015271109   6,432,244    243,300.000    X                        X

ALLERGAN INC
COM                              018490102   1,880,525     21,400.000    X                        X

ALLIANT TECHSYSTEMS INC
COM                              018804104   2,346,163     30,200.000    X                        X

ALLIED SIGNAL INC
COM                              019512102     993,588     20,200.000    X                        X

                                           -----------
                                PAGE TOTAL  26,705,359
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
ALLSTATE CORP
COM                              020002101   3,828,556    103,300.000    X                        X

ALLTEL CORP
COM                              020039103   1,060,375     17,000.000    X                        X

ALTERA CORP
                                 021441100     993,650     16,700.000    X                        X

ALTOS HORNOS DE MEXICO S A
SR DISC NT CONV                  022069AA6     667,500  1,500,000.000    X                        X

AMAZON COM INC
COM                              023135106   1,721,875     10,000.000    X                        X

AMBAC FINL GROUP INC
COM                              023139108     923,400     17,100.000    X                        X

AMEREN CORP
COM                              023608102     452,344     12,500.000    X                        X

AMERICA ONLINE INC DEL
COM                              02364J104   3,965,108     26,998.000    X                        X

AMERICA WEST HLDG CORP
CL B                             023657208   2,478,125    130,000.000    X                        X

AMERICAN BUSINESS PRODS INC GA
COM                              024763104   1,372,000     98,000.000    X                        X

AMERICAN EXPRESS CO
COM                              025816109     916,500      7,800.000    X                        X

AMERICAN GEN CORP
COM                              026351106   2,100,900     29,800.000    X                        X

AMERICAN GEN DEL LLC
MONTHLY INCOME PFD SECS SER A    02637G200   1,297,750     14,500.000    X                        X

AMERICAN GREETINGS CORP
CL A                             026375105     456,750     18,000.000    X                        X

                                            ----------
                                PAGE TOTAL  22,234,833
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
AMERICAN HEALTH PPTYS INC
COM                              026494104     523,800     28,800.000    X                        X

AMERICAN HOME PRODUCTS CORP
COM                              026609107   2,538,225     38,900.000    X                        X

AMERICAN HOMESTAR CORP
COM                              026651109     145,519     19,900.000    X                        X

AMERICAN INTL GROUP INC
COM                              026874107   9,745,053     80,788.000    X                        X

AMERICAN MGMT SYS INC
COM                              027352103   1,259,213     36,900.000    X                        X

AMERICAN TOWER CORP
CL A                             029912201     651,700     26,600.000    X                        X

AMERICREDIT CORP
COM                              03060R101   1,374,188    104,700.000    X                        X

AMERISOURCE HEALTH CORP
CL A                             03071P102     724,775     21,200.000    X                        X

AMERUS LIFE HLDGS INC
COM                              030732101     240,000     10,000.000    X                        X

AMERITECH CORP
NEW COM                          030954101   4,826,775     83,400.000    X                        X

AMGEN INC
COM                              031162100   1,497,500     20,000.000    X                        X

AMTRAN INC
                                 03234G106     203,300     10,700.000    X                        X

AMWAY JAPAN LTD
SPONSORED ADR                    03234J100     263,156     60,150.000    X                        X

ANCHOR GAMING
COM                              033037102     507,500     11,600.000    X                        X

                                            -----------
                                PAGE TOTAL  24,500,704
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
ANDRX CORP
COM                              034551101     902,138      9,900.000    X                        X

ANHEUSER BUSCH COS INC
COM                              035229103   2,596,744     34,100.000    X                        X

APARTMENT INVT. + MGMT CO
CLASS A                          03748R101   9,867,685    272,212.000    X                        X

APPLE COMPUTER
COM NPV                          037833100   1,056,563     29,400.000    X                        X

APPLIED MICRO CIRCUITS CORP
CDT COM                          03822W109     423,225      9,900.000    X                        X

APPLIED MATERIALS INC
COM                              038222105   1,252,256     20,300.000    X                        X

AQUA ALLIANCE INC
CL A                             038367108     273,600    121,600.000    X                        X

ARCH COAL INC
COM                              039380100     215,975     16,300.000    X                        X

ARCHSTONE CMNTYS TR
SH BEN INT                       039581103  47,774,979  2,373,912.000    X                        X

ARVIN INDS INC
COM                              043339100   1,360,975     40,400.000    X                        X

ASPECT DEV INC
COM                              045234101     462,675     19,900.000    X                        X

ASPECT TELECOMMUNICATIONS CORP
SUB DEB CONV ZERO CPN 144A       045237AB0     956,250  5,000,000.000    X                        X

ASSET INVS CORP
COM NEW                          045417201   1,023,600     85,300.000    X                        X

ASSOCIATED ESTATES RLTY CORP
COM                              045604105     562,581     53,900.000    X                        X

                                            ----------
                                PAGE TOTAL  68,729,246
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
AT ENTMT INC
COM                              045920105     643,150     67,700.000    X                        X

ASSOCIATES FIRST CAP CORP
CL A                             046008108     351,000      7,800.000    X                        X

ATMOS ENERGY CORP
COM                              049560105   2,526,563    105,000.000    X                        X

AUTHENTIC FITNESS CORP
COM                              052661105   1,719,738    111,400.000    X                        X

AUTOMATIC COM EXCHANGE SEC TR
TR AUTOMATIC COM EXCHANGE SEC    05300A202   1,102,000     76,000.000    X                        X

AVALONBAY CMNTYS INC
COM                              053484101  24,760,419    780,850.000    X                        X

AVANT CORP
COM                              053487104   1,025,950     57,800.000    X                        X

AVID TECHNOLOGY INC
COM                              05367P100     960,806     55,100.000    X                        X

AVISTA CORP
COM                              05379B107   2,616,250    161,000.000    X                        X

AVIS RENT A CAR INC
COM                              053790101   1,403,756     50,700.000    X                        X

AVONDALE INDS INC
                                 054350103     356,950     12,100.000    X                        X

AXENT TECHNOLOGIES INC
COM                              05459C108     512,531     21,300.000    X                        X

BB+T CORP
COM                              054937107   1,635,675     45,200.000    X                        X

BEC ENERGY
COM                              05538M101     216,825      5,900.000    X                        X

                                            ----------
                                PAGE TOTAL  39,831,613
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
BP AMOCO PLC
SPONSORED ADR                    055622104   1,599,658     15,848.000    X                        X

BRE PPTYS INC
COM RTS CALLABLE THRU 07SEP99    05564E106  11,765,000    520,000.000    X                        X

BSB BANCORP INC
COM                              055652101   1,169,250     48,000.000    X                        X

BMC SOFTWARE INC
COM                              055921100     555,938     15,000.000    X                        X

BACOU USA INC
COM                              056439102     706,125     53,800.000    X                        X

BALL CORP
COM                              058498106   3,679,900     78,400.000    X                        X

BALLY TOTAL FITNESS HLDG CORP
COM                              05873K108     210,100      8,800.000    X                        X

BANCFIRST CORP
COM                              05945F103     383,625     11,000.000    X                        X

BANCWEST CORP NEW
COM                              059790105   1,134,750     26,700.000    X                        X

BANK NEW YORK INC
COM                              064057102   1,444,688     40,200.000    X                        X

BANK ONE CORP
COM                              06423A103   5,558,890    100,956.000    X                        X

BANK UTD CORP
CL A                             065412108     327,000      8,000.000    X                        X

BANKATLANTIC BANCORP INC
COM                              065908105     283,744     40,900.000    X                        X

BANKBOSTON CORP
COM                              06605R106     303,188      7,000.000    X                        X

                                            ----------
                                PAGE TOTAL  29,121,856
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
BANKNORTH GROUP INC DEL
                                 06646L100   1,412,500     50,000.000    X                        X

BANTA CORP
COM STK                          066821109   1,996,900    105,100.000    X                        X

BANYAN STRATEGIC RLTY TR
SH BEN INT                       06683M102   1,926,390    390,155.000    X                        X

BARD C R INC
COM                              067383109     448,894      8,900.000    X                        X

BARNES GROUP INC
COM                              067806109   2,457,656    131,075.000    X                        X

BARR LABS INC
COM                              068306109     634,400     20,800.000    X                        X

BATTLE MTN GOLD CO
COM                              071593107     217,525     79,100.000    X                        X

BE AEROSPACE INC
COM                              073302101     268,450     18,200.000    X                        X

BECTON DICKINSON + CO
COM                              075887109     574,688     15,000.000    X                        X

BEDFORD PPTY INVS INC
COM PAR 0.02 DOLLARS             076446301     413,888     28,300.000    X                        X

BELL ATLANTIC CORP
COM                              077853109   6,306,702    122,016.000    X                        X

BELLSOUTH CORP
COM                              079860102  10,520,413    262,600.000    X                        X

BENCHMARK ELECTRS INC
                                 08160H101   1,275,000     42,500.000    X                        X

BERGEN BRUNSWIG CORP
CLASS A                          083739102     412,000     20,600.000    X                        X

                                            ----------
                                PAGE TOTAL  28,865,406
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
BERKLEY W R CORP
COM                              084423102     641,900     26,200.000    X                        X

BERKSHIRE HATHAWAY INC DEL
CL B                             084670207   2,113,549        899.000    X                        X

BERKSHIRE REALTY CO INC
COM                              084710102     511,269     45,700.000    X                        X

BEST BUY CO INC
COM STK USD0.10                  086516101   2,558,400     49,200.000    X                        X

BESTFOODS
COM                              08658U101     803,700     17,100.000    X                        X

BETHLEHEM STL CORP
COM                              087509105   1,301,850    157,800.000    X                        X

BIG FLOWER HOLDINGS INC
COM                              089159107   1,058,250     34,000.000    X                        X

BIO RAD LABORATORIES INC
CLASS A COM STK                  090572207     315,900     15,600.000    X                        X

BIO TECHNOLOGY GEN CORP
COM                              090578105     365,884     61,300.000    X                        X

BIOMATRIX INC
                                 09060P102     382,200      4,900.000    X                        X

BLACK + DECKER CORPORATION
COM                              091797100     282,731      5,100.000    X                        X

BLACK HILLS CORP
COM                              092113109     294,113     13,800.000    X                        X

BLANCH E W HLDGS INC
                                 093210102     267,750      5,100.000    X                        X

BOB EVANS FARMS INC
COM                              096761101   2,548,000    127,400.000    X                        X

                                            ----------
                                PAGE TOTAL  13,445,496
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
BOEING CO
COM                              097023105     423,150     12,400.000    X                        X

BOISE CASCADE OFFICE PRODS COR
COM                              097403109     639,688     57,500.000    X                        X

BOOLE + BABBAGE INC
COM                              098586100     470,400     19,600.000    X                        X

BOSTON BEER INC
CL A                             100557107     216,225     27,900.000    X                        X

BOSTON PPTYS INC
COM                              101121101   5,015,725    158,600.000    X                        X

BOWNE + CO INC
COM                              103043105     334,263     28,600.000    X                        X

BRADLEY REAL ESTATE INC
COM                              104580105     551,000     30,400.000    X                        X

BRADY CORP
CL A                             104674106   1,356,750     64,800.000    X                        X

BRANDYWINE RLTY TR
SH BEN INT NEW                   105368203   5,105,750    314,200.000    X                        X

BREED TECHNOLOGIES INC
                                 106702103     232,631     65,300.000    X                        X

BRIGGS + STRATTON CORP
COM                              109043109   1,893,600     38,400.000    X                        X

BRIGHTPOINT INC
COM                              109473108     167,738     28,400.000    X                        X

BRINKER INTL INC
COM                              109641100     304,588     11,800.000    X                        X

BRISTOL MYERS SQUIBB CO
COM                              110122108   4,783,725     74,600.000    X                        X

                                            ----------
                                PAGE TOTAL  21,495,233
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
BROADVISION INC
COM                              111412102     609,450     10,200.000    X                        X

BROWN FORMAN CORP
CLASS B                          115637209     201,688      3,500.000    X                        X

BRUNSWICK CORP
COM                              117043109     234,469     12,300.000    X                        X

BUCKLE INC
COM                              118440106   1,635,750     72,700.000    X                        X

BUFFETS INC
COM STK                          119882108   3,117,538    315,700.000    X                        X

BURLINGTON NORTHN SANTA FE
COM                              12189T104   2,768,075     84,200.000    X                        X

BURNHAM PAC PPTYS INC
                                 12232C108     428,400     40,800.000    X                        X

C+D TECHNOLOGIES
COM                              124661109     328,350     13,200.000    X                        X

CBL + ASSOC PPTYS INC
COM                              124830100   1,006,725     43,300.000    X                        X

CBS CORP
COM                              12490K107     626,344     15,300.000    X                        X

C CUBE MICROSYSTEMS INC
COM                              125015107     665,700     33,600.000    X                        X

CD RADIO INC
COM                              125127100     475,800     18,300.000    X                        X

CDW COMPUTER CTRS INC
COM                              125129106     821,100     11,900.000    X                        X

CEC ENTMT INC
COM                              125137109     437,675     12,200.000    X                        X

                                            ----------
                                PAGE TOTAL  13,357,064
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                   ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT     ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION      7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  -------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>            <C>   <C>    <C>    <C>   <C>   <C>     <C>
C H ROBINSON WORLDWIDE
COM                              12541W100   1,073,463     42,200.000    X                        X

CHS ELECTRONICS INC
COM NEW                          12542A206      55,144     17,300.000    X                        X

CIGNA CORP
COM                              125509109     838,125     10,000.000    X                        X

CLECO CORP
COM                              12561M107   2,899,850     98,300.000    X                        X

CMG INFORMATION SVCS INC
COM                              125750109   1,740,558      9,508.000    X                        X

CMP GROUP INC
COM                              125887109   3,004,313    163,500.000    X                        X

CPI CORP
COM                              125902106   1,778,813     79,500.000    X                        X

CNET INC
COM                              125945105     386,925      4,200.000    X                        X

CNB BANCSHARES INC
COM                              126126101     461,668     11,470.000    X                        X

CSG SYS INTL INC
COM                              126349109     978,050     24,800.000    X                        X

CABLEVISION SYS CORP
CL A                             12686C109   1,111,875     15,000.000    X                        X

CABOT INDL TR
COM SH BEN INT                   127072106     402,038     21,300.000    X                        X

CALPINE CORP
COM                              131347106   2,732,813     75,000.000    X                        X

CAMBREX CORP
COM                              132011107     227,888     10,300.000    X                        X

                                            ----------
                                PAGE TOTAL  17,691,523
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4      ITEM 5             ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR       SHARES OR         INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET     PRINCIPAL         DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE       AMOUNT       SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CAMDEN PPTY TR
                                 133131102  15,952,761     644,556.000    X                        X

CANANDAIGUA WINE INC
CL A                             137219200   2,639,650      52,400.000    X                        X

CAPITAL AUTOMOTIVE REIT
COM SH BEN INT                   139733109     283,575      22,800.000    X                        X

CAPITAL ONE FINL CORP
COM                              14040H105   1,011,700       6,700.000    X                        X

CAPITAL RE CORP
                                 140432105     948,750      55,000.000    X                        X

CAPITAL SR LIVING CORP
COM                              140475104     290,975      41,200.000    X                        X

CAPSTEAD MTG CORP
COM                              14067E100     679,938     126,500.000    X                        X

CARDINAL HEALTH INC
COM                              14149Y108     513,546       7,781.000    X                        X

CAREMATRIX
SUB NT CONV                      141706AC5  11,367,225  13,295,000.000    X                        X

CAREMATRIX CORP
COM                              141706101     342,000      18,000.000    X                        X

CAROLINA PWR + LT CO
COM                              144141108     480,219      12,700.000    X                        X

CARRAMERICA RLTY CORP
COM                              144418100  14,671,563     665,000.000    X                        X

CARTER WALLACE INC.
COM                              146285101   2,247,500     124,000.000    X                        X

CASEYS GEN STORES INC
COM                              147528103     207,975      14,100.000    X                        X

                                            ----------
                                PAGE TOTAL  51,637,377
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CATALYTICA INC
COM                              148885106     214,500      19,500.000    X                        X

CATERPILLAR INC
COM                              149123101   1,300,031      28,300.000    X                        X

CELL GENESYS INC
COM                              150921104     387,594      78,500.000    X                        X

CELLSTAR CORP
COM                              150925105     245,888      23,700.000    X                        X

CELLNET DATA SYS
COM                              15115M101     144,245      25,086.000    X                        X

CENDANT CORP
COM                              151313103     945,000      60,000.000    X                        X

CENTINAL CELLULAR CORP
CL A NEW                         15133V208     779,625      16,500.000    X                        X

CENTERPOINT PPTYS TR
COM                              151895109  15,296,875     489,500.000    X                        X

CENTER TRUST RETAIL PPTYS INC
COM                              152038105     378,350      32,900.000    X                        X

CENTEX CONSTR PRODS INC
COM                              15231R109   1,719,738      49,400.000    X                        X

CENTEX CORP
COM                              152312104   1,204,838      36,100.000    X                        X

CENTRAL + SOUTH WEST CORP
COM                              152357109   1,169,531      49,900.000    X                        X

CENTRAL GARDEN AND PET CO
SUB NT CONV                      153527AC0  17,967,950  20,020,000.000    X                        X

CENTRAL GARDEN + PET CO
                                 153527106     185,625      11,000.000    X                        X

                                            ----------
                                PAGE TOTAL  41,939,790
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CENTRAL HUDSON GAS + ELEC CORP
COM                              153609102     762,806      21,300.000    X                        X

CENTURYBUSINESS SVCS INC
COM                              156490104   1,195,469     109,300.000    X                        X

CERNER CORP
                                 156782104     475,450      29,600.000    X                        X

CHAMPION ENTERPRISES INC
COM                              158496109     527,000      27,200.000    X                        X

CHART INDS INC
COM                              16115Q100     213,281      32,500.000    X                        X

CHARTWELL RE CORP
COM                              16139W109   1,838,850     106,600.000    X                        X

CHASE MANHATTAN CORP NEW
COM                              16161A108   8,719,219     107,200.000    X                        X

CHASTAIN CAP CORP
COM                              161697107     188,125      35,000.000    X                        X

CHATEAU CMNTYS INC
COM                              161726104   1,034,000      37,600.000    X                        X

CHECKPOINT SYS INC
COM                              162825103     492,100      59,200.000    X                        X

CHELSEA GCA REALTY INC
COM                              163262108   6,904,638     247,700.000    X                        X

CHEVRON CORP
COM                              166751107   4,788,031      54,100.000    X                        X

CHICAGO TITLE CORP
COM                              168228104     487,425      13,400.000    X                        X

CHITTENDEN CORP
COM                              170228100     460,613      17,300.000    X                        X

                                            ----------
                                PAGE TOTAL  28,087,007
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CHURCH + DWIGHT INC
COM                              171340102     256,725       6,300.000    X                        X

CILCORP INC
COM                              171794100   1,021,063      17,000.000    X                        X

CIRCLE INTL GROUP INC
COM                              172574105   1,580,031     108,500.000    X                        X

CISCO SYS INC
COM                              17275R102   3,390,959      30,950.000    X                        X

CITIGROUP INC
COM                              172967101  10,517,115     164,651.500    X                        X

CLARCOR INC
                                 179895107   2,008,256     117,700.000    X                        X

CLARIFY INC
COM                              180492100     397,644      14,900.000    X                        X

CLEVELAND CLIFFS INC
COM                              185896107   1,904,094      55,900.000    X                        X

COACH USA INC
COM                              18975L106     283,250      10,300.000    X                        X

COACHMEN INDS INC
COM                              189873102     487,900      23,800.000    X                        X

COCA COLA CO
COM                              191216100   1,233,638      20,100.000    X                        X

COLGATE PALMOLIVE CO
COM                              194162103     579,600       6,300.000    X                        X

COLONIAL BANCGROUPINC
COM                              195493309     276,000      23,000.000    X                        X

COLONIAL PPTYS TR
COM SH BEN INT                   195872106     828,750      32,500.000    X                        X

                                            ----------
                                PAGE TOTAL  24,765,025
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
COLUMBUS MCKINNON CORP NY
COM                              199333105   1,098,825      54,600.000    X                        X

COMFORT SYS USA INC
COM                              199908104     491,400      33,600.000    X                        X

COMCAST CORP
CL A SPL                         200300200   1,523,088      24,200.000    X                        X

COMERICA INC
COM                              200340107     686,813      11,000.000    X                        X

COMMERCE BANCORP INC N J
COM                              200519106     759,949      18,423.000    X                        X

COMMERCIAL FED CORP
COM                              201647104   1,931,519      83,300.000    X                        X

COMMERCIAL INTERTECH CORP
COM                              201709102     433,875      39,000.000    X                        X

COMMERCIAL NET LEASE RLTY INC
COM                              202218103     418,413      37,400.000    X                        X

COMMONWEALTH BANCORP INC
COM                              20268X102     985,669      64,900.000    X                        X

COMMONWEALTH ENERGY SYS
COM SH BEN INT                   202800108     908,600      23,600.000    X                        X

COMMUNITY BK SYS INC
COM                              203607106   1,447,800      60,800.000    X                        X

COMMUNITY FIRST BANKSHARES INC
COM                              203902101     938,000      46,900.000    X                        X

COMMUNITY TR BANCORP INC
COM                              204149108   1,670,130      79,530.000    X                        X

COMPUTER ASSOC INTL INC
COM                              204912109     295,169       8,300.000    X                        X

                                            ----------
                                PAGE TOTAL  13,589,250
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
COMPUTER SCIENCES CORP
COM                              205363104   1,363,131      24,700.000    X                        X

COMPUTER TASK GROUP INC
COM                              205477102     855,000      40,000.000    X                        X

COMPUWARE CORP
COM                              205638109     477,500      20,000.000    X                        X

COMVERSE TECHNOLOGY INC
SUB DEB CONV                     205862AG0  19,670,243  13,554,000.000    X                        X

COMVERSE TECHNOLOGY INC
COM NEW                          205862402     425,000       5,000.000    X                        X

CONCENTRIC NETWORK CORP DEL
COM                              20589R107     799,825      10,700.000    X                        X

CONCENTRA MANAGED CARE INC
SUB NT CONV                      20589TAA1   6,629,143   7,109,000.000    X                        X

CONCENTRA MANAGED CARE INC
COM                              20589T103   4,180,350     288,300.000    X                        X

COMPUTER HORIZONS CORP
COM                              205908106     732,813      67,000.000    X                        X

CONNECTICUT ENERGY CORP
COM                              207567108     315,250      13,000.000    X                        X

CONSOLIDATED FREIGHTWAYS CORP
COM                              209232107   1,679,075     142,900.000    X                        X

COORS ADOLPH CO
CLASS B COM                      217016104   3,969,000      73,500.000    X                        X

COPART INC
COM                              217204106     622,500      30,000.000    X                        X

CORDANT TECHNOLOGIES INC
COM                              218412104   1,250,113      31,400.000    X                        X

                                            ----------
                                PAGE TOTAL  42,968,943
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CORN PRODUCTS INTL INC
COM                              219023108   2,506,256     104,700.000    X                        X

CORNERSTONE RLTY INCOME TR INC
COM                              21922V102     836,188      78,700.000    X                        X

CORPORATE EXPRESS INC
COM                              219888104   4,000,600     771,200.000    X                        X

CORUS BANKSHARES INC
COM                              220873103   1,818,275      56,600.000    X                        X

COST PLUS INC CALIF
COM                              221485105     295,219      10,050.000    X                        X

COSTCO COS INC
SUB NT CONV 144A                 22160QAA0   3,210,000   3,000,000.000    X                        X

COSTCO COS INC
COM                              22160Q102     457,813       5,000.000    X                        X

CRANE CO
COM                              224399105     210,431       8,700.000    X                        X

CREDENCE SYSTEMS CORP
COM                              225302108   4,133,150     192,800.000    X                        X

CRESCENT REAL ESTATE EQUITIES
COM                              225756105   5,022,400     233,600.000    X                        X

CRIIMI MAE INC
PFD SER B CONV                   226603207   4,139,300     312,400.000    X                        X

CROWN AMERICAN RLTY
                                 228186102     254,800      39,200.000    X                        X

CULLEN FROST BANKERS INC
COM                              229899109   2,353,731      49,100.000    X                        X

CURATIVE HEALTH SERVICES INC
COM                              231264102     151,800      13,200.000    X                        X

                                            ----------
                                PAGE TOTAL  29,389,963
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CURTISS WRIGHT CORP
COM                              231561101   1,475,469      47,500.000    X                        X

CYPRUS AMAX MINERALS CO
COM                              232809103     364,963      30,100.000    X                        X

D.R.HORTON INC
COM                              23331A109     422,100      25,200.000    X                        X

DSP COMMUNICATIONS INC
COM                              23332K106     652,463      41,100.000    X                        X

DTE ENERGY CO
COM                              233331107   2,014,125      52,400.000    X                        X

DAL TILE INTL INC
COM                              23426R108     276,406      30,500.000    X                        X

DANA CORP
COM                              235811106     380,000      10,000.000    X                        X

DANAHER CORP
COM                              235851102     386,650       7,400.000    X                        X

DARDEN RESTAURANTS INC
COM                              237194105   1,472,625      71,400.000    X                        X

DATA PROCESSING RES CORP
2005 SUB NT CONV                 237823AB5   7,415,018  10,263,000.000    X                        X

DATA PROCESSING CORP
COM                              237823109   4,022,674     293,894.000    X                        X

DATASTREAM SYS INC
COM                              238124101     125,063      14,500.000    X                        X

DAYTON HUDSON CORP
COM                              239753106   1,245,888      18,700.000    X                        X

DELL COMPUTER CORP
COM                              247025109   3,408,975      83,400.000    X                        X

                                            ----------
                                PAGE TOTAL  23,662,419
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
DELPHI FINL GROUP INC
                                 247131105   2,112,151      62,351.320    X                        X

DELTA AIR LINES INC DE
COM                              247361108   3,683,500      53,000.000    X                        X

DELTEK SYS INC
COM                              24785A108     179,438      16,500.000    X                        X

DE LUXE CORP
COM                              248019101     407,750      14,000.000    X                        X

DEPARTMENT 56 INC
COM                              249509100   2,638,931      86,700.000    X                        X

DEVELOPERS DIVERSIFIED RLTY
COM                              251591103  11,782,050     823,200.000    X                        X

DEXTER CORP
COM                              252165105     882,000      28,000.000    X                        X

DIGI INTL INC
COM                              253798102     118,125      17,500.000    X                        X

DIME CMNTY BANCORP INC
COM                              253922108   1,564,338      68,200.000    X                        X

DIME BANCORP INC NEW
COM USD0.01                      25429Q102   1,085,175      46,800.000    X                        X

DOLLAR THRIFTY AUTOMOTIVE GRP
COM                              256743105   1,035,000      60,000.000    X                        X

DOMINION RES INC VA
COM                              257470104     550,369      14,900.000    X                        X

DONNELLEY R R + SONS CO
COM                              257867101     376,594      11,700.000    X                        X

DORAL FINL CORP
COM                              25811P100   1,455,300      79,200.000    X                        X

                                            ----------
                                PAGE TOTAL  27,870,721
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
DOUBLECLICK INC
COM                              258609304     582,600       3,200.000    X                        X

DOVER DOWNS ENTMT INC
COM                              260086103   1,255,500      81,000.000    X                        X

DOW CHEM CO
COM                              260543103     941,194      10,100.000    X                        X

DOWNEY FINL CORP
COM                              261018105   1,518,106      82,900.000    X                        X

DU PONT E I DE NEMOURS + CO
COM                              263534109   2,008,963      34,600.000    X                        X

DUKE ENERGY CO
COM STK NPV                      264399106     573,563      10,500.000    X                        X

DUKE WEEKS REALITY CORP
COM NEW                          264411505  14,899,500     693,000.000    X                        X

DURA PHARMACEUTICALS INC
COM                              26632S109     943,550      66,800.000    X                        X

DYCOM INDS INC
COM                              267475101     469,800      10,800.000    X                        X

DYNEX CAP INC
COM                              26817Q100     191,794      57,900.000    X                        X

EEX CORP
COM NEW                          26842V207     527,654     108,236.660    X                        X

E M C CORP MASS
COM                              268648102   4,713,975      36,900.000    X                        X

E SPIRE COMMUNICATIONS INC
COM                              269153102     361,625      26,300.000    X                        X

ETOWN CORP
COM                              269242103     423,281      10,500.000    X                        X

                                            ----------
                                PAGE TOTAL  29,411,105
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
E TRADE GROUP INC
COM                              269246104     740,569      12,700.000    X                        X

EAGLE USA AIRFREIGHT INC
COM                              270018104     419,250      12,900.000    X                        X

EARTHGRAINS CO
COM                              270319106   1,171,500      52,800.000    X                        X

EARTHLINK NETWORK INC
COM                              270322100     390,000       6,500.000    X                        X

EASTERN UTILS ASSOC
COM                              277173100     716,306      25,300.000    X                        X

EASTGROUP PPTYS INC
COM                              277276101     356,363      22,100.000    X                        X

EASTMAN KODAK CO
COM                              277461109   2,925,475      45,800.000    X                        X

ECHOSTAR COMMUNICATIONS CORP N
CL A                             278762109     685,650       8,400.000    X                        X

EINSTEIN / NOAH BAGEL CORP
SUB DEB CONV                     282577AC9     950,000   1,600,000.000    X                        X

EL PASO ELEC CO
COM NEW                          283677854   2,623,000     344,000.000    X                        X

EL PASO ENERGY CORP DEL
COM                              283905107     317,069       9,700.000    X                        X

ELETRONICS FOR IMAGING INC
                                 286082102   1,563,900      40,100.000    X                        X

EMPIRE DIST ELEC CO
COM                              291641108   1,380,156      60,500.000    X                        X

ENERGEN CORP
COM                              29265N108   2,303,363     154,200.000    X                        X

                                            ----------
                                PAGE TOTAL  16,542,601
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4        ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR         SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET       PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  -----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>          <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
ENERGY EAST CORP
COM                              29266M109      467,806       8,900.000    X                        X

ENGELHARD CORP
COM                              292845104    1,871,594     110,500.000    X                        X

ENRON CORP
COM                              293561106    3,051,875      47,500.000    X                        X

ENTERTAINMENT PPTYS TR
COM SH BEN INT                   29380T105      324,300      18,800.000    X                        X

EQUITABLE COMPANIES INC
COM                              29444G107    2,786,000      39,800.000    X                        X

EQUITY INNS INC
COM                              294703103      409,700      48,200.000    X                        X

EQUITY OFFICE PPTYS TR
COM                              294741103  100,878,882   3,973,052.000    X                        X

EQUITY RESIDENTIAL PPTYS TR
SH BEN INT                       29476L107   65,322,675   1,583,580.000    X                        X

ESSEX PROPERTY TRUST
COM                              297178105    3,087,975     118,200.000    X                        X

ESTERLINE TECHNOLOGIES CORP
COM                              297425100      970,313      75,000.000    X                        X

ETHYL CORP
COM                              297659104      204,850      48,200.000    X                        X

EVEREN CAPITAL CORP
COM                              299761106    1,250,044      63,900.000    X                        X

EXCITE INC
COM                              300904109    1,260,000       9,000.000    X                        X

EXODUS COMMUNICATIONS INC
COM                              302088109      416,950       3,100.000    X                        X

                                            -----------
                                PAGE TOTAL  182,302,964
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
EXXON CORP
COM                              302290101  12,277,875     174,000.000    X                        X

FBL FINL GROUP INC
CL A                             30239F106   2,456,600     138,400.000    X                        X

F N B CORP PA
                                 302520101   1,722,700      74,900.000    X                        X

FAIR ISSAC + CO INC
                                 303250104     255,731       6,900.000    X                        X

FAMILY GOLF CTRS INC
COM                              30701A106      80,325      10,800.000    X                        X

FARMER BROS CO
COM                              307675108     653,400       3,300.000    X                        X

FDX CORP
COM                              31304N107   1,188,000      12,800.000    X                        X

FEDERAL HOME LN MTG CORP
COM FORMERLY SR PART PFD         313400301   1,429,063      25,000.000    X                        X

FEDERAL NATL MTG ASSN
COM                              313586109   5,740,825      82,900.000    X                        X

FEDERAL RLTY INVT TR
SH BEN INT NEW                   313747206   3,203,550     151,200.000    X                        X

FEDERATED DEPT STORES INC DEL
COM                              31410H101   2,002,238      49,900.000    X                        X

FELCOR LODGING TR INC
COM                              31430F101   4,957,488     213,800.000    X                        X

FERRO CORP
COM STK                          315405100   1,168,200      47,200.000    X                        X

FIDELITY NATL FINL INC
COM                              316326107     338,250      22,550.000    X                        X

                                            ----------
                                PAGE TOTAL  37,474,245
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
FIFTH THIRD BANCORP
COM STK                          316773100   2,472,656      37,500.000    X                        X

FIRST AMERICAN FINL CORP
COM                              318522307   1,785,231     112,900.000    X                        X

FIRST BANCORP P R
COM                              318672102     218,969       9,100.000    X                        X

FIRST CTZNS BANCSHARES INC N C
                                 31946M103   2,041,200      25,200.000    X                        X

FIRST INDL RLTY TR INC
COM                              32054K103   1,129,850      47,200.000    X                        X

FIRST REP BK SAN FRANCISCO CA
COM                              336158100   1,739,413      72,100.000    X                        X

FIRST TENN NATL CORP
COM                              337162101     212,425       5,800.000    X                        X

FIRST UN CORP
COM                              337358105   1,474,875      27,600.000    X                        X

FIRST UTD BANCSHARES INC ARK
COM                              33741E104   1,495,725     107,800.000    X                        X

FIRST WASH BANCORP INC WASH
COM                              33748T104   1,572,494      80,900.000    X                        X

FIRSTAR CORP WIS
COM                              33763V109   4,018,550      44,900.000    X                        X

FIRSTFED FINL CORP DEL
COM                              337907109   1,717,081     106,900.000    X                        X

FLAGSTAR BANCORP INC
COM                              337930101   1,587,350      59,900.000    X                        X

FLEET FINL GROUP INC
COM                              338915101   2,622,463      69,700.000    X                        X

                                            ----------
                                PAGE TOTAL  24,088,282
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
FLORIDA PROGRESS CORP
COM                              341109106     245,375       6,500.000    X                        X

FOODMAKER INC
                                 344839204     288,150      11,300.000    X                        X

FOOTSTAR INC
COM                              344912100     880,000      27,500.000    X                        X

FORD MTR CO DEL
COM                              345370100  13,167,894     232,100.000    X                        X

FORT JAMES CORP
COM                              347471104   1,029,844      32,500.000    X                        X

FORTUNE BRANDS INC
COM                              349631101     495,200      12,800.000    X                        X

FOSSIL INC
COM                              349882100     369,675      12,400.000    X                        X

FRANCHISE FIN CORP AMER
COM                              351807102   1,373,275      65,200.000    X                        X

FRANKLIN COVEY CO
COM                              353469109     645,300      71,700.000    X                        X

FRONTIER INS GROUP INC NEW
COM                              359081106     463,125      39,000.000    X                        X

FUISZ TECHNOLOGIES LTD
COM                              359536109     158,156      24,100.000    X                        X

FURNITURE BRANDS INTL INC
COM                              360921100     455,775      20,600.000    X                        X

GATX
COM                              361448103     299,731       9,100.000    X                        X

GBC BANCORP CALIF
                                 361475106   1,398,000      93,200.000    X                        X

                                            ----------
                                PAGE TOTAL  21,269,500
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
GPU INC
COM                              36225X100     208,950       5,600.000    X                        X

GTE CORP
COM                              362320103   5,039,650      83,300.000    X                        X

GT INTERACTIVE SOFTWARE CORP
COM                              36236E109     202,113      43,700.000    X                        X

GABLES RESIDENTIAL TR
SH BEN INT                       362418105   2,146,681      97,300.000    X                        X

GALLAGHER ARTHUR J + CO
COM                              363576109   1,591,600      34,600.000    X                        X

GANNETT INC
COM                              364730101     699,300      11,100.000    X                        X

GAP INC
COM                              364760108   3,079,547      45,750.000    X                        X

GENERAL DYNAMICS CORP
COM                              369550108     212,025       3,300.000    X                        X

GENERAL ELEC CO
COM                              369604103   5,564,438      50,300.000    X                        X

GENERAL GROWTH PPTYS INC
COM                              370021107   7,655,250     236,000.000    X                        X

GENERAL MAGIC INC
COM                              370253106      37,700      10,400.000    X                        X

GENERAL SEMICONDUCTOR INC
COM                              370787103     727,175     100,300.000    X                        X

GENTEX CORP
COM                              371901109     720,188      33,400.000    X                        X

GEON CO
COM                              37246W105   2,293,200     100,800.000    X                        X

                                            ----------
                                PAGE TOTAL  30,177,817
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                            <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
GEORGIA PAC CORP
COM                              373298108   1,923,075      25,900.000    X                        X

GEORGIA PAC CORP
COM TIMBER GROUP                 373298702     603,569      26,900.000    X                        X

GERBER SCIENTIFIC INC
COM                              373730100   2,428,556     120,300.000    X                        X

GIANT CEM HLDG INC
COM                              374450104     402,188      23,400.000    X                        X

GILEAD SCIENCES INC
COM                              375558103     409,500       9,000.000    X                        X

GLATFELTER P H CO
COM                              377316104     275,213      24,600.000    X                        X

GLEASON CORP
COM                              377339106   1,808,925     106,800.000    X                        X

GLENBOROUGH RLTY TR INC
COM                              37803P105     731,000      43,000.000    X                        X

GLIMCHER RLTY TR
COM                              379302102   2,174,938     151,300.000    X                        X

GOLDEN WEST FINL CORP DEL
COM                              381317106   1,337,000      14,000.000    X                        X

GOODRICH B F CO
COM                              382388106   2,892,544      84,300.000    X                        X

GOODYS FAMILY CLOTHING INC
COM                              382588101     139,375      10,000.000    X                        X

GRACO INC
COM                              384109104   1,822,363      82,600.000    X                        X

GRANITE CONSTR INC
                                 387328107   1,720,400      73,600.000    X                        X

                                            ----------
                                PAGE TOTAL  18,668,646
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
GREAT LAKES CHEMICAL CORP
COM                              390568103     444,675      12,100.000    X                        X

GREAT LAKES REIT INC
COM                              390752103     307,400      21,200.000    X                        X

GREENBRIER COS INC
COM                              393657101     225,150      23,700.000    X                        X

GROUP 1 AUTOMOTIVE INC
COM                              398905109     574,763      23,400.000    X                        X

HMT TECHNOLOGY CORP
SUB NT CONV                      403917AD9     987,500   2,000,000.000    X                        X

HCC INS HLDGS INC
                                 404132102     583,275      30,300.000    X                        X

HNC SOFTWARE INC
COM                              40425P107     376,625      11,500.000    X                        X

HA LO INDS INC
COM                              404429102     650,100      52,800.000    X                        X

HANDLEMAN CO DEL
COM                              410252100   2,315,213     173,100.000    X                        X

HANGER ORTHOPEDIC GROUP
COM NEW                          41043F208     157,950      11,700.000    X                        X

HARBINGER CORP
COM                              41145C103     184,275      27,300.000    X                        X

HARKEN ENERGY CORP
COM                              412552101     141,375      87,000.000    X                        X

HARLEYSVILLE GROUP INC
COM                              412824104   1,588,750      82,000.000    X                        X

HARRIS CORP DEL
COM                              413875105     326,325      11,400.000    X                        X

                                            ----------
                                PAGE TOTAL   8,863,376
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
HARTE HANKS INC
COM                              416196103     428,025      15,600.000    X                        X

HARTFORD FINANCIAL SVCS GRP
COM                              416515104   3,499,650      61,600.000    X                        X

HARTFORD LIFE INC
CL A                             416592103   4,136,000      75,200.000    X                        X

HAVERTY FURNITURE COS INC
COM                              419596101   2,283,750      90,000.000    X                        X

HAWAIIAN ELEC INDS INC
COM                              419870100   3,471,188      99,000.000    X                        X

HEALTH CARE PPTY INVS INC
COM                              421915109     445,625      15,500.000    X                        X

HEALTHCARE RLTY TR
COM                              421946104     940,500      49,500.000    X                        X

HEALTH CARE REIT INC
COM                              42217K106     881,500      41,000.000    X                        X

HEINZ H J CO
COM                              423074103   1,184,375      25,000.000    X                        X

HENRY JACK + ASSOC INC
                                 426281101     628,425      17,100.000    X                        X

HERBALIFE INTL INC
CL A                             426908208   1,674,500     136,000.000    X                        X

HESKA CORP
COM                              42805E108      51,025      15,700.000    X                        X

HEWLETT PACKARD CO
COM                              428236103   1,498,656      22,100.000    X                        X

HIGHWOODS PPTYS INC
COM                              431284108  10,687,950     453,600.000    X                        X

                                            ----------
                                PAGE TOTAL  31,811,169
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
HOLLINGER INTERNATIONAL INC
CL A                             435569108   1,999,113     147,400.000    X                        X

HOME DEPOT INC
COM                              437076102     865,275      13,900.000    X                        X

HOME PPTYS N Y INC
COM                              437306103     485,625      21,000.000    X                        X

HOMESTEAD VLG PPTYS INC
COM                              437851108     177,938      73,000.000    X                        X

HONEYWELL INC
COM                              438506107     871,844      11,500.000    X                        X

HOOPER HOLMES INC
COM                              439104100     565,625      36,200.000    X                        X

HORMEL FOODS CORP
COM                              440452100     584,250      16,400.000    X                        X

HOST MARRIOTT SVCS CORP
COM                              440914109      78,300      11,600.000    X                        X

HOSPITALITY PPTYS TR
COM SH BEN INT                   44106M102   1,312,531      48,500.000    X                        X

HOST MARRIOTT CORP NEW
COM                              44107P104  10,557,080     948,951.000    X                        X

HOUGHTON MIFFLIN CO
COM                              441560109     346,875       7,400.000    X                        X

HUNT CORP
COM                              445591100     129,363      13,100.000    X                        X

HYPERCOM CORP
COM                              44913M105      95,625      15,000.000    X                        X

HYPERION SOLUTIONS CORP
COM                              44914M104     346,550      23,900.000    X                        X

                                            ----------
                                PAGE TOTAL  18,415,994
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
IBP INC
COM STK                          449223106     921,938      49,500.000    X                        X

ICG COMMUNICATIONS INC
COM                              449246107     326,000      16,300.000    X                        X

IDEC PHARMACEUTICALS CORP
COM                              449370105     447,682       8,714.000    X                        X

IDX SYS CORP
COM                              449491109     175,450      12,100.000    X                        X

IMS HEALTH INC
COM                              449934108     371,000      11,200.000    X                        X

IRT PPTY CO
COM                              450058102     352,500      40,000.000    X                        X

ITC DELTACOM
COM                              45031T104     366,450      16,800.000    X                        X

ITI TECHNOLOGIES INC
COM                              450564109     201,000       6,700.000    X                        X

IDACORP INC
COM                              451107106   3,331,125     113,400.000    X                        X

IDEX CORP
COM                              45167R104     341,656      14,500.000    X                        X

IDEXX LABS INC
COM                              45168D104   1,522,425      63,600.000    X                        X

IMMUNE RESPONSE CORP DEL
COM                              45252T106     184,181      20,900.000    X                        X

IMPERIAL BANCORP
COM                              452556103     882,212      51,516.000    X                        X

IMPERIAL CR COML MTG INVT CORP
COM                              45272T102     627,550      65,200.000    X                        X

                                            ----------
                                PAGE TOTAL  10,051,169
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
IMRGLOBAL CORP
COM                              45321W106     305,300      17,200.000    X                        X

INACOM CORP
SUB DEBT CONV                    45323GAB5  16,940,000  16,940,000.000    X                        X

INGERSOLL RAND CO
COM                              456866102   1,230,700      24,800.000    X                        X

INGRAM MICRO INC
SR DEB ZERO CPN 144A             457153AA2     765,625   2,500,000.000    X                        X

INNKEEPERS USA TR
COM                              4576J0104     395,781      42,500.000    X                        X

INPRISE CORP
COM                              45766C102      44,950      11,600.000    X                        X

INSITUFORM TECHNOLOGIES INC
CL A                             457667103   3,601,500     205,800.000    X                        X

INTEGRATED PROCESS EQUIP CORP
COM                              45812K108   3,900,429     433,381.000    X                        X

INTEL CORP
COM                              458140100   4,839,438      40,700.000    X                        X

INTER TEL INC
COM                              458372109     270,788      17,400.000    X                        X

INTERFACE INC
CL A                             458665106   1,251,250     130,000.000    X                        X

INTERIM SVCS INC
COM                              45868P100   1,377,000      91,800.000    X                        X

INTERMET CORP
COM                              45881K104     357,113      26,700.000    X                        X

INTERNATIONAL BUSINESS MACHS
COM                              459200101  16,307,000      92,000.000    X                        X

                                            ----------
                                PAGE TOTAL  51,586,874
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
INTERNATIONAL MULTIFOODS CORP
COM                              460043102     449,931      19,300.000    X                        X

INTERNATIONAL NETWORK SVCS
COM                              460053101     251,775       3,600.000    X                        X

INTERNATIONAL TELECOMM SYS INC
COM                              46047F104     679,388      54,900.000    X                        X

INTERWEST BANCORP INC
COM                              460931108     826,294      34,700.000    X                        X

INTUIT
COM                              461202103     590,150       5,800.000    X                        X

INVESTMENT TECHNOLOGY GRP INC
COM                              461450108     421,225       8,300.000    X                        X

IRVINE APT CMNTYS INC
COM                              463606103     233,413       7,100.000    X                        X

IRWIN FINL CORP
COM                              464119106     361,125      18,000.000    X                        X

ISIS PHARMACEUTICALS
                                 464330109     275,400      30,600.000    X                        X

IVAX CORP
                                 465823102   1,304,100     110,400.000    X                        X

JDN RLTY CORP
COM                              465917102     844,688      42,500.000    X                        X

JP RLTY INC
COM                              46624A106     334,688      17,000.000    X                        X

JSB FINL INC
COM                              46624M100   1,794,475      35,800.000    X                        X

JACOBS ENGR GROUP INC
COM                              469814107   2,807,950      71,200.000    X                        X

                                            ----------
                                PAGE TOTAL  11,174,602
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
JOHNSON + JOHNSON
COM                              478160104   1,187,450      12,700.000    X                        X

JOHNSON CTLS INC
COM                              478366107     311,875       5,000.000    X                        X

JONES PHARMA INC
COM                              480236108     312,750       9,000.000    X                        X

JOURNAL REGISTER CO
COM                              481138105     951,600      79,300.000    X                        X

JUSTIN INDS INC
COM                              482171105   1,742,400     158,400.000    X                        X

K MART CORP
COM                              482584109   1,681,250     100,000.000    X                        X

KAUFMAN + BROAD HOME CORP
COM                              486168107   1,383,081      61,300.000    X                        X

KEANE INC
COM                              486665102     532,813      25,000.000    X                        X

KERR MCGEE CORP
COM                              492386107     872,813      26,600.000    X                        X

KEYCORP NEW
COM                              493267108   3,643,563     120,200.000    X                        X

KILROY RLTY CORP
COM                              49427F108     715,450      34,900.000    X                        X

KIMBALL INTL INC
CL B                             494274103   1,155,788      77,700.000    X                        X

KIMCO RLTY CORP
                                 49446R109   8,245,250     223,600.000    X                        X

KIRBY CORP
COM                              497266106   1,230,938      65,000.000    X                        X

                                            ----------
                                PAGE TOTAL  23,967,021
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
KNOLL INC
COM                              498904101     600,850      24,400.000    X                        X

KNIGHT RIDDER INC
COM                              499040103   2,330,000      46,600.000    X                        X

KOGER EQUITY INC
COM                              500228101     450,156      33,500.000    X                        X

KROGER CO
COM                              501044101     592,763       9,900.000    X                        X

KRONOS INC
COM                              501052104     367,500      15,000.000    X                        X

LTC PROPERTIES
                                 502175102     425,075      34,700.000    X                        X

LA Z BOY INC
COM                              505336107   3,116,000     164,000.000    X                        X

LABORATORY CORP AMER HLDGS
PFD CONV EXCHANGEABLE SER A      50540R201   1,634,450      33,700.000    X                        X

LABOR READY INC
COM NEW                          505401208   1,443,863      55,400.000    X                        X

LAM RESH CORP
COM                              512807108     725,000      25,000.000    X                        X

LANDSTAR SYS INC
COM                              515098101   1,871,563      56,500.000    X                        X

LEAR CORP
COM                              521865105     426,875      10,000.000    X                        X

LEGATO SYSTEMS INC
COM                              524651106     491,005       9,511.000    X                        X

LEGG MASON INC
COM                              524901105     269,500       8,000.000    X                        X

                                            ----------
                                PAGE TOTAL  14,744,600
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
LEHMAN BROTHERS HLDGS INC
COM                              524908100     322,650       5,400.000    X                        X

LEVEL 3 COMMUNICATIONS INC
COM                              52729N100   1,674,688      23,000.000    X                        X

LEVEL ONE COMMUNICATIONS INC
COM                              527295109     719,650      14,800.000    X                        X

LEXINGTON CORPORATE PPTY TR
COM                              529043101     259,213      23,300.000    X                        X

LEXMARK INTL GROUP INC
CL A                             529771107   1,006,875       9,000.000    X                        X

LIBERTY PROPERTY
SH BEN INT SUPP                  531172104   6,432,500     310,000.000    X                        X

LILLY INDL INC
CL A                             532491107   1,059,013      68,600.000    X                        X

LINCOLN ELEC HLDGS INC
COM                              533900106   1,225,525      65,800.000    X                        X

LINCOLN NATL CORP IN
COM                              534187109     879,988       8,900.000    X                        X

LINENS N THINGS INC
COM                              535679104     676,088      14,900.000    X                        X

LIPOSOME INC
COM                              536310105     497,188      37,000.000    X                        X

LIZ CLAIBORNE INC
COM                              539320101     805,838      24,700.000    X                        X

LONE STAR INDS INC
COM NEW                          542290408   2,418,000      78,000.000    X                        X

LOUISIANA PAC CORP
COM                              546347105   2,389,588     128,300.000    X                        X

                                            ----------
                                PAGE TOTAL  20,366,804
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
LOWES COS INC
USD0.50                          548661107     605,000      10,000.000    X                        X

LUCENT TECHNOLOGIES INC
COM                              549463107   3,812,400      35,300.000    X                        X

LYCOS INC
COM                              550818108   1,092,994      12,700.000    X                        X

M + T BK CORP
COM                              55261F104   1,868,100       3,900.000    X                        X

MAF BANCORP INC
COM                              55261R108   1,099,150      49,400.000    X                        X

MCI WORLDCOM INC
COM                              55268B106  10,655,140     120,312.100    X                        X

MGI PPTYS
COM                              552885105     511,913      18,700.000    X                        X

MMC NETWORKS INC
COM                              55308N102     422,400      26,400.000    X                        X

MMI COS INC
COM                              553087107     353,625      23,000.000    X                        X

MTI TECHNOLOGY CORP
COM                              553903105     141,047      25,500.000    X                        X

MACK CA RLTY CORP
COM                              554489104  17,037,500     580,000.000    X                        X

MACROMEDIA INC
COM                              556100105     647,969      14,300.000    X                        X

MADISON GAS + ELEC CO
COM                              557497104   1,170,000      60,000.000    X                        X

MAIL WELL INC
SUB NTS CONV                     560321AD3   5,944,400   6,160,000.000    X                        X

                                            ----------
                                PAGE TOTAL  45,361,638
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
MANITOWOC INC
COM                              563571108   2,684,188      64,100.000    X                        X

MANUFACTURED HOME CMNTYS INC
COM                              564682102  54,508,752   2,271,198.000    X                        X

MAPICS INC
COM                              564910107     537,356      69,900.000    X                        X

MARK IV INDS INC
COM                              570387100     863,431      66,100.000    X                        X

MARTIN MARIETTA MATLS INC
COM                              573284106     228,250       4,000.000    X                        X

MASCOTECH INC
COM                              574670105     592,519      38,227.000    X                        X

MASTECH CORP
COM                              57632N105     783,900      60,300.000    X                        X

MATHEWS INTL CORP
CL A                             577128101   1,111,425      40,600.000    X                        X

MAY DEPT STORES CO
COM                              577778103   2,394,450      61,200.000    X                        X

MAXXAM INC
COM RTS CALLABLE THRU 11DEC99    577913106   1,692,600      33,600.000    X                        X

MAXIMUS INC
COM                              577933104   1,165,000      40,000.000    X                        X

MAYTAG CORP
COM                              578592107     839,213      13,900.000    X                        X

MCDONALDS CORP
COM                              580135101   1,662,969      36,700.000    X                        X

MCGRATH RENTCORP
COM                              580589109     370,475      20,300.000    X                        X

                                            ----------
                                PAGE TOTAL  69,434,528
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
MCGRAW HILL COS INC
COM                              580645109     708,500      13,000.000    X                        X

MCKESSON HBOC INC
COM                              58155Q103   1,333,464      20,204.000    X                        X

MCLEODUSA INC
COM                              582266102     315,000       7,500.000    X                        X

MEDIAONE GROUP INC
COM                              58440J104   2,447,989      38,551.000    X                        X

MEDIAONE GROUP INC
PRD SER D                        58440J203   4,840,378      37,650.000    X                        X

MEDIA GEN INC
CL A                             584404107   2,134,350      45,900.000    X                        X

MEDICIS PHARMACEUTICAL CORP
CL A NEW                         584690309   1,210,500      40,350.000    X                        X

MEDIMMUNE INC
                                 584699102     958,660      16,197.000    X                        X

MEDITRUST
PAIRED CTF NEW                   58501T306   3,572,050     287,200.000    X                        X

MEDTRONIC INC
COM                              585055106     943,011      13,120.150    X                        X

MELLON BK CORP
COM                              585509102   1,822,713      25,900.000    X                        X

MENS WEARHOUSE INC
                                 587118100     239,663       8,300.000    X                        X

MERCK + CO INC
COM                              589331107   2,483,875      31,000.000    X                        X

MERIDAN INDL TR INC
REIT                             589643105     918,375      39,500.000    X                        X

                                            ----------
                                PAGE TOTAL  23,928,528
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
MERISTAR HOSPITALITY CORP
COM                              58984Y103     951,206      52,300.000    X                        X

MERRILL CORP
COM                              590175105     434,688      32,500.000    X                        X

MERRILL LYNCH + CO INC
COM                              590188108   1,229,281      13,900.000    X                        X

META GROUP INC
COM                              591002100     541,200      35,200.000    X                        X

METRO INFORMATION SVCS INC
COM                              59162P104     281,906      15,500.000    X                        X

METROMEDIA FIBER NETWORK INC
CL A                             591689104     507,763       9,800.000    X                        X

METROMEDIA INTER. GRP, INC
COM                              591695101     224,250      46,000.000    X                        X

METTLER TOLEDO INTL INC
COM                              592688105   1,695,375      68,500.000    X                        X

METZLER GROUP INC
COM                              592903108   1,088,713      34,700.000    X                        X

MICHAEL FOODS INC NEW
COM                              594079105     895,938      47,000.000    X                        X

MICROSOFT CORP
COM                              594918104   7,904,925      88,200.000    X                        X

MICRO WHSE INC
COM                              59501B105   1,141,650      70,800.000    X                        X

MICRON ELECTRONICS INC
COM                              595100108     599,250      51,000.000    X                        X

MICRON TECHNOLOGY INC
COM                              595112103     723,750      15,000.000    X                        X

                                            ----------
                                PAGE TOTAL  18,219,895
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
MID AMER APT CMNTYS INC
COM                              59522J103     502,313      23,500.000    X                        X

MIDAS INC
COM                              595626102   1,902,375      57,000.000    X                        X

MIDCAP SPDR TR
UNIT SER 1                       595635103   3,426,194      49,700.000    X                        X

MINDSPRING ENTERPRISES INC
COM                              602683104     335,644       3,900.000    X                        X

MINERALS TECHNOLOGIES INC
COM                              603158106   1,142,400      23,800.000    X                        X

MOBIL CORP
COM                              607059102   6,529,600      74,200.000    X                        X

MOHAWK INDS INC
COM                              608190104     846,000      28,200.000    X                        X

MORGAN KEEGAN INC
COM                              617410105     785,063      47,400.000    X                        X

MORGAN STANLEY DEAN WITTER
COM NEW                          617446448   8,734,538      87,400.000    X                        X

MORRISON KNUDSEN CORP NEW
COM                              61844A109     795,000      80,000.000    X                        X

MOTIVEPOWER INDS INC
COM                              61980K101     515,063      20,500.000    X                        X

MUELLER INDS INC
                                 624756102   2,013,750      90,000.000    X                        X

MUSICLAND STORES INC
COM                              62758B109     823,088      93,400.000    X                        X

MYERS IND INC
COM                              628464109   1,816,750      86,000.000    X                        X

                                            ----------
                                PAGE TOTAL  30,167,778
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
NBT BANCORP INC
COM                              628778102     426,365      20,424.650    X                        X

NCI BLDG SYS INC
COM                              628852105   1,915,250      81,500.000    X                        X

NCR CORP NEW
COM                              62886E108   1,000,000      20,000.000    X                        X

NAC RE CORP
COM                              628907107     998,588      18,600.000    X                        X

NL INDS INC
COM NEW                          629156407     603,000      67,000.000    X                        X

NPC INTL INC
COM                              629360306   1,773,438     113,500.000    X                        X

NTL INC
COM                              629407107   2,628,413      32,300.000    X                        X

NUI CORP
COM                              629430109   1,599,938      74,200.000    X                        X

NVR INC
COM                              62944T105   2,565,413      60,900.000    X                        X

NYMAGIC INC
COM                              629484106     315,900      24,300.000    X                        X

NACCO INDS INC
CL A                             629579103     681,375       9,200.000    X                        X

NATIONAL AUSTRALIA BK LTD
CAP UNIT EXCHANGEABLE            632525309   1,565,625      50,000.000    X                        X

NATIONAL CITY CORP
COM                              635405103   2,349,675      35,400.000    X                        X

NATIONAL DATA CORP
2003 SUB NT CONV                 635621AA3   4,732,605   4,518,000.000    X                        X

                                            ----------
                                PAGE TOTAL  23,155,585
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
NATIONAL GOLF PPTYS INC
COM                              63623G109     374,000      17,000.000    X                        X

NATIONAL HEALTH INVS INC
COM                              63633D104     604,150      28,100.000    X                        X

NATIONAL PRESTO INDS INC
COM                              637215104   1,860,469      52,500.000    X                        X

NATIONWIDE HEALTH PPTYS INC
COM                              638620104   1,029,800      54,200.000    X                        X

NATURES SUNSHINE PRODS INC
COM                              639027101     271,700      24,700.000    X                        X

NAUTICA ENTERPRISES INC
COM                              639089101     244,350      21,600.000    X                        X

NAVISTAR INTL CORP INC
COM                              63934E108     912,256      22,700.000    X                        X

NEOMAGIC CORP
COM                              640497103     749,288      75,400.000    X                        X

NETWORKS ASSOCS INC
2018 SUB DEB CONV                640938AB2  11,464,425  31,626,000.000    X                        X

NEW CENTY ENERGIES INC
COM                              64352U103     272,500       8,000.000    X                        X

NEW ENGLAND BUSINESS SVC INC
COM                              643872104     946,688      33,000.000    X                        X

NEW PLAN EXCEL RLTY TR INC
COM                              648053106   2,166,269     112,900.000    X                        X

NEWPORT NEWS SHIPBUILDING INC
COM                              652228107     665,438      21,000.000    X                        X

NEXTEL COMMUNICATIONS INC
CL A                             65332V103     329,625       9,000.000    X                        X

                                            ----------
                                PAGE TOTAL  21,890,958
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
NICOR INC
COM                              654086107     251,563       7,000.000    X                        X

NORDSTROM INC
COM                              655664100     237,075       5,800.000    X                        X

NORRELL CORP GA
COM                              656301108     424,531      32,500.000    X                        X

NORTEK INC
COM                              656559101   1,868,625      75,500.000    X                        X

NORTH AMERN VACCINE INC
SUB NT CONV                      657201AC3     676,875   1,500,000.000    X                        X

NORTH FORK BANCORPORATION INC
COM                              659424105   3,658,850     173,200.000    X                        X

NORTHEAST UTILS
COM                              664397106     381,563      27,500.000    X                        X

NORTHERN STS PWR CO MN
COM                              665772109     231,875      10,000.000    X                        X

NORTHERN TRUST CORP
COM                              665859104   1,349,950      15,200.000    X                        X

NORTHWEST NAT GAS CO
COM                              667655104     673,750      30,800.000    X                        X

NOVA CORP GA
COM                              669784100     853,125      32,500.000    X                        X

NOVELLUS SYS INC
COM                              670008101     694,575      12,600.000    X                        X

NUCOR CORP
COM                              670346105     246,750       5,600.000    X                        X

OEC MED SYS INC
COM                              670828102     561,200      24,400.000    X                        X

                                            ----------
                                PAGE TOTAL  12,110,307
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
OAK INDS INC
COM NEW                          671400505     346,075      10,900.000    X                        X

OCEAN FINL CORP
COM                              674904107     179,688      12,500.000    X                        X

OCEANEERING INTL INC
COM                              675232102     904,475      59,800.000    X                        X

OCULAR SCIENCES INC
COM                              675744106     717,188      25,000.000    X                        X

OFFSHORE LOGISTICS INC
SUB NT CONV                      676255AF9   1,303,125   1,500,000.000    X                        X

OFFSHORE LOGISTICS INC
COM                              676255102   2,047,163     176,100.000    X                        X

OGDEN CORP
COM                              676346109     676,156      28,100.000    X                        X

OMNICARE INC
COM                              681904108   3,297,431     172,980.000    X                        X

OMEGA HEALTHCARE INVESTORS
REAL ESTATE                      681936100     834,925      36,400.000    X                        X

ONE VY BANCORP WEST VA INC
COM                              682419106   1,433,363      41,100.000    X                        X

ONEIDA LTD
COM                              682505102     326,400      19,200.000    X                        X

ONEOK INC NEW
COM                              682680103   2,645,775     106,900.000    X                        X

ORANGE + ROCKLAND UTILS INC
COM                              684065105     987,925      17,200.000    X                        X

OSHKOSH B GOSH INC
CL A                             688222207   1,377,856      77,900.000    X                        X

                                            ----------
                                PAGE TOTAL  17,077,545
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
OSULLIVAN INDUSTRIES
COM                              688609106   1,685,125     122,000.000    X                        X

OTTER TAIL PWR CO
COM                              689648103     594,138      14,900.000    X                        X

OUTBACK STEAKHOUSE INC
                                 689899102     432,300      13,200.000    X                        X

OWENS CORNING
COM                              69073F103     636,250      20,000.000    X                        X

OWENS + MINOR INC NEW
COM                              690732102   1,300,050     128,400.000    X                        X

OXFORD HEALTH PLANS INC
COM                              691471106     310,938      19,900.000    X                        X

OXFORD INDS INC
COM                              691497309   1,740,375      71,400.000    X                        X

PECO ENERGY CO
COM                              693304107   1,128,500      24,400.000    X                        X

PG+E CORP
COM                              69331C108   1,295,306      41,700.000    X                        X

PFF BANCORP INC
COM                              69331W104   1,998,500     114,200.000    X                        X

PMC SIERRA INC
COM                              69344F106     875,606      12,300.000    X                        X

P P + L RES INC
COM                              693499105     346,500      14,000.000    X                        X

PPG INDS INC
COM                              693506107     702,125      13,700.000    X                        X

PS BUSINESS PKS INC CA
COM                              69360J107     647,156      29,500.000    X                        X

                                            ----------
                                PAGE TOTAL  13,692,869
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
PSS WORLD MED INC
COM                              69366A100     382,463      43,400.000    X                        X

PXRE CORPORATION
COM                              693674103     871,200      48,400.000    X                        X

PACIFIC GATEWAY EXCHANGE INC
COM                              694327107     219,038       6,600.000    X                        X

PACIFIC GULF PPTYS INC
COM                              694396102     426,600      23,700.000    X                        X

PACIFIC SUNWEAR OF CALIF
COM                              694873100     264,100       7,600.000    X                        X

PACIFICARE HEALTH SYSTEMS
CLASS B                          695112201   1,283,100      18,800.000    X                        X

PAN PAC RETAIL PPTYS INC
COM                              69806L104     232,525      13,100.000    X                        X

PARK ELECTROCHEMICAL CORP
                                 700416209     413,600      17,600.000    X                        X

PARKWAY PPTYS INC
COM                              70159Q104     360,800      12,800.000    X                        X

PATHOGENSIS CORP
COM                              70321E104     210,338      15,800.000    X                        X

PATRIOT AMERN HOSPITALITY INC
PAIRED CTF 1COM PATRIOT AMERN    703352203   5,060,758     987,465.000    X                        X

PAXAR CORP
COM                              704227107     595,000      80,000.000    X                        X

PAYLESS SHOESOURCE INC
COM                              704379106     399,900       8,600.000    X                        X

PAYMENTECH INC
COM                              704384106     841,050      35,600.000    X                        X

                                            ----------
                                PAGE TOTAL  11,560,472
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
PEC ISRAEL ECONOMIC CORP
COM                              705098101     331,375      11,000.000    X                        X

PEGASUS COMMUNICATIONS CORP
CL A                             705904100     876,400      31,300.000    X                        X

PEGASUS SYS INC
COM                              705906105     255,200       6,400.000    X                        X

PEOPLES BK BRIDGEPORT CONN
                                 710198102     505,750      17,000.000    X                        X

PEOPLES HERITAGE FINL GROUP
COM                              711147108     226,800      12,600.000    X                        X

PERSONNEL GROUP OF AMER INC
SUB NT CONV 144A                 715338AC3   4,095,630   5,544,000.000    X                        X

PERSONNEL GROUP OF AMER INC
SUB NT CONV                      715338AE9   5,917,388   8,010,000.000    X                        X

PERSONAL GROUP OF AMER INC
COM                              715338109     634,656      88,300.000    X                        X

PETSMART INC
                                 716768106     989,450     123,200.000    X                        X

PHARMACIA + UPJOHN INC
COM                              716941109   1,359,775      21,800.000    X                        X

PFIZER INC
COM                              717081103   6,854,250      49,400.000    X                        X

PHARMERICA INC
COM                              717135107     322,500      64,500.000    X                        X

PHILIP MORRIS COS INC
COM                              718154107   3,543,381     100,700.000    X                        X

PILGRIMS PRIDE CORP
COM                              721467108   1,446,500      88,000.000    X                        X

                                            ----------
                                PAGE TOTAL  27,359,055
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
PINKERTONS INC NEW
                                 723429106     266,800       9,200.000    X                        X

PINNACLE SYS INC
COM                              723481107   1,501,500      33,000.000    X                        X

PINNACLE WEST CAP CORP
COM                              723484101     334,650       9,200.000    X                        X

PITNEY BOWES INC
COM                              724479100     867,000      13,600.000    X                        X

PLANTRONICS INC NEW
COM                              727493108     944,694      15,100.000    X                        X

PLATINUM TECHNOLOGY INTL INC
SUB NT CONV                      72764TAA9   8,513,280   4,608,000.000    X                        X

PLATINUM TECHNOLOGY INTL INC
COM                              72764T101   1,203,600      47,200.000    X                        X

POLARIS INDS INC
COM                              731068102   2,092,325      65,900.000    X                        X

POLICY MGMT SYS CORP
COM                              731108106     272,563       8,900.000    X                        X

POLYCOM INC
COM                              73172K104     335,625      17,900.000    X                        X

POMEROY COMPUTER RESOURCES
                                 731822102     245,700      18,900.000    X                        X

POST PPTYS INC
COM                              737464107  15,912,000     442,000.000    X                        X

PRE PAID LEGAL SVCS INC
COM                              740065107     320,950      13,100.000    X                        X

PRECISION CASTPARTS CORP
COM RTS CALLABLE THRU 16DEC98    740189105   1,932,000      48,000.000    X                        X

                                            ----------
                                PAGE TOTAL  34,742,687
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
PREMARK INTL INC
COM                              740459102   2,391,263      72,600.000    X                        X

PREMIER PKS INC
COM NEW                          740540208     491,700      13,200.000    X                        X

PREMIERE TECHNOLOGIES INC
COM                              74058F102     292,338      25,700.000    X                        X

PRENTISS PPTYS TR
SH BEN INT                       740706106     912,625      49,000.000    X                        X

PRESIDENTIAL LIFE CORP
COM                              740884101     507,631      28,300.000    X                        X

PRIME RETAIL INC
COM                              741570105     528,500      60,400.000    X                        X

PRIME RETAIL INC
PFD CONV SER B                   741570303   7,497,600     468,600.000    X                        X

PRIMEX TECHNOLOGIES INC
COM                              741597108     340,300      16,400.000    X                        X

PRISON REALTY CORP
COM                              74264N105   2,261,644     129,700.000    X                        X

PRIORITY HEALTHCARE CORP
CL B                             74264T102     416,300       9,200.000    X                        X

PROCTER + GAMBLE CO
COM                              742718109     989,169      10,100.000    X                        X

PROFIT RECOVERY GROUP INTL INC
COM                              743168106     335,750       8,500.000    X                        X

PROGRESS SOFTWARE CORP
COM                              743312100     825,825      24,200.000    X                        X

PROGRESSIVE CORP OHIO
COM                              743315103     875,350       6,100.000    X                        X

                                            ----------
                                PAGE TOTAL  18,665,995
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
PROJECT SOFTWARE + DEV INC
COM                              74339P101     330,750      13,500.000    X                        X

PROLOGIS TR
SH BEN INT                       743410102  19,681,353     960,066.000    X                        X

PROVIDENT BANKSHARES CORP
                                 743859100   1,881,000      72,000.000    X                        X

PROVIDENT FINL GROUP INC
COM                              743866105     218,738       5,700.000    X                        X

PROVIDIAN FINL CORP
COM                              74406A102     583,000       5,300.000    X                        X

PSINET INC
COM                              74437C101     685,256      16,100.000    X                        X

PUBLIC SVC CO NM
COM                              744499104   2,876,400     169,200.000    X                        X

PUBLIC SVC ENTERPRISE GROUP
COM                              744573106   1,145,625      30,000.000    X                        X

PUBLIC STORAGE INC
COM                              74460D109     387,000      15,480.000    X                        X

PULTE CORP
COM                              745867101   1,825,256      87,700.000    X                        X

QRS CORP
COM                              74726X105     212,713       3,400.000    X                        X

QLOGIC CORP
COM                              747277101   1,285,444      19,150.000    X                        X

QUADRAMED CORP
COM                              74730W101     313,388      41,100.000    X                        X

QUAKER OATS CO
COM                              747402105   2,839,631      45,600.000    X                        X

                                            ----------
                                PAGE TOTAL  34,265,554
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
QUALCOMM INC
COM                              747525103     808,438       6,500.000    X                        X

QUANEX CORP
COM                              747620102   1,467,850      94,700.000    X                        X

QUEST DIAGNOSTICS INC
COM                              74834L100   2,647,750     119,000.000    X                        X

RFS HOTEL INVS INC
COM                              74955J108     344,563      29,800.000    X                        X

RH DONNELLEY CORP
COM NEW                          74955W307     228,475      14,800.000    X                        X

RLI CORP
COM                              749607107   1,137,094      38,875.000    X                        X

RTI INTL METALS INC
COM                              74973W107     168,750      18,000.000    X                        X

RWD TECHNOLOGIES INC
COM                              74975B101     612,056      35,100.000    X                        X

RATIONAL SOFTWARE CORP
COM NEW                          75409P202   1,311,131      48,900.000    X                        X

RAYTHEON CO
CL B                             755111408     592,113      10,100.000    X                        X

READERS DIGEST ASSN INC
COM CL A NON VTG                 755267101     484,138      15,400.000    X                        X

REALTY INCOME CORP
COM                              756109104     720,300      34,300.000    X                        X

RECKSON ASSOCS RLTY CORP
COM                              75621K106   1,036,350      50,400.000    X                        X

REGENCY RLTY CORP
COM                              758939102     333,750      17,800.000    X                        X

                                            ----------
                                PAGE TOTAL  11,892,758
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
REGIONS FINL CORP
COM                              758940100     775,600      22,400.000    X                        X

RELIANCE BANCORP INC
COM                              759451107   1,762,375      61,300.000    X                        X

RELIANCE GROUP HLDGS INC
COM                              759464100     223,706      29,100.000    X                        X

RELIANCE STL + ALUM CO
COM                              759509102   2,279,069      79,100.000    X                        X

RENT A CTR INC NEW
COM                              76009N100     207,000       7,200.000    X                        X

RENTAL SVC CORP
COM                              76009V102     582,750      33,300.000    X                        X

REPUBLIC BANCORP INC
COM                              760282103   1,625,000     125,000.000    X                        X

REPUBLIC SEC FINL CORP
                                 760758102   1,443,953     156,103.000    X                        X

RES CARE INC
COM                              760943100     291,056      12,900.000    X                        X

RESOURCE BANCSHARES MTG GRP IN
                                 761197102   1,031,288      80,100.000    X                        X

RIGGS NATL CORP WASH DC
COM                              766570105   1,609,875      95,400.000    X                        X

RIVIANA FOODS INC DEL
COM                              769536103   1,902,725      81,400.000    X                        X

ROCHESTER GAS + ELEC CORP
COM                              771367109   3,174,938     123,900.000    X                        X

ROCK TENN CO
COM CL A                         772739207   1,780,425     115,800.000    X                        X

                                            ----------
                                PAGE TOTAL  18,689,760
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
ROLLINS TRUCK LEASING CORP
COM                              775741101     867,306      91,900.000    X                        X

ROMAC INTL INC
COM                              775835101     255,000      30,000.000    X                        X

ROUSE CO
COM                              779273101  10,206,250     460,000.000    X                        X

ROUSE CO
PFD CONV SER B PCT               779273309   1,117,500      30,000.000    X                        X

RUSS BERRIE + CO INC
COM                              782233100     828,163      31,700.000    X                        X

RYANS FAMILY STEAK HOUSES INC
COM                              783519101   2,332,888     193,400.000    X                        X

RYLAND GROUP INC
COM                              783764103   2,171,813      85,800.000    X                        X

SBC COMMUNICATIONS INC
COM                              78387G103   5,336,824     113,214.160    X                        X

SBC COMMUNICATIONS INC
DECS PCT                         78387G202   1,160,000      20,000.000    X                        X

SCM MICROSYSTEMS INC
COM                              784018103     218,700       3,600.000    X                        X

SDL INC
COM                              784076101     408,375       4,500.000    X                        X

SEI INVESTMENTS CO
COM                              784117103     564,250       6,100.000    X                        X

SL GREEN RLTY CORP
COM                              78440X101     568,138      30,200.000    X                        X

SPDR TRUST
UNIT SER 1                       78462F103   2,155,650      16,800.000    X                        X

                                            ----------
                                PAGE TOTAL  28,190,857
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
SPS TECHNOLOGIES INC
COM                              784626103     576,975      14,700.000    X                        X

S3 INC
SUB NT CONV 144A                 784849AA9     763,750   1,000,000.000    X                        X

SPR INC
COM                              784922106     119,344      28,500.000    X                        X

SABRATEK CORP
COM                              78571U108     162,000      10,800.000    X                        X

SAFEGUARD SCIENTIFICS INC
COM                              786449108     379,750       5,600.000    X                        X

SAFEWAY INC
COM NEW                          786514208   3,915,144      76,300.000    X                        X

SANMINA CORP
COM                              800907107     503,625       7,900.000    X                        X

SAUL CTRS INC
COM                              804395101     364,163      24,900.000    X                        X

SAWTEK INC
COM                              805468105     526,500      15,600.000    X                        X

SCHAWK INC
CLASS A                          806373106     336,375      34,500.000    X                        X

SCHERING PLOUGH CORP
COM                              806605101   4,337,125      78,500.000    X                        X

SCHOLASTIC CORP
                                 807066105     767,338      15,700.000    X                        X

SCHULMAN A INC
COM                              808194104   1,667,700     122,400.000    X                        X

SCHWEITZER MAUDUIT INTL INC
COM                              808541106     215,050      18,700.000    X                        X

                                            ----------
                                PAGE TOTAL  14,634,839
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
SCIENTIFIC GAMES HLDGS CORP
COM                              808747109   1,819,375     102,500.000    X                        X

SCOTSMAN INDS INC
COM                              809340102     256,094      14,900.000    X                        X

SCOTTS CO
CL A                             810186106     616,688      16,500.000    X                        X

SEAGATE TECHNOLOGY
COM                              811804103     801,144      27,100.000    X                        X

SEARS ROEBUCK + CO
COM                              812387108   2,557,613      56,600.000    X                        X

SECURITY CAP GROUP INC
CL B                             81413P204   1,118,150      83,600.000    X                        X

SELECTIVE INS GROUP INC
COM                              816300107   1,974,000     112,000.000    X                        X

SEMTECH CORP
COM                              816850101     388,875      12,200.000    X                        X

SEROLOGICALS CORP
COM                              817523103     673,378      49,650.000    X                        X

SERVICE CORP INTL
COM                              817565104   1,105,800      77,600.000    X                        X

SHERWIN WILLIAMS CO
COM                              824348106   2,086,875      74,200.000    X                        X

SHOPKO STORES INC
COM                              824911101   2,649,913      88,700.000    X                        X

SHURGARD STORAGE CTRS INC
CL A                             82567D104     898,900      35,600.000    X                        X

SIMON PPTY GROUP INC NEW
COM                              828806109  27,560,886   1,004,497.000    X                        X

                                            ----------
                                PAGE TOTAL  44,507,691
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
SIMON PPTY GROUP INC NEW
PFD CONV SER B 6.5PCT            828806406   5,655,736      73,606.000    X                        X

SIMPSON MFG INC
COM                              829073105   1,533,525      38,100.000    X                        X

SIPEX CORP
COM                              829909100     440,206      33,700.000    X                        X

SIZELER PPTY INVS INC
COM                              830137105     618,750      75,000.000    X                        X

SKY FINL GROUP INC
COM                              83080P103     985,129      36,402.000    X                        X

SKYLINE CORP
COM                              830830105   1,842,600      66,400.000    X                        X

SKYTEL COMMUNICATIONS INC
COM                              83087Q104     450,538      27,100.000    X                        X

SKYWEST INC
                                 830879102   1,224,300      42,400.000    X                        X

SMART MODULAR TECHNOLOGIES INC
COM                              831690102     249,456      16,700.000    X                        X

SMITH A O CORP
COM                              831865209   1,685,300      88,700.000    X                        X

SOLUTIA INC
COM                              834376105     809,675      46,600.000    X                        X

SOUTH JERSEY INDS INC
COM                              838518108     216,250      10,000.000    X                        X

SOUTHDOWN INC
COM                              841297104     944,900      17,600.000    X                        X

SOUTHERN CO
COM                              842587107     349,688      15,000.000    X                        X

                                            ----------
                                PAGE TOTAL  17,006,053
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
SOUTHERN PACIFIC FUG CORP
SUB NT CONV                      843576AA7   3,169,820  18,646,000.000    X                        X

SOUTHWEST AIRLS CO
COM                              844741108     226,875       7,500.000    X                        X

SOUTHWEST BANCORPORATION TEX
COM                              84476R109   1,127,825      91,600.000    X                        X

SOUTHWEST GAS CORP
COM                              844895102     701,250      25,500.000    X                        X

SOUTHWEST SECS GROUP INC
COM                              845224104     421,773      14,930.000    X                        X

SOVRAN SELF STORAGE INC
COM                              84610H108     356,681      15,300.000    X                        X

SPARTECH CORP
COM NEW                          847220209   1,711,875      83,000.000    X                        X

SPECIALTY EQUIP COS INC
COM                              847497203   1,884,025      68,200.000    X                        X

SPIEKER PPTYS INC
COM                              848497103  11,914,500     338,000.000    X                        X

SPLASH TECHNOLOGY HLDGS INC
COM                              848623104      81,238      13,400.000    X                        X

SPORTSLINE USA INC
COM                              848934105     365,000       8,000.000    X                        X

SPRINT CORP
COM                              852061100   2,394,250      24,400.000    X                        X

SPRINT CORP
PCS COM SER 1                    852061506     420,969       9,500.000    X                        X

SS+C TECHNOLOGIES INC
COM                              85227Q100     136,125      11,000.000    X                        X

                                            ----------
                                PAGE TOTAL  24,912,206
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
STAFFMARK INC
COM                              852389105     149,625      19,000.000    X                        X

STANDARD PAC CORP NEW
COM                              85375C101     870,350      67,600.000    X                        X

STANDARD PRODS CO
COM                              853836104     325,000      20,000.000    X                        X

STAR TELECOMMUNICATIONS INC
COM                              854923109     203,088      21,100.000    X                        X

STAPLES INC
COM                              855030102  13,615,181     414,150.000    X                        X

STARWOOD HOTELS + RESORTS
1 CL B SH BEN INT+ 1 COMMON      85590A203  14,995,313     525,000.000    X                        X

STATE STREET CORPORATION
COM                              857477103     986,250      12,000.000    X                        X

STATION CASINOS INC
                                 857689103   1,275,000     100,000.000    X                        X

STEINWAY MUSICAL INSTRS INC
ORD COM                          858495104     437,094      19,700.000    X                        X

STERLING BANCSHARES INC
COM                              858907108   1,130,875     109,000.000    X                        X

STERLING SOFTWARE INC.
COM                              859547101     361,000      15,200.000    X                        X

STEWART INFORMATION SVCS CORP
COM                              860372101   1,547,231      46,100.000    X                        X

STILLWATER MNG CO
COM                              86074Q102     232,100       8,800.000    X                        X

STORAGE USA INC
COM                              861907103   3,109,900     109,600.000    X                        X

                                            ----------
                                PAGE TOTAL  39,238,007
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
STRUCTURAL DYNAMICS RESH CORP
COM RTS CALLABLE THRU 10AUG98    863555108     354,563      18,600.000    X                        X

SUGEN INC
COM                              865041107     337,700      17,600.000    X                        X

SUMMIT PPTYS INC
COM                              866239106     447,225      26,800.000    X                        X

SUN CMNTYS INC
COM                              866674104     962,025      30,300.000    X                        X

SUN MICROSYSTEMS INC
COM                              866810104   1,200,025       9,600.000    X                        X

SUNDSTRAND CORP
COM                              867323107   1,563,750      22,500.000    X                        X

SUNOCO INC
COM                              86764P109   1,752,638      48,600.000    X                        X

SUNTERRA CORP
COM                              86787D109   3,252,990     333,640.000    X                        X

SUNSTONE HOTEL INVS INC
COM                              867933103     357,219      49,700.000    X                        X

SUPERIOR ENERGY SVCS INC
COM                              868157108      78,588      21,868.000    X                        X

SUPERIOR INDS INTL INC
COM                              868168105   2,297,100      98,800.000    X                        X

SUPERIOR TELECOM INC
COM                              868365107   1,422,703      75,375.000    X                        X

SUPERVALU INC
COM                              868536103   2,417,250     117,200.000    X                        X

SYLVAN LEARNING SYS INC
COM                              871399101     572,138      20,900.000    X                        X

                                            ----------
                                PAGE TOTAL  17,015,914
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
SYMANTEC CORP
COM                              871503108     653,788      38,600.000    X                        X

SYNOPSYS INC
COM                              871607107     225,750       4,200.000    X                        X

SYNOVUS FINL CORP
COM                              87161C105     805,238      39,400.000    X                        X

SYNTEL INC
COM                              87162H103     279,500      34,400.000    X                        X

TCA CABLE TV INC
COM                              872241104     756,900      17,400.000    X                        X

TCI SATELLITE ENTMT INC
CL A                             872298104      10,959      16,700.000    X                        X

TJ INTL INC
                                 872534102   2,144,713      88,900.000    X                        X

TJX COS INC NEW
COM                              872540109     686,800      20,200.000    X                        X

TNP ENTERPRISES INC
COM                              872594106   2,231,000      77,600.000    X                        X

TALBOTS INC
COM                              874161102   1,462,500      60,000.000    X                        X

TANDY CORP
COM                              875382103     701,938      11,000.000    X                        X

TAUBMAN CENTERS INC
REIT                             876664103   3,773,000     308,000.000    X                        X

TECHNE CORP
COM                              878377100     210,788       7,300.000    X                        X

TECHNITROL INC
COM                              878555101     385,144      16,700.000    X                        X

                                            ----------
                                PAGE TOTAL  14,328,018
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
TECHNOLOGY SOLUTIONS CO
COM                              87872T108     171,000      24,000.000    X                        X

TECUMSEH PRODS CO
CL A                             878895200   3,035,875      59,600.000    X                        X

TEKELEC INC
COM                              879101103     345,150      47,200.000    X                        X

TEL SAVE HLDGS INC
SUB NT CONV                      879176AC9   3,106,960   4,544,000.000    X                        X

TELEPHONE + DATA SYS INC
COM                              879433100     281,875       5,000.000    X                        X

TELIGENT INC
CL A                             87959Y103     249,750       6,000.000    X                        X

TELLABS INC
COM                              879664100   1,104,575      11,300.000    X                        X

TELETECH HLDGS INC
COM                              879939106     249,375      38,000.000    X                        X

TENNANT CO
COM                              880345103   1,589,200      46,400.000    X                        X

TEREX CORP NEW
COM                              880779103     523,513      21,700.000    X                        X

TEXACO INC
COM                              881694103   1,520,900      26,800.000    X                        X

TEXAS INSTRS INC
COM                              882508104     496,250       5,000.000    X                        X

TEXAS REGL BANCSHARES INC
CL A VTG                         882673106     213,300       7,900.000    X                        X

THERMO FIBERTEK INC
SUB DEB CONV 144A                88355WAA3   1,396,125   1,700,000.000    X                        X

                                            ----------
                                PAGE TOTAL  14,283,848
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
THERMO OPTEK CORP
SUB DEB CONV 144A                883582AA6   1,600,500   1,650,000.000    X                        X

THERMOQUEST CORP
COM                              883655102   1,621,113     133,700.000    X                        X

THOMAS + BETTS CORP
COM                              884315102     619,781      16,500.000    X                        X

THOR INDS INC
COM                              885160101   1,742,125      77,000.000    X                        X

THORNBURG MTG ASSET CORP
COM                              885218107     424,350      49,200.000    X                        X

3COM CORP
COM                              885535104     370,669      15,900.000    X                        X

TIFFANY + CO NEW
COM                              886547108     538,200       7,200.000    X                        X

TIMBERLAND CO
CL A                             887100105     466,663       7,400.000    X                        X

TIME WARNER INC
COM                              887315109   5,134,951      72,330.000    X                        X

TOTAL RENAL CARE HLDGS INC
COM                              89151A107   2,496,868     226,988.000    X                        X

TOWER RLTY TR INC
COM                              89185E109     405,263      21,400.000    X                        X

TOWN + CNTRY TR
SH BEN INT                       892081100   2,327,156     154,500.000    X                        X

TRAVELERS PPTY CAS CORP
CL A                             893939108   1,816,100      50,800.000    X                        X

TREDEGAR INDS INC
COM                              894650100   1,215,844      39,300.000    X                        X

                                            ----------
                                PAGE TOTAL  20,779,583
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
TRIATHLON BROADCASTING CO
DEP SH REPSTG 1/10 PFD CONV      89589P304   4,573,800     435,600.000    X                        X

TRIAD GTY INC
COM                              895925105   1,467,463     108,200.000    X                        X

TRICON GLOBAL RESTAURANTS INC
COM                              895953107   1,700,050      24,200.000    X                        X

TRINET CORP RLTY TR INC
COM                              896287109   6,820,800     268,800.000    X                        X

TWINLAB CORP
COM                              901774109     122,813      13,100.000    X                        X

UGI CORP NEW
COM                              902681105     685,856      41,100.000    X                        X

UMB FINL CORP
COM                              902788108     670,569      17,305.000    X                        X

UST CORP
COM                              902900109   1,079,081      49,400.000    X                        X

U S RESTAURANT PPTYS INC
COM                              902971100     326,381      16,900.000    X                        X

URS CORP NEW
COM                              903236107   1,826,119     101,100.000    X                        X

USG CORP
COM NEW                          903293405   1,423,088      27,700.000    X                        X

ULTRAMAR DIAMOND SHAMROCK
COM                              904000106     746,063      34,500.000    X                        X

UNICOM CORP
COM                              904911104     574,031      15,700.000    X                        X

UNION PACIFIC RES GROUP INC
COM                              907834105   2,030,625     171,000.000    X                        X

                                            ----------
                                PAGE TOTAL  24,046,739
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
UNIONBANCAL CORP
COM                              908906100   3,222,313      94,600.000    X                        X

UNISOURCE ENERGY CORP
COM                              909205106     719,063      65,000.000    X                        X

UNISOURCE WORLDWIDE INC
COM                              909208100     622,013      87,300.000    X                        X

UNISYS CORP
COM                              909214108   3,045,625     110,000.000    X                        X

UNITED DOMINION RLTY TR INC
COM                              910197102   1,321,225     128,900.000    X                        X

UNITED HEALTHCARE CORP
COM                              910581107   2,599,675      49,400.000    X                        X

UNITED ILLUM CO
COM                              910637107   2,658,838      63,400.000    X                        X

UNITED INTL HLDGS INC
CL A                             910734102   1,392,000      32,000.000    X                        X

UNITED PAYORS + UTD PROVIDERS
COM                              911319101     207,563       9,000.000    X                        X

U S WEST INC NEW
COM                              91273H101   3,763,852      68,356.001    X                        X

U S TR CORP NEW
COM                              91288L105   1,773,081      23,900.000    X                        X

UNITED STATIONERS INC
COM                              913004107   2,130,425     139,700.000    X                        X

UNITED TECHNOLOGIES CORP
COM                              913017109   3,941,231      29,100.000    X                        X

UNITRODE CORP
COM                              913283107     302,194      21,300.000    X                        X

                                            ----------
                                PAGE TOTAL  27,699,098
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
UNIVERSAL CORP VA
COM                              913456109   2,454,000      96,000.000    X                        X

UNIVERSAL FST PRODS INC
COM                              913543104   2,173,000     106,000.000    X                        X

US FREIGHTWAYS CORP
COM                              916906100   1,088,163      33,100.000    X                        X

URBAN SHOPPING CTRS INC
COM                              917060105   3,247,425     113,200.000    X                        X

USBANCORP INC
COM                              917292104   1,295,775      88,600.000    X                        X

USWEB CORP
COM                              917327108   1,322,063      32,050.000    X                        X

V F CORP
COM                              918204108   1,410,906      29,900.000    X                        X

VALASSIS COMMUNICATIONS INC
COM                              918866104   2,556,450      49,400.000    X                        X

VARLEN CORP
COM                              922248109   2,105,400      95,700.000    X                        X

VERISIGN INC
COM                              92343E102     308,000       2,000.000    X                        X

VERIO INC
COM                              923433106     654,975      14,200.000    X                        X

VETERINARY CTRS AMER INC
COM                              925514101   1,702,063     120,500.000    X                        X

VIACOM INC
CL B                             925524308   1,670,356      19,900.000    X                        X

VISHAY INTERTECHNOLOGY INC
COM                              928298108   2,475,625     170,000.000    X                        X

                                            ----------
                                PAGE TOTAL  24,464,201
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
VISX INC DEL
                                 92844S105   1,462,850      13,600.000    X                        X

VORNADO RLTY TR
COM                              929042109   1,656,000      48,000.000    X                        X

VORNADO REALTY TR
PFD CONV SER A                   929042208   1,960,000      40,000.000    X                        X

WMX TECHNOLOGIES INC
SUB NT CONV                      92929QAF4   1,915,000   2,000,000.000    X                        X

WPS RES CORP
COM                              92931B106   1,047,250      35,500.000    X                        X

WAL MART STORES INC
COM                              931142103   4,415,781      47,900.000    X                        X

WALDEN RESIDENTIAL PPTYS INC
COM                              931210108     371,888      21,100.000    X                        X

WALTER INDS INC
COM                              93317Q105   1,738,125     154,500.000    X                        X

WARNER LAMBERT CO
COM                              934488107   2,676,500      40,400.000    X                        X

WASHINGTON REAL ESTATE INVT TR
SH BEN INT                       939653101     660,656      40,500.000    X                        X

WASTE MGMT INC DEL
SUB NT CONV                      94106LAA7   6,186,836   5,271,000.000    X                        X

WASTEMASTERS INC
COM                              941071102      38,625     103,000.000    X                        X

WATSCO INC
COM                              942622200     358,313      24,500.000    X                        X

WATTS INDS INC
CL A                             942749102     908,688      67,000.000    X                        X

                                            ----------
                                PAGE TOTAL  25,396,512
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4       ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR        SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET      PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE        AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  ----------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>         <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
WAUSAU MOSINEE PAPER CORP
COM                              943315101   2,196,600     156,900.000    X                        X

WEBB DEL CORP
COM                              947423109   1,754,519      80,900.000    X                        X

WEEKS CORP
COM                              94856P102  14,981,031     524,500.000    X                        X

WEINGARTEN RLTY INVS
SH BEN INT                       948741103     221,900       5,600.000    X                        X

WELLPOINT HEALTH NETWORKS INC
CL A                             94973H108     758,125      10,000.000    X                        X

WELLS FARGO + CO NEW
COM                              949746101     589,050      16,800.000    X                        X

WESTAFF INC
COM                              957070105      60,175      11,600.000    X                        X

WESTERN BANCORP
COM                              957683105   1,469,531      47,500.000    X                        X

WESTERN WIRELESS CORP
CL A                             95988E204   2,330,875      64,300.000    X                        X

WESTFIELD AMER INC
COM                              959910100     845,719      48,500.000    X                        X

WIND RIV SYS INC
COM                              973149107     317,953      17,850.000    X                        X

WINNEBAGO IND INC.
COM                              974637100   1,880,200     134,300.000    X                        X

WINSTAR COMMUNICATIONS INC
COM                              975515107     875,812      24,098.000    X                        X

WORLD ACCESS INC
COM                              98141A101     185,250      22,800.000    X                        X

                                            ----------
                                PAGE TOTAL  28,466,740
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4            ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR        INVESTMENT      ITEM    VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL        DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
WORLD COLOR PRESS INC DEL
COM                              981443104         992,375      46,700.000    X                        X

WYNNS INTL INC
COM                              983195108         568,463      32,600.000    X                        X

XIRCOM INC
COM                              983922105         527,625      21,000.000    X                        X

XEROX CORP
COM                              984121103       1,824,375      35,000.000    X                        X

XTRA CORP
COM                              984138107         950,150      24,800.000    X                        X

YAHOO INC
COM                              984332106         707,175       4,200.000    X                        X

YANKEE ENERGY SYS INC
COM                              984779108         299,813      13,000.000    X                        X

YORK INTL CORP
NEW COM                          986670107         688,594      19,500.000    X                        X

ZALE CORP NEW
COM                              988858106       3,179,438      93,000.000    X                        X

ZEBRA TECHNOLOGIES CORP
CL A                             989207105         225,625       9,500.000    X                        X
                                             -------------
                                PAGE  TOTAL      9,963,633
                                STOCK TOTAL  1,827,381,958
                                BONDS TOTAL    149,548,798
                                GRAND TOTAL  1,976,930,756
                  STOCK AND CONV BOND TOTAL  1,976,930,756

                                OTHER TOTAL     64,278,527
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
AES CORP
COM                              00130H105      10,281,000     276,000.000    X                        X

AMR CORP DEL
COM                              001765106       1,991,125      34,000.000    X                        X

AT + T CORP
COM                              001957109      12,690,188     159,000.000    X                        X

AT+T CORP
COM LIBERTY MEDIA GRP CL A       001957208         218,774       4,160.000    X                        X

AETNA INC
COM                              008117103         996,000      12,000.000    X                        X

AFFILIATED MANAGERS GROUP INC
COM                              008252108         390,000      15,000.000    X                        X

AIR PRODS + CHEMS INC
COM                              009158106         513,750      15,000.000    X                        X

ALCOA INC
COM                              013817101       8,484,625     206,000.000    X                        X

ALLERGAN INC
COM                              018490102       1,845,375      21,000.000    X                        X

ALLIED SIGNAL INC
COM                              019512102         541,063      11,000.000    X                        X

ALLSTATE CORP
COM                              020002101       2,742,625      74,000.000    X                        X

AMAZON COM INC
COM                              023135106       2,755,000      16,000.000    X                        X

AMERICA ONLINE INC DEL
COM                              02364J104       4,998,000      34,000.000    X                        X

AMERICAN GEN CORP
COM                              026351106       1,480,500      21,000.000    X                        X

                                                ----------
                                PAGE TOTAL      49,928,025
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
AMERICAN HOME PRODUCTS CORP
COM                              026609107       3,099,375      47,500.000    X                        X

AMERICAN INTL GROUP INC
COM                              026874107      17,610,285     145,992.000    X                        X

AMERITECH CORP
NEW COM                          030954101       4,177,813      72,500.000    X                        X

AMGEN INC
COM                              031162100       3,369,375      45,000.000    X                        X

ANADARKO PETE CORP
COM                              032511107       6,795,000     180,000.000    X                        X

ANHEUSER BUSCH COS INC
COM                              035229103       3,045,000      40,000.000    X                        X

APACHE CORP
COM                              037411105       6,307,125     242,000.000    X                        X

ASSOCIATES FIRST CAP CORP
CL A                             046008108       1,485,000      33,000.000    X                        X

AUTOMATIC DATA PROCESSING INC
COM                              053015103      14,895,000     360,000.000    X                        X

AUTONATION INC DEL
COM                              05329W102         383,625      31,000.000    X                        X

BMC SOFTWARE INC
COM                              055921100       1,297,188      35,000.000    X                        X

BAKER HUGHES INC
COM                              057224107       1,215,625      50,000.000    X                        X

BANK AMER CORP
COM                              060505104       4,131,563      58,500.000    X                        X

BANK ONE CORP
COM                              06423A103       3,667,163      66,600.000    X                        X

                                            --------------
                                PAGE TOTAL      71,479,137
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
BELL ATLANTIC CORP
COM                              077853109       3,721,500      72,000.000    X                        X

BELLSOUTH CORP
COM                              079860102       6,450,063     161,000.000    X                        X

BESTFOODS
COM                              08658U101       4,371,000      93,000.000    X                        X

BLACK + DECKER CORPORATION
COM                              091797100         831,563      15,000.000    X                        X

BRISTOL MYERS SQUIBB CO
COM                              110122108       7,335,900     114,400.000    X                        X

CIGNA CORP
COM                              125509109         921,938      11,000.000    X                        X

CABOT CORP
COM                              127055101       1,912,500      90,000.000    X                        X

CAPITAL ONE FINL CORP
COM                              14040H105         226,500       1,500.000    X                        X

CARDINAL HEALTH INC
COM                              14149Y108      11,253,000     170,500.000    X                        X

CAREMATRIX
SUB NT CONV                      141706AC5         337,725     395,000.000    X                        X

CENDANT CORP
COM                              151313103       5,868,331     368,209.000    X                        X

CENTEX CORP
COM                              152312104         901,125      27,000.000    X                        X

CENTRAL GARDEN + PET CO
SUB NT CONV 144A                 153527AA4         117,245     131,000.000    X                        X

CENTRAL GARDEN AND PET CO
SUB NT CONV                      153527AC0         534,315     597,000.000    X                        X

                                            --------------
                                PAGE TOTAL      44,782,705
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CHASE MANHATTAN CORP NEW
COM                              16161A108       7,730,625      95,000.000    X                        X

CHEVRON CORP
COM                              166751107       4,703,750      53,000.000    X                        X

CISCO SYS INC
COM                              17275R102      34,731,313     317,000.000    X                        X

CITIGROUP INC
COM                              172967101      19,641,563     307,500.000    X                        X

CLOROX CO
COM                              189054109       1,933,594      16,500.000    X                        X

COCA COLA CO
COM                              191216100      10,740,625     175,000.000    X                        X

COLEMAN CO INC
                                 193559101       1,685,475     204,300.000    X                        X

COLGATE PALMOLIVE CO
COM                              194162103       4,094,000      44,500.000    X                        X

COMCAST CORP
CL A SPL                         200300200         503,500       8,000.000    X                        X

COMERICA INC
COM                              200340107       1,654,594      26,500.000    X                        X

COMPAQ COMPUTER CORP
COM                              204493100       1,156,594      36,500.000    X                        X

COMPUTER ASSOC INTL INC
COM                              204912109       7,894,875     222,000.000    X                        X

COMPUTER SCIENCES CORP
COM                              205363104       2,428,250      44,000.000    X                        X

COMPUWARE CORP
COM                              205638109       1,002,750      42,000.000    X                        X

                                            --------------
                                PAGE TOTAL      99,901,508
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
TECHNOLOGY INC
SUB DEB CONV                     205862AG0         808,403     558,000.000    X                        X

CONCENTRA MANAGED CARE INC
SUB NT CONV                      20589TAA1         202,353     217,000.000    X                        X

CONCENTRA MANAGED CARE INC
COM                              20589T103         169,650      11,700.000    X                        X

CORPORATE EXPRESS INC
COM                              219888104         149,400      28,800.000    X                        X

COSTCO COS INC
COM                              22160Q102       2,014,375      22,000.000    X                        X

CRIIMI MAE INC
PFD SER B CONV                   226603207       1,160,700      87,600.000    X                        X

CULLEN FROST BANKERS INC
COM                              229899109         210,925       4,400.000    X                        X

DTE ENERGY CO
COM                              233331107         864,844      22,500.000    X                        X

DANA CORP
COM                              235811106         380,000      10,000.000    X                        X

DATA PROCESSING RES CORP
2005 SUB NT CONV                 237823AB5         301,283     417,000.000    X                        X

DATA PROCESSING CORP
COM                              237823109         154,751      11,306.000    X                        X

DELL COMPUTER CORP
COM                              247025109       2,616,000      64,000.000    X                        X

DIAMOND OFFSHORE DRILLING INC
COM                              25271C102         759,000      24,000.000    X                        X

DISNEY WALT CO
COM                              254687106       2,925,750      94,000.000    X                        X

                                            --------------
                                PAGE TOTAL      12,717,434
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
RES INC VA
COM                              257470104       6,279,375     170,000.000    X                        X

DOW CHEM CO
COM                              260543103       1,118,250      12,000.000    X                        X

DU PONT E I DE NEMOURS + CO
COM                              263534109       1,643,169      28,300.000    X                        X

E M C CORP MASS
COM                              268648102       8,252,650      64,600.000    X                        X

EASTMAN CHEM CO
COM                              277432100       1,035,789      24,625.000    X                        X

EASTMAN KODAK CO
COM                              277461109       1,405,250      22,000.000    X                        X

EL PASO ELEC CO
COM NEW                          283677854         114,375      15,000.000    X                        X

ELETRONICS FOR IMAGING INC       286082102         273,000       7,000.000    X                        X

EMERSON ELEC CO
COM                              291011104       5,293,750     100,000.000    X                        X

ENGELHARD CORP
COM                              292845104       6,520,938     385,000.000    X                        X

ENRON CORP
COM                              293561106       8,095,500     126,000.000    X                        X

EQUITABLE COMPANIES INC
COM                              29444G107         280,000       4,000.000    X                        X

EXXON CORP
COM                              302290101      14,712,281     208,500.000    X                        X

FEDERAL HOME LN MTG CORP
COM FORMERLY SR PART PFD         313400301         659,094      11,500.000    X                        X

                                            --------------
                                PAGE TOTAL      55,683,421
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
NATL MTG ASSN
COM                              313586109      12,229,550     176,600.000    X                        X

FEDERATED DEPT STORES INC DEL
COM                              31410H101       7,784,250     194,000.000    X                        X

FIRST DATA CORP
COM                              319963104       1,068,750      25,000.000    X                        X

FIRST UN CORP
COM                              337358105       3,740,625      70,000.000    X                        X

FLEET FINL GROUP INC
COM                              338915101       6,245,750     166,000.000    X                        X

FORD MTR CO DEL
COM                              345370100         396,813       7,000.000    X                        X

FORT JAMES CORP
COM                              347471104       2,344,875      74,000.000    X                        X

GTE CORP
COM                              362320103       3,085,500      51,000.000    X                        X

GANNETT INC
COM                              364730101       2,079,000      33,000.000    X                        X

GAP INC
COM                              364760108       3,483,422      51,750.000    X                        X

GENERAL ELEC CO
COM                              369604103      24,005,625     217,000.000    X                        X

GENERAL NUTRITION COS INC
COM                              37047F103       4,340,000     310,000.000    X                        X

GENZYME CORP
COM                              372917104         302,625       6,000.000    X                        X

GENZYME CORP
COM TISSUE REPAIR                372917401         111,243      48,105.000    X                        X

                                            --------------
                                PAGE TOTAL      71,218,028
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
CORP
COM MOLECULAR ONCOLOGY DIV       372917500         148,290      39,544.000    X                        X

GILLETTE CO
COM                              375766102       6,676,020     112,320.000    X                        X

GOODYEAR TIRE AND RUBBER
COM                              382550101       1,245,313      25,000.000    X                        X

GUIDANT CORP
COM                              401698105       1,464,100      24,200.000    X                        X

HALLIBURTON CO
COM                              406216101       1,312,850      34,100.000    X                        X

HARTFORD FINANCIAL SVCS GRP
COM                              416515104         624,938      11,000.000    X                        X

HEINZ H J CO
COM                              423074103       1,989,750      42,000.000    X                        X

HOME DEPOT INC
COM                              437076102       1,431,750      23,000.000    X                        X

IMC GLOBAL INC
COM                              449669100       1,635,000      80,000.000    X                        X

IMS HEALTH INC
COM                              449934108       1,325,000      40,000.000    X                        X

INACOM CORP
SUB DEBT CONV                    45323GAB5         616,000     616,000.000    X                        X

INTEL CORP
COM                              458140100      24,963,750     210,000.000    X                        X

INTERNATIONAL BUSINESS MACHS
COM                              459200101      48,389,250     273,000.000    X                        X

JOHNSON + JOHNSON
COM                              478160104       3,898,950      41,700.000    X                        X

                                            --------------
                                PAGE TOTAL      95,720,961
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
COM                              482584109         907,875      54,000.000    X                        X

KEANE INC
COM                              486665102         745,938      35,000.000    X                        X

KEEBLER FOODS CO
COM                              487256109       1,460,000      40,000.000    X                        X

LSI LOGIC CORP
SUB NT CONV 144A                 502161AB8         220,875     186,000.000    X                        X

LEAR CORP
COM                              521865105       2,134,375      50,000.000    X                        X

LEXMARK INTL GROUP INC
CL A                             529771107         671,250       6,000.000    X                        X

LILLY ELI + CO
COM                              532457108       3,734,500      44,000.000    X                        X

LINCOLN NATL CORP IN
COM                              534187109         494,375       5,000.000    X                        X

LUCENT TECHNOLOGIES INC
COM                              549463107      21,924,000     203,000.000    X                        X

MCI WORLDCOM INC
COM                              55268B106       4,073,875      46,000.000    X                        X

MAIL WELL INC
SUB NTS CONV                     560321AD3         216,440     224,000.000    X                        X

MAYTAG CORP
COM                              578592107       1,298,063      21,500.000    X                        X

MCCORMICK + CO INC
COM NON VTG                      579780206       4,437,000     153,000.000    X                        X

MCDONALDS CORP
COM                              580135101       2,129,688      47,000.000    X                        X

                                            --------------
                                PAGE TOTAL      44,448,254
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
HBOC INC
COM                              58155Q103       1,062,600      16,100.000    X                        X

MEDIAONE GROUP INC
PRD SER D                        58440J203       1,587,753      12,350.000    X                        X

MEDPARTNERS INC
COM                              58503X107         237,500      50,000.000    X                        X

MEDTRONIC INC
COM                              585055106       1,976,563      27,500.000    X                        X

MELLON BK CORP
COM                              585509102         309,650       4,400.000    X                        X

MERCK + CO INC
COM                              589331107      14,102,000     176,000.000    X                        X

MICROSOFT CORP
COM                              594918104      14,519,250     162,000.000    X                        X

MIDAMERICA ENERGY HLDGS CO NEW
COM                              59562V107       8,750,000     312,500.000    X                        X

MONTANA PWR CO
COM                              612085100         882,750      12,000.000    X                        X

MORGAN STANLEY DEAN WITTER
COM NEW                          617446448         299,813       3,000.000    X                        X

NATIONAL DATA CORP
2003 SUB NT CONV                 635621AA3         193,440     186,000.000    X                        X

NETWORKS ASSOCS INC
2018 SUB DEB CONV                640938AB2         101,873     282,000.000    X                        X

NEW YORK TIMES CO
CL A                             650111107         855,000      30,000.000    X                        X

NORTHERN TRUST CORP
COM                              665859104       1,865,063      21,000.000    X                        X

                                            --------------
                                PAGE TOTAL      46,743,255
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
INC
SUB DEV CONV 144A                681904AB4         209,126     261,000.000    X                        X

OMNICARE INC
COM                              681904108         191,006      10,020.000    X                        X

OWENS CORNING
COM                              69073F103         763,500      24,000.000    X                        X

PG+E CORP
COM                              69331C108       1,056,125      34,000.000    X                        X

PACIFICORP
COM                              695114108       1,380,000      80,000.000    X                        X

PEPSI BOTTLING GROUP INC
COM                              713409100         805,000      35,000.000    X                        X

PERSONNEL GROUP OF AMER INC
SUB NT CONV 144A                 715338AC3         150,981     203,000.000    X                        X

PERSONNEL GROUP OF AMER INC
SUB NT CONV                      715338AE9         264,031     355,000.000    X                        X

PHARMACIA + UPJOHN INC
COM                              716941109       1,652,938      26,500.000    X                        X

PFIZER INC
COM                              717081103      11,682,750      84,200.000    X                        X

PHILIP MORRIS COS INC
COM                              718154107       6,544,875     186,000.000    X                        X

PLATINUM TECHNOLOGY INTL INC
SUB NT CONV                      72764TAA9         310,380     168,000.000    X                        X

POST PPTYS INC
COM                              737464107       1,595,000      44,000.000    X                        X

PRIME RETAIL INC
PFD CONV SER B                   741570303       2,102,400     131,400.000    X                        X

                                            --------------
                                PAGE TOTAL      28,708,112
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
GAMBLE CO
COM                              742718109      10,136,531     103,500.000    X                        X

QUAKER OATS CO
COM                              747402105       2,645,625      42,500.000    X                        X

RAYTHEON CO
CL B                             755111408       2,139,813      36,500.000    X                        X

ROHM + HAAS CO
COM                              775371107         201,375       6,000.000    X                        X

SBC COMMUNICATIONS INC
COM                              78387G103       6,346,719     134,500.000    X                        X

SLM HLDG CORP
COM                              78442A109         918,500      22,000.000    X                        X

SAFEWAY INC
COM NEW                          786514208       1,436,750      28,000.000    X                        X

SCHERING PLOUGH CORP
COM                              806605101       5,856,500     106,000.000    X                        X

SCHWAB CHARLES CORP
NEW COM STK                      808513105       3,364,375      35,000.000    X                        X

SOUTHERN CO
COM                              842587107       1,258,875      54,000.000    X                        X

SOUTHWEST AIRLS CO
COM                              844741108      10,156,438     335,750.000    X                        X

STAPLES INC
COM                              855030102         560,519      17,050.000    X                        X

STATE STREET CORPORATION
COM                              857477103      19,328,750     235,000.000    X                        X

SUMMIT BANCORP
COM                              866005101       1,170,000      30,000.000    X                        X

                                            --------------
                                PAGE TOTAL      65,520,770
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
MICROSYSTEMS INC
COM                              866810104         375,188       3,000.000    X                        X

SUNTERRA CORP
COM                              86787D109         121,485      12,460.000    X                        X

SYSCO CORP
COM                              871829107         789,375      30,000.000    X                        X

TJX COS INC NEW
COM                              872540109       1,156,000      34,000.000    X                        X

TANDY CORP
COM                              875382103       2,807,750      44,000.000    X                        X

TEXACO INC
COM                              881694103       1,844,375      32,500.000    X                        X

TEXAS INSTRS INC
COM                              882508104       8,436,250      85,000.000    X                        X

THERMO ELECTRON CORP
COM                              883556102       2,441,250     180,000.000    X                        X

TIME WARNER INC
COM                              887315109       3,257,375      46,000.000    X                        X

TRICON GLOBAL RESTAURANTS INC
COM                              895953107       2,248,000      32,000.000    X                        X

TYCO INTL LTD NEW
COM                              902124106         287,000       4,000.000    X                        X

UNIONBANCAL CORP
COM                              908906100         919,688      27,000.000    X                        X

UNISYS CORP
COM                              909214108       1,190,563      43,000.000    X                        X

UNITED HEALTHCARE CORP
COM                              910581107       3,236,438      61,500.000    X                        X

                                            --------------
                                PAGE TOTAL      29,110,737
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

                                               ITEM 4           ITEM 5            ITEM 6                    ITEM 8
       ITEM 1 & 2                 ITEM 3       FAIR             SHARES OR       INVESTMENT      ITEM   VOTING AUTHORITY
       NAME OF ISSUE              CUSIP        MARKET           PRINCIPAL       DISCRETION       7          SHARES
       TITLE OF CLASS             NUMBER       VALUE            AMOUNT      SOLE  SHARED OTHER  MGRS  SOLE  SHARED  NONE
- ------------------------------  ----------  --------------  --------------  ----  -----  -----  ----  ----  ------  -----
<S>                             <C>         <C>             <C>             <C>   <C>    <C>    <C>   <C>   <C>     <C>
TECHNOLOGIES CORP
COM                              913017109       2,604,734      19,232.000    X                        X

VALASSIS COMMUNICATIONS INC
COM                              918866104         201,825       3,900.000    X                        X

VIACOM INC
CL B                             925524308       7,218,625      86,000.000    X                        X

WAL MART STORES INC
COM                              931142103      42,221,875     458,000.000    X                        X

WARNER LAMBERT CO
COM                              934488107       6,360,000      96,000.000    X                        X

WASHINGTON MUT INC
COM                              939322103       1,430,625      35,000.000    X                        X

WASTE MGMT INC DEL
SUB NT CONV                      94106LAA7         254,433     217,000.000    X                        X

WASTE MGMT INC DEL
COM                              94106L109       1,553,125      35,000.000    X                        X

WILLIAMS COS INC
COM                              969457100       1,185,000      30,000.000    X                        X

XEROX CORP
COM                              984121103       1,824,375      35,000.000    X                        X

YAHOO INC
COM                              984332106         841,875       5,000.000    X                        X

                                             -------------
                                PAGE  TOTAL     65,696,492
                                STOCK TOTAL    776,819,936
                                BONDS TOTAL      4,838,903
                                GRAND TOTAL    781,658,839
- -                 STOCK AND CONV BOND TOTAL    781,658,839
- -                               OTHER TOTAL      2,843,177
</TABLE>

<PAGE>


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