HANCOCK JOHN ADVISERS INC
13F-HR, 2000-07-12
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   June 30, 2000

Check here if Amendment [ ]; Amendment Number:

This Amendment  (Check only one):            [    ]  is a restatement.
                                             [    ]  adds new holdings entries.

Institutional Investment Manager Filing this report:

Name:     John Hancock Advisers, Inc.

Address:  101 Huntington Avenue

          Boston, MA 02199


13F File Number:  28-3222

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 is, 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:   Susan S. Newton

Title:  Vice President and Secretary

Phone:  617-375-1702

Signature, Place, and Date of Signing:

/s/Susan S. Newton            101 Huntington Ave., Boston, MA    June 30, 2000
--------------------------------------------------------------------------------
Signature                            Place                               Date

Report Type  (Check only One):                   [ x ]  13F HOLDINGS REPORT
                                                 [   ]  13F NOTICE
                                                 [   ]  13F COMBINATION REPORT

List of other managers reporting for this manager:


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.


<PAGE>



                              FORM 13F SUMMARY PAGE


Report Summary:

Number of other included managers:

Form 13F information table entry total:

Form 13F information table value total:



List of other included managers:

--------------------------------------------------------------------------------
  No. 13F File number                                    Name
--------------------------------------------------------------------------------





<PAGE>


As Of   June 30, 2000                      Form 13F                  Reporting Manager-John Hancock Advisers, Inc.

Report Code: imwb_13F_all.rpt


Item 1                              Item 2      Item 3      Item 4         Item 5     Item 6          Item 7          Item 8

                                    Title of    Cusip       Fair           Shrs/Prin  Inv Discretion         Voting Authority (Shrs)
Name of Issuer                      Class       Number      Market Value   Amount     Sole Shrd Othr  Mgr     A-Sole  B-Shrd  C-None
     <S>                              <C>        <C>            <C>          <C>       <C>  <C>  <C>   <C>     <C>     <C>     <C>

ABC BANCORP                          Com      000400101        2,993        311,000     X                01     311,000   0     0
ADC TELECOMMUNICATIONS               Com      000886101        3,115         37,135     X                01      37,135   0     0
AFLAC CORP                           Com      001055102      104,596      2,276,910     X                01   2,276,910   0     0
AMFM INC                             Com      001693100       18,600        269,560     X                01     269,560   0     0
AMR CORP - DEL                       Com      001765106        5,350        202,348     X                01     202,348   0     0
AT & T CORP                          Com      001957109        1,411         44,602     X                01      44,602   0     0
AT & T LIBERTY MEDIA GROUP           Com      001957208       53,383      2,201,350     X                01   2,201,350   0     0
AT&T WIRELESS GROUP                  Com      001957406        4,440        159,300     X                01     159,300   0     0
ATMI INC COM                         Com      00207R101       20,711        445,400     X                01     445,400   0     0
AXA FINL INC                         Com      002451102       75,293      2,214,500     X                01   2,214,500   0     0
ABBOTT LABORATORIES                  Com      002824100       37,083        832,165     X                01     832,165   0     0
ABN AMRO NORTH AMER INC
 PFD 1 SER 8.75                      PFD      003714102        3,640          3,500     X                01       3,500   0     0
ABN AMRO NORTH AMER INC 6.5900%
 Series 144A                         PFD      003714854        3,635          4,000     X                01       4,000   0     0
ABITIBI-CONSOLIDATED INC             Com      003924107       11,747      1,253,000     X                01   1,253,000   0     0
ACCELERATED NETWORKS INC             Com      00429P107          422         10,000     X                01      10,000   0     0
ACCRUE SOFTWARE INC                  Com      00437W102       16,195        456,200     X                01     456,200   0     0
ACME COMMUNICATION INC               Com      004631107       14,172        776,550     X                01     776,550   0     0
ACNIELSON CORP                       Com      004833109       22,686      1,031,200     X                01   1,031,200   0     0
ACTRADE INTERNATIONAL LTD            Com      004931101        5,759        280,950     X                01     280,950   0     0
ACTIVE SOFTWARE INC                  Com      00504E100       23,306        300,000     X                01     300,000   0     0
ADELPHIA BUSINESS SOL PFD  12.875%   PFD      006847305        3,686          3,985     X                01       3,985   0     0
ADELPHIA COMM                        PFD      006848303        5,055         50,300     X                01      50,300   0     0
ADVANCED FIBRE COMMUNICATIONS        Com      00754A105       15,869        350,215     X                01     350,215   0     0
ADVANCED RADIO TELECOM CORP          Com      00754U101       15,736      1,075,990     X                01   1,075,990   0     0
ADVANCED SEMICONDUCTOR ENGR          DR       00756M107        1,110         72,000     X                01      72,000   0     0
AEROFLEX INC COM                     Com      007768104       38,292        770,664     X                01     770,664   0     0
ADVENT SOFTWARE INC                  Com      007974108       33,855        524,890     X                01     524,890   0     0
AFFILIATED MANAGERS GROUP COM        Com      008252108       14,007        307,850     X                01     307,850   0     0
AFFYMETRIX INC.                      Com      00826T108        3,723         22,545     X                01      22,545   0     0
AGILENT TECHNOLOGIES INC             Com      00846U101       29,715        402,911     X                01     402,911   0     0
AIR PRODUCTS & CHEMICALS             Com      009158106       26,639        864,552     X                01     864,552   0     0
AIRGATE PCS INC                      Com      009367103       18,917        359,900     X                01     359,900   0     0
ALABAMA NATL BANCORPORATION DE       Com      010317105        4,339        219,000     X                01     219,000   0     0
ALABAMA PWR CO                       PFD      010392595       22,463      1,166,900     X                01   1,166,900   0     0
ALASKA COMMUNICATIONS SYS GRP        Com      01167P101        8,767        845,000     X                01     845,000   0     0
ALBERTSON'S INC                      Com      013104104       15,550        467,681     X                01     467,681   0     0
ALCOA INC                            Com      013817101          857         29,568     X                01      29,568   0     0
ALEXION PHARMACEUTICALS INC          Com      015351109       29,176        408,050     X                01     408,050   0     0
ALKERMES INC                         Com      01642T108       41,900        889,120     X                01     889,120   0     0
ALLEGIANCE TELECOM INC               Com      01747T102        8,981        140,330     X                01     140,330   0     0
ALLERGAN INC                         Com      018490102       27,002        362,440     X                01     362,440   0     0
ALLERGAN SPECIALTY THER INC          Com      018494104        1,355         75,000     X                01      75,000   0     0
ALLIANT CORP                         Com      018802108       18,088        695,700     X                01     695,700   0     0
ALLAMERICA FINANCIAL CORP            Com      019754100       38,729        739,450     X                01     739,450   0     0
ALLSTATE CORP                        Com      020002101          525         23,613     X                01      23,613   0     0
ALLTEL CORP                          Com      020039103       49,490        799,024     X                01     799,024   0     0
ALPHA INDUSTRIES INC                 Com      020753109       13,278        301,350     X                01     301,350   0     0
ALPHARMA INC - CL A                  Com      020813101       31,081        499,300     X                01     499,300   0     0
ALTERA CORP                          Com      021441100        6,282         61,625     X                01      61,625   0     0
ALZA CORP                            Com      022615108        7,518        127,149     X                01     127,149   0     0
AMBAC FINANCIAL GROUP INC            Com      023139108       96,997      1,769,620     X                01   1,769,620   0     0
AMBANC HOLDING CO                    Com      023161102        3,158        207,100     X                01     207,100   0     0
AMERCO  8.50% ser. A                 PFD      023586209       16,607        667,600     X                01     667,600   0     0
AMEREN CORP COM                      Com      023608102        9,476        280,768     X                01     280,768   0     0
AMERICA ONLINE INC                   Com      02364J104       68,515      1,298,863     X                01   1,298,863   0     0
AMERICAN BANCORP                     Com      024076408        2,193        179,000     X                01     179,000   0     0
AMERICAN EXPRESS CO                  Com      025816109      106,193      2,037,275     X                01   2,037,275   0     0
AMERICAN GENERAL CORP                Com      026351106       85,435      1,400,572     X                01   1,400,572   0     0
AMERICAN HOME PRODS CORP             Com      026609107       51,936        884,014     X                01     884,014   0     0
AMERICAN INTL GROUP                  Com      026874107      123,006      1,046,862     X                01   1,046,862   0     0
AMERICAN PACIFIC CORP                Com      028740108        1,156        205,500     X                01     205,500   0     0
AMERICAN TOWER CORP CL A             Com      029912201        5,078        121,810     X                01     121,810   0     0
AMERICREDIT                          Com      03060R101        4,930        290,000     X                01     290,000   0     0
AMERISOURCE HEALTH CORP.             Com      03071P102        6,073        195,900     X                01     195,900   0     0
AMGEN INC                            Com      031162100       21,784        310,098     X                01     310,098   0     0
AMKOR TECHNOLOGY INC                 Com      031652100       33,008        934,727     X                01     934,727   0     0
AMPHENOL CORP NEW CL A               Com      032095101       71,922      1,086,640     X                01   1,086,640   0     0
AMSOUTH BANCORP                      Com      032165102      101,861      6,467,375     X                01   6,467,375   0     0
AMYLIN PHARMACEUTICALS INC           Com      032346108          683         45,000     X                01      45,000   0     0
AMVESCAP PLC SPONSORED ADR           DR       03235E100       62,073        792,000     X                01     792,000   0     0
ANADARKO PETROLEUM CORP              Com      032511107        2,910         59,010     X                01      59,010   0     0
ANADARKO PETE CORP                   PFD      032511305       10,332        137,765     X                01     137,765   0     0
ANALOG DEVICES INC,                  Com      032654105       55,874        735,189     X                01     735,189   0     0
ANDOVER BANCORP INC                  Com      034258103        1,297         45,000     X                01      45,000   0     0
ANHEUSER BUSCH                       Com      035229103       33,061        442,659     X                01     442,659   0     0
ANTEC CORP                           Com      03664P105      112,195      2,699,427     X                01   2,699,427   0     0
AON CORPORATION                      Com      037389103        6,452        207,720     X                01     207,720   0     0
APACHE CORP 5.68%                    PFD      037411402        5,958         79,974     X                01      79,974   0     0
APARTMENT INVESTMENT AND MGMT        Com      03748R101       14,273        330,000     X                01     330,000   0     0
APEX INC                             Com      037548104       25,249        577,130     X                01     577,130   0     0
APPLE COMPUTER INC COM               Com      037833100        9,486        181,110     X                01     181,110   0     0
APPLEBEE'S INTERNATIONAL INC         Com      037899101       12,237        403,690     X                01     403,690   0     0
APPLIED MATERIALS INC                Com      038222105       71,076        784,290     X                01     784,290   0     0
APPLIED MICRO CIRCUITS CORP          Com      03822W109        4,701         47,610     X                01      47,610   0     0
APPLIED SCIENCE & TECHNOLOGY         Com      038236105       23,199        896,562     X                01     896,562   0     0
ARDEN REALTY GROUP                   Com      039793104        8,531        363,000     X                01     363,000   0     0
ARROW ELECTRONICS                    Com      042735100          372         12,000     X                01      12,000   0     0
ART TECHNOLOGY GROUP INC             Com      04289L107       45,226        448,060     X                01     448,060   0     0
ARTHROCARE CORP                      Com      043136100        2,183         41,000     X                01      41,000   0     0
ASK JEEVES INC                       Com      045174109        8,131        450,140     X                01     450,140   0     0
ASPEN TECHNOLOGY INC                 Com      045327103       36,078        937,100     X                01     937,100   0     0
ASSOCIATED BANC CORP                 Com      045487105        8,192        375,542     X                01     375,542   0     0
ASSOCIATES FIRST CAPITAL CRP         Com      046008108       69,157      3,099,482     X                01   3,099,482   0     0
ASTORIA FINANCIAL CORP               Com      046265104       26,820      1,041,535     X                01   1,041,535   0     0
ASTORIA FINL CORP                    PFD      046265203          880         40,000     X                01      40,000   0     0
ASTRAZENECA PLC                      DR       046353108        3,255         70,000     X                01      70,000   0     0
ATMEL CORP                           Com      049513104       40,465      1,097,362     X                01   1,097,362   0     0
ATWOOD OCEANICS INC                  Com      050095108       16,807        378,690     X                01     378,690   0     0
AUDIBLE INC                          Com      05069A104        1,247        300,000     X                01     300,000   0     0
AURORA BIOSCIENCES CORP              Com      051920106       29,679        435,250     X                01     435,250   0     0
AUSTRALIA + NEW ZEALAND BKG
 GR  9.125%                          PFD      052528403        8,218        327,900     X                01     327,900   0     0
AUTOMATIC DATA PROCESSING INC.       Com      053015103       51,579        962,969     X                01     962,969   0     0
AVERY DENNISON CORP                  Com      053611109       49,084        731,230     X                01     731,230   0     0
AVISTA CORP.                         Com      05379B107        1,167         66,913     X                01      66,913   0     0
AVON PRODUCTS INC                    Com      054303102        1,767         39,703     X                01      39,703   0     0
AXA                                  DR       054536107       31,387        394,500     X                01     394,500   0     0
AXENT TECHNOLOGIES INC               Com      05459C108       22,006        886,900     X                01     886,900   0     0
BB&T CORP COM                        Com      054937107       73,371      3,073,125     X                01   3,073,125   0     0
BISYS GROUP INC                      Com      055472104       32,100        521,950     X                01     521,950   0     0
BJ SERVICES CO                       Com      055482103        6,129         98,060     X                01      98,060   0     0
BP AMOCO PLC                         DR       055622104        4,369         77,236     X                01      77,236   0     0
BSB BANCORP INC                      Com      055652101        1,522         77,075     X                01      77,075   0     0
BT FINANCIAL CORP                    Com      055763106        4,535        262,907     X                01     262,907   0     0
BMC SOFTWARE                         Com      055921100       12,390        339,610     X                01     339,610   0     0
BAKER HUGHES INC                     Com      057224107        7,392        231,000     X                01     231,000   0     0
BALTIMORE GAS + ELEC CO 6.7000%
 Series 1993                         PFD      059165688          915         10,000     X                01      10,000   0     0
BALTIMORE GAS & ELECTRIC  6.99% Pfd  PFD      059165761       12,790        134,000     X                01     134,000   0     0
BANCFIRST OHIO CORP                  Com      059450106        1,408         86,000     X                01      86,000   0     0
BANCO BILBAO VIZCAYA INTL GIB 9.75%
 NON-CUM SERIES                      PFD      059456103        3,992        156,950     X                01     156,950   0     0
BANCFIRST CORP                       Com      05945F103       11,482        364,495     X                01     364,495   0     0
BANCO BILBAO VIZCAYA ARGENTARI       DR       05946K101        1,075         72,900     X                01      72,900   0     0
BANCORPSOUTH INC                     Com      059692103        6,400        455,100     X                01     455,100   0     0
BANCWEST CORP NEW                    Com      059790105       39,946      2,430,180     X                01   2,430,180   0     0
BANK AMER CORP                       Com      060505104      143,472      3,336,552     X                01   3,336,552   0     0
BANK OF MONTREAL                     Com      063671101          273          6,400     X                01       6,400   0     0
BANK OF THE OZARKS INC COM           Com      063904106        2,486        153,600     X                01     153,600   0     0
BANK OF NEW YORK                     Com      064057102      149,854      3,222,665     X                01   3,222,665   0     0
BANK ONE CORP                        Com      06423A103       51,881      1,953,179     X                01   1,953,179   0     0
BANK UNITED CORP CL A                Com      065412108        6,284        178,600     X                01     178,600   0     0
BANK WEST FINL CORP                  Com      065631103          618        103,000     X                01     103,000   0     0
BANKNORTH GROUP INC                  Com      06646R107       64,339      4,201,712     X                01   4,201,712   0     0
BARD C R INC                         Com      067383109        4,732         98,320     X                01      98,320   0     0
BASIN EXPLORATION                    Com      070107107        3,128        175,000     X                01     175,000   0     0
BAUSCH & LOMB INC                    Com      071707103        9,079        117,336     X                01     117,336   0     0
BAXTER INTERNATIONAL, INC.           Com      071813109       76,847      1,092,937     X                01   1,092,937   0     0
BEA SYSTEMS INC                      Com      073325102       43,764        885,240     X                01     885,240   0     0
BEAR STEARNS COS INC                 PFD      073902702        4,200        100,600     X                01     100,600   0     0
BEAR STEARNS CO                      PFD      073902868       15,280        423,700     X                01     423,700   0     0
BEAR STEARNS COS INC                 PFD      073902876        3,365         86,000     X                01      86,000   0     0
BELL & HOWELL COMPANY                Com      077852101        9,947        410,200     X                01     410,200   0     0
BELL ATLANTIC CORP                   Com      077853109        8,536        167,982     X                01     167,982   0     0
BELLSOUTH CORP                       Com      079860102        3,986         93,508     X                01      93,508   0     0
BEMIS CO                             Com      081437105       36,249      1,078,036     X                01   1,078,036   0     0
BEST BUY CO INC                      Com      086516101        7,862        124,293     X                01     124,293   0     0
BESTFOODS COM                        Com      08658U101       44,568        643,587     X                01     643,587   0     0
BEVERLY NATL CORP                    Com      088115100          713         50,000     X                01      50,000   0     0
BINDLEY WESTERN INDS                 Com      090324104        8,386        317,200     X                01     317,200   0     0
BINDVIEW DEVELOPMENT CORP            Com      090327107       11,995        999,550     X                01     999,550   0     0
BIOGEN, INC.                         Com      090597105        3,608         55,940     X                01      55,940   0     0
BIOMET INC                           Com      090613100        2,527         65,749     X                01      65,749   0     0
BLACK & DECKER CORP                  Com      091797100       10,974        279,139     X                01     279,139   0     0
BLACKROCK INC                        Com      09247X101       11,600        400,000     X                01     400,000   0     0
BLUESTONE SOFTWARE                   Com      09623P102        4,711        183,410     X                01     183,410   0     0
BLUESTONE SOFTWARE                   PFD      09623P987        4,329        168,529     X                01     168,529   0     0
BORG-WARNER AUTOMOTIVE INC COM       Com      099724106        3,432         97,700     X                01      97,700   0     0
BOSTON EDISON CO PFD 4.25 Series     PFD      100599208        4,958         82,632     X                01      82,632   0     0
BOSTON EDISON CO 4.7800% Series      PFD      100599307        3,352         54,498     X                01      54,498   0     0
BOSTONFED BANCORP INC                Com      101178101        6,168        436,700     X                01     436,700   0     0
BRANDYWINE RLTY TR SH BEN INT NEW    Com      105368203        8,989        470,000     X                01     470,000   0     0
BRENTON BANKS INC                    Com      107211104        5,228        376,799     X                01     376,799   0     0
BRIGHTPOINT INC                      Com      109473108       15,686      1,812,150     X                01   1,812,150   0     0
BRISTOL-MYERS SQUIBB CO              Com      110122108       55,581        954,184     X                01     954,184   0     0
BROADBASE SOFTWARE INC               Com      11130R100       12,931        422,250     X                01     422,250   0     0
BROADCOM CORP - CL A                 Com      111320107       14,498         66,220     X                01      66,220   0     0
BROOKS AUTOMATION INC                Com      11434A100       16,032        250,750     X                01     250,750   0     0
BRYN MAWR BANK CORP                  Com      117665109        4,003        198,900     X                01     198,900   0     0
BUILDNET, INC.                       PFD      120130992        3,000        681,817     X                01     681,817   0     0
CB BANCSHARES INC/HAWAII             Com      124785106        3,609        146,577     X                01     146,577   0     0
CCB FINANCIAL CORP                   Com      124875105       58,687      1,586,142     X                01   1,586,142   0     0
CCF HLDG CO                          Com      12487X104          937         75,734     X                01      75,734   0     0
CFW COMMUNICATIONS                   Com      124923103       13,800        368,000     X                01     368,000   0     0
CCBT FINL COS INC                    Com      12500Q102        3,040        193,400     X                01     193,400   0     0
C-COR.NET CORPORATION                Com      125010108        3,661        135,600     X                01     135,600   0     0
CH ENERGY GROUP INC                  Com      12541M102       18,995        559,700     X                01     559,700   0     0
CIGNA CORP                           Com      125509109       17,389        185,980     X                01     185,980   0     0
CIT GROUP INC CL A                   Com      125577106       15,763        970,000     X                01     970,000   0     0
CMG INFORMATION SERVICES INC         Com      125750109        1,236         26,980     X                01      26,980   0     0
CMP GROUP INC                        Com      125887109        4,910        167,500     X                01     167,500   0     0
CNF TRANSPORTATION INC               Com      12612W104        5,574        245,000     X                01     245,000   0     0
CSC HOLDINGS INC  11.125% SERIES M   PFD      126304401       28,902        274,601     X                01     274,601   0     0
CSC HOLDINGS INC                     PFD      126304609       14,954        138,460     X                01     138,460   0     0
CTC COMMUNICATIONS GROUP INC         Com      126419100       36,778      1,021,600     X                01   1,021,600   0     0
CT COMMUNICATIONS INC                Com      126426402        4,109        144,500     X                01     144,500   0     0
CVS CORP                             Com      126650100       14,839        370,970     X                01     370,970   0     0
CV THERAPEUTICS INC                  Com      126667104       40,772        588,240     X                01     588,240   0     0
CADENCE DESIGN SYS INC               Com      127387108       15,296        750,732     X                01     750,732   0     0
CALICO COMMERCE INC                  Com      129897104        8,125        500,000     X                01     500,000   0     0
CALIFORNIA FED PFD CAP               PFD      130214208        8,545        403,300     X                01     403,300   0     0
CAMDEN NATIONAL CORP                 Com      133034108        1,890        140,000     X                01     140,000   0     0
CANADIAN NATL RAILWAY COMPANY        Com      136375102        1,597         54,720     X                01      54,720   0     0
CAPITAL CITY BANK GROUP              Com      139674105        1,284         65,850     X                01      65,850   0     0
CAPITAL ONE FINANCIAL CORP           Com      14040H105       23,631        529,539     X                01     529,539   0     0
CAPSTONE TURBINE CORP                Com      14067D102        3,154         70,000     X                01      70,000   0     0
CARDINAL HEALTH INC                  Com      14149Y108       32,608        440,642     X                01     440,642   0     0
CAREER EDUCATION CORP                Com      141665109       12,542        258,600     X                01     258,600   0     0
CASCADE BANCORP                      Com      147154108        1,211        108,260     X                01     108,260   0     0
CASELLA WASTE SYSTEMS INC - A        Com      147448104        6,149        572,000     X                01     572,000   0     0
CATALINA MARKETING CORP              Com      148867104          449          4,400     X                01       4,400   0     0
CENTURA BANKS INC                    Com      15640T100       22,748        670,287     X                01     670,287   0     0
CENTURY BANCSHARES INC COM           Com      156436107           68         11,576     X                01      11,576   0     0
CENTURY SOUTH BANKS INC              Com      156683104        1,149         59,284     X                01      59,284   0     0
CENTURYTEL INC                       Com      156700106       55,295      1,923,287     X                01   1,923,287   0     0
CEPHALON INC                         Com      156708109        3,090         51,600     X                01      51,600   0     0
CHARLES RIV LABS INTL INC            Com      159864107        3,350        151,000     X                01     151,000   0     0
C-GRAMS UNLIMITED INC  P/P           Com      1604299A6          480        160,000     X                01     160,000   0     0
CHARTER ONE FIN INC                  Com      160903100       99,116      4,309,379     X                01   4,309,379   0     0
CHARTERED SEMICONDUCTOR-ADR          DR       16133R106       27,023        300,257     X                01     300,257   0     0
CHASE MANHATTAN CORP NEW             Com      16161A108       66,280      1,438,922     X                01   1,438,922   0     0
CHASE MANHATTAN CORP NEW 10.84%
 Series C                            PFD      16161A884       16,766        620,951     X                01     620,951   0     0
CHECKFREE HOLDINGS CORP              Com      162816102        2,711         52,570     X                01      52,570   0     0
CHESAPEAKE ENERGY CORP               Com      165167107        3,680        474,888     X                01     474,888   0     0
CHEVRON CORP                         Com      166751107       65,783        775,626     X                01     775,626   0     0
CHEVY CHASE SVGS                     PFD      166784207        2,651        105,000     X                01     105,000   0     0
CHEVY CHASE BANK 10.375% PFD         PFD      16678M207          918         18,000     X                01      18,000   0     0
CHITTENDEN CORP                      Com      170228100       28,004      1,145,946     X                01   1,145,946   0     0
CHUBB CORP                           Com      171232101          277          4,507     X                01       4,507   0     0
CIENA CORPORATION                    Com      171779101       72,145        432,818     X                01     432,818   0     0
CINAR FILMS INC-CL B SUB VTG         Com      171905300        4,695        670,650     X                01     670,650   0     0
CINERGY CORP                         Com      172474108        2,061         81,006     X                01      81,006   0     0
CISCO SYSTEMS, INC.                  Com      17275R102      154,373      2,428,676     X                01   2,428,676   0     0
CITADEL COMMUNICATIONS CORP          Com      172853202        8,605        246,310     X                01     246,310   0     0
CITIGROUP                            Com      172967101      250,876      4,163,914     X                01   4,163,914   0     0
CITIGROUP INC 6.635% Ser F           PFD      172967309        1,340         28,500     X                01      28,500   0     0
CITIGROUP INC 6.213% Ser G           PFD      172967507        8,640        192,000     X                01     192,000   0     0
CITIGROUP INC 6.231% Ser H           PFD      172967705       14,845        330,800     X                01     330,800   0     0
CITIGROUP INC 8.40% Ser K            PFD      172967853       21,281        847,000     X                01     847,000   0     0
CITIZENS BANKING CORP MICH           Com      174420109        4,077        251,136     X                01     251,136   0     0
CITRIX SYSTEMS INC.                  Com      177376100        8,171        431,469     X                01     431,469   0     0
CITY NATIONAL CORP.                  Com      178566105       43,741      1,258,614     X                01   1,258,614   0     0
CLASSIC COMMUN INC CL A              Com      182728204          760         85,000     X                01      85,000   0     0
CLEAR CHANNEL COMMUNICATIONS         Com      184502102        8,671        115,610     X                01     115,610   0     0
CLOROX CO.-DEL                       Com      189054109        5,341        119,185     X                01     119,185   0     0
COASTAL FIN I                        PFD      190463208       12,020        529,800     X                01     529,800   0     0
COBALT NETWORKS INC                  Com      19074R101       20,276        350,340     X                01     350,340   0     0
COCA-COLA CO                         Com      191216100       13,974        243,294     X                01     243,294   0     0
COFLEXIP-SPONSORED ADR               DR       192384105        1,625         26,861     X                01      26,861   0     0
COGNIZANT TECH SOLUTIONS             Com      192446102       15,393        463,830     X                01     463,830   0     0
COLONIAL BANCGROUP INC               Com      195493309       24,864      2,761,412     X                01   2,761,412   0     0
COLONIAL PPTYS TR COM SH BEN INT     Com      195872106        5,064        185,000     X                01     185,000   0     0
COLT TELECOM GROUP PLC               DR       196877104        1,794         13,228     X                01      13,228   0     0
COLUMBIA BANCORP                     Com      197227101          990        110,000     X                01     110,000   0     0
COLUMBIA BANCORP/OR                  Com      197231103          494         81,500     X                01      81,500   0     0
COMERICA INC                         Com      200340107       76,664      1,708,387     X                01   1,708,387   0     0
COMMERCE BANCSHARES INC              Com      200525103       34,937      1,174,356     X                01   1,174,356   0     0
COMMERCIAL BANKSHARES INC            Com      201607108        4,856        273,575     X                01     273,575   0     0
COMMERCIAL FEDERAL CORP              Com      201647104       26,091      1,676,524     X                01   1,676,524   0     0
COMMERCIALWARE INC PRIVATE PLACEMENT Com      202594990        1,000      1,000,000     X                01   1,000,000   0     0
COMMONWEALTH BANKSHARES INC          Com      202736104          553         92,187     X                01      92,187   0     0
COMMONWEALTH TEL ENTERPRISES         Com      203349105        5,761        122,420     X                01     122,420   0     0
COMMUNITY BANK SYSTEM INC            Com      203607106        3,162        142,500     X                01     142,500   0     0
COMMUNITY BKS INC MILLERSBURG        Com      203628102        1,486         72,026     X                01      72,026   0     0
COMMUNITY BANKSHARES INC VA COM      Com      203631106          750         41,662     X                01      41,662   0     0
COMMUNITY HEALTH SYSTEMS             Com      203668108        4,856        300,000     X                01     300,000   0     0
COMMUNITY FIRST BANKSHARES           Com      203902101       17,382      1,065,550     X                01   1,065,550   0     0
COMMUNITY SVGS BANKSHARES INC        Com      204037105          614         54,000     X                01      54,000   0     0
COMPANHIA BRASILEIRA DE DISTR        DR       20440T201          766         23,840     X                01      23,840   0     0
COMPANHIA PARANAENSE ENERG COP
 SPONS ADR PFD                       DR       20441B407          637         68,400     X                01      68,400   0     0
COMPAQ COMPUTER                      Com      204493100        9,331        365,046     X                01     365,046   0     0
COMPASS BANCSHARES                   Com      20449H109       45,485      2,665,807     X                01   2,665,807   0     0
COMPTEK RESEARCH INC.                Com      204682108          533         30,000     X                01      30,000   0     0
COMPUTER ASSOCIATES INTL INC         Com      204912109      100,826      1,969,736     X                01   1,969,736   0     0
COMPUTER SCIENCES CORP               Com      205363104        1,423         19,059     X                01      19,059   0     0
COMVERSE TECHNOLOGY INC              Com      205862402        7,413         79,706     X                01      79,706   0     0
CONAGRA INC                          Com      205887102          919         48,215     X                01      48,215   0     0
CONCORD EFS INC                      Com      206197105        6,481        249,257     X                01     249,257   0     0
CONECTIV INC - CLASS A               Com      206829202        2,177         89,300     X                01      89,300   0     0
CONEXANT SYS INC                     Com      207142100       65,571      1,348,495     X                01   1,348,495   0     0
CONSOLIDATED EDISON INC COM          Com      209115104        6,202        209,342     X                01     209,342   0     0
CONSOLIDATED STORES CORP             Com      210149100          959         79,941     X                01      79,941   0     0
CONTOUR ENERGY CO                    PFD      21220C202        1,093        165,000     X                01     165,000   0     0
CONVERGYS CORP                       Com      212485106       14,176        273,271     X                01     273,271   0     0
COOPER CAMERON CORP                  Com      216640102        3,709         56,200     X                01      56,200   0     0
COR THERAPEUTICS INC                 Com      217753102       35,690        418,350     X                01     418,350   0     0
CORE CAP INC                         PFD      21867R207        2,555        150,300     X                01     150,300   0     0
CORINTHIAN COLLEGES INC.             Com      218868107       14,290        609,700     X                01     609,700   0     0
CORNING INCORPORATED                 Com      219350105      155,150        574,895     X                01     574,895   0     0
CORPORATE EXECUTIVE BRD CO           Com      21988R102       20,721        346,070     X                01     346,070   0     0
COST PLUS INC CALIF                  Com      221485105       14,291        498,150     X                01     498,150   0     0
COSTCO WHSL CORP NEW                 Com      22160K105          356         10,777     X                01      10,777   0     0
COUNTRYWIDE CREDIT IND INC           Com      222372104       14,032        462,917     X                01     462,917   0     0
COVANCE INC                          Com      222816100        7,725        876,650     X                01     876,650   0     0
CREDENCE SYSTEMS CORP                Com      225302108       17,760        321,810     X                01     321,810   0     0
CREDIT LYONNAIS CAPITAL 144A         PFD      225386101        2,250        100,000     X                01     100,000   0     0
CROWN CASTLE INTL CORP               Com      228227104        3,966        108,660     X                01     108,660   0     0
CROWN CORK AND SEAL COMPANY          Com      228255105        7,505        500,310     X                01     500,310   0     0
CULLEN/FROST BANKERS INC             Com      229899109       56,713      2,155,350     X                01   2,155,350   0     0
CYBERONICS                           Com      23251P102        5,104        425,350     X                01     425,350   0     0
CYPRESS SEMICONDUCTOR CORP           Com      232806109       35,952        850,927     X                01     850,927   0     0
CYTYC CORP                           Com      232946103       19,026        356,450     X                01     356,450   0     0
DDI CORP /CA                         Com      233162106       16,454        577,350     X                01     577,350   0     0
DNB FINL CORP                        Com      233237106          800         58,696     X                01      58,696   0     0
DPL INC                              Com      233293109        5,002        228,000     X                01     228,000   0     0
DST SYSTEMS INC                      Com      233326107        2,588         34,000     X                01      34,000   0     0
DTE ENERGY COMPANY                   Com      233331107       17,671        578,203     X                01     578,203   0     0
DANAHER CORPORATION                  Com      235851102        3,119         63,097     X                01      63,097   0     0
DANKA BUSINESS SYSTEMS PLC  ADR      DR       236277109        4,724      1,219,038     X                01   1,219,038   0     0
DATA RETURN CORP                     Com      23785M104       22,774        785,310     X                01     785,310   0     0
DELL COMPUTER CORP                   Com      247025109       69,096      1,401,183     X                01   1,401,183   0     0
DENTSPLY INTERNATIONAL INC           Com      249030107       10,315        334,780     X                01     334,780   0     0
DESERT CMNTY BK VICTORVILLE CA       Com      25037Y109        1,063         62,500     X                01      62,500   0     0
DEVON ENERGY CORPORATION NEW         PFD      25179M202       21,634        251,000     X                01     251,000   0     0
DEXTER CORP                          Com      252165105       18,168        378,500     X                01     378,500   0     0
DIAL CORP                            Com      25247D101        1,544        148,825     X                01     148,825   0     0
DIAMOND OFFSHORE DRILLING            Com      25271C102        3,918        111,550     X                01     111,550   0     0
DIME COMMUNITY BANCORP INC           Com      253922108        6,056        372,654     X                01     372,654   0     0
DIME BANCORP INC                     Com      25429Q102       29,484      1,872,000     X                01   1,872,000   0     0
DISNEY (WALT) COMPANY                Com      254687106        1,776         45,750     X                01      45,750   0     0
DIVERSA CORP                         Com      255064107          994         30,000     X                01      30,000   0     0
DIVERSINET CORP                      Com      25536K204       19,851      1,671,650     X                01   1,671,650   0     0
DOBSON COMMUNICATIONS CORP-A         Com      256069105        7,459        387,500     X                01     387,500   0     0
DOMINION RESOURCES INC/VA            Com      25746U109       18,775        437,906     X                01     437,906   0     0
DOUBLECLICK INC COM                  Com      258609304       11,831        310,312     X                01     310,312   0     0
DOVER CORP                           Com      260003108       43,532      1,073,214     X                01   1,073,214   0     0
DOW CHEMICAL CO                      Com      260543103        6,843        226,696     X                01     226,696   0     0
DRIL-QUIP INC COM                    Com      262037104       17,400        372,200     X                01     372,200   0     0
DSET CORP.                           Com      262504103        6,197        204,000     X                01     204,000   0     0
E I DUPONT DE NEMOURS & CO INC       Com      263534109       12,317        281,528     X                01     281,528   0     0
DUANE READE INC.                     Com      263578106       14,502        563,200     X                01     563,200   0     0
DUKE CAPITAL FIN                     PFD      264393208        2,208        100,100     X                01     100,100   0     0
DUKE POWER CO                        Com      264399106       18,304        324,675     X                01     324,675   0     0
DUKE CAPITAL FIN                     PFD      26439E204        4,976        226,200     X                01     226,200   0     0
DUN + BRADSTREET CORP DEL            Com      26483B106       15,276        533,673     X                01     533,673   0     0
DUPONT PHOTOMASKS INC                Com      26613X101       24,603        359,170     X                01     359,170   0     0
ENTERGY LONDON CAP L P QUIPS
 A 8.625%                            PFD      268316205        2,452        107,500     X                01     107,500   0     0
EMC CORP                             Com      268648102      120,746      1,569,406     X                01   1,569,406   0     0
EOG RESOURCES INC                    Com      26875P101       16,197        483,500     X                01     483,500   0     0
E PIPHANY INC                        Com      26881V100          809          7,550     X                01       7,550   0     0
ESB FINANCIAL CORP                   Com      26884F102        1,286        128,620     X                01     128,620   0     0
ESCO ELECTRONICS CORP                Com      269030102        4,845        285,000     X                01     285,000   0     0
E-TEK DYNAMICS INC COM               Com      269240107        8,838         33,500     X                01      33,500   0     0
EAGLE BACSHARES INC                  Com      26942C109          347         30,500     X                01      30,500   0     0
EARTHWATCH INC                       PFD      270324502          719         89,836     X                01      89,836   0     0
EAST WEST BANCORP INC                Com      27579R104       13,812        965,000     X                01     965,000   0     0
EASTERN ENTERPRISES                  Com      27637F100       12,397        196,772     X                01     196,772   0     0
EASTMAN CHEMICAL COMPANY             Com      277432100        3,786         79,285     X                01      79,285   0     0
EBENX INC                            Com      278668108          742         35,000     X                01      35,000   0     0
ECOLAB INC                           Com      278865100       17,798        455,620     X                01     455,620   0     0
J D EDWARDS & CO COM                 Com      281667105       39,208      2,603,020     X                01   2,603,020   0     0
EDWARDS LIFESCIENCES                 Com      28176E108        1,437         75,300     X                01      75,300   0     0
EFFICIENT NETWORKS INC               Com      282056100       10,586        143,900     X                01     143,900   0     0
EL PASO TENN PIPELINE CO 8.2500%
 Series A                            PFD      283727204       42,289        829,200     X                01     829,200   0     0
EL PASO ENERGY CORP                  Com      283905107        8,810        172,964     X                01     172,964   0     0
ELAN CORP PLC ADR                    DR       284131208        5,086        105,000     X                01     105,000   0     0
ELANTEC SEMICONDUCTOR INC            Com      284155108       30,127        432,700     X                01     432,700   0     0
ELDORADO BANCSHARES INC              Com      28467W106        2,878        397,000     X                01     397,000   0     0
ELECTRONIC DATA SYSTEMS CORP         Com      285661104        5,138        124,548     X                01     124,548   0     0
ELECTRONICS FOR IMAGING              Com      286082102       12,666        500,370     X                01     500,370   0     0
EMACHINES INC                        Com      29076P102        3,440      1,280,050     X                01   1,280,050   0     0
EMERSON ELECTRIC                     Com      291011104       64,459      1,067,651     X                01   1,067,651   0     0
EMPRESA NACIONAL DE ELECTRIC
 AMERICAN DEPOSITORY                 DR       29244T101          474         42,850     X                01      42,850   0     0
EMULEX CORP                          Com      292475209       16,445        250,350     X                01     250,350   0     0
ENERGY EAST CORPORATION              Com      29266M109        6,510        341,500     X                01     341,500   0     0
ENRON                                Com      293561106          754         11,693     X                01      11,693   0     0
ENTERCOM COMMUNICATIONS CORP         Com      293639100        3,044         62,435     X                01      62,435   0     0
ENTERGY GULF STS CAP I QUIPS A 8.75% PFD      29364H200        1,987         87,100     X                01      87,100   0     0
EQUANT N V NY REG SHS                Com      294409107       10,756        250,130     X                01     250,130   0     0
EQUITABLE BK MD                      Com      29444Q105          465         35,700     X                01      35,700   0     0
EQUITABLE RESOURCES                  Com      294549100        1,829         37,910     X                01      37,910   0     0
EQUITY OFFICE PROPERTIES TRUST       Com      294741103       14,525        527,000     X                01     527,000   0     0
EQUITY RESIDENTIAL PROPERTIES        Com      29476L107        7,590        165,000     X                01     165,000   0     0
ETINUUM INC                          Com      297664104        1,968        349,900     X                01     349,900   0     0
EXAR CORP                            Com      300645108       36,345        416,860     X                01     416,860   0     0
EXELIXIS INC                         Com      30161Q104        7,928        237,550     X                01     237,550   0     0
EXODUS COMMUNICATIONS INC.           Com      302088109       44,270        961,096     X                01     961,096   0     0
EXPEDITORS INTL WASH INC             Com      302130109       17,835        375,466     X                01     375,466   0     0
EXULT INC                            Com      302284104        5,000        500,000     X                01     500,000   0     0
EXXON MOBIL CORPORATION              Com      30231G102       91,519      1,165,846     X                01   1,165,846   0     0
F & M NATIONAL CORP                  Com      302374103        4,253        202,525     X                01     202,525   0     0
F.N.B. CORP                          Com      302520101        6,402        310,385     X                01     310,385   0     0
FNB FINL SVCS CORP                   Com      302526108        1,502        115,500     X                01     115,500   0     0
FNB BANKSHARES                       Com      30252H104          509         20,780     X                01      20,780   0     0
FPC CAPITAL I                        PFD      302552203       14,037        676,465     X                01     676,465   0     0
FVNB CORP                            Com      302674106        1,941         57,500     X                01      57,500   0     0
FAIRCHILD SEMICON INTL               Com      303726103        2,267         55,970     X                01      55,970   0     0
FAMILY DOLLAR STORES INC             Com      307000109        3,797        194,100     X                01     194,100   0     0
FHLMC                                Com      313400301       30,144        744,300     X                01     744,300   0     0
FNMA                                 Com      313586109      111,640      2,139,201     X                01   2,139,201   0     0
FEDERATED DEPARTMENT STORES          Com      31410H101        4,092        121,254     X                01     121,254   0     0
FEDERATED INVESTORS INC-CLS B        Com      314211103        2,034         58,010     X                01      58,010   0     0
FIFTH THIRD BANCORP                  Com      316773100       67,928      1,073,959     X                01   1,073,959   0     0
FINANCIAL INSTNS INC                 Com      317585404        1,691        120,800     X                01     120,800   0     0
FINISAR CORPORATION                  Com      31787A101       21,630        825,962     X                01     825,962   0     0
FIRST CHARTER CORP                   Com      319439105        1,618        102,700     X                01     102,700   0     0
FIRST CITIZENS BANCSHARES            Com      31946M103        6,242        104,900     X                01     104,900   0     0
FIRST FEDERAL CAPITAL CORP           Com      319960100        3,098        280,000     X                01     280,000   0     0
FIRST DATA CORP                      Com      319963104       56,116      1,130,809     X                01   1,130,809   0     0
FIRST DEFIANCE FINL CORP             Com      32006W106        2,056        255,000     X                01     255,000   0     0
FIRST FINANCIAL CORP                 Com      320221104        1,117        109,000     X                01     109,000   0     0
FIRST FINL HLDGS INC                 Com      320239106        4,026        292,800     X                01     292,800   0     0
FIRST INTERNET BANK OF
 INDIANAPRIVATE PLACEMENT            Com      32054J981        1,000         14,369     X                01      14,369   0     0
FIRST KEYSTONE FINANCIAL INC         Com      320655103          652         66,000     X                01      66,000   0     0
FIRST PREFERRED  9.25% PFD           PFD      33610Y207        3,600        150,000     X                01     150,000   0     0
FIRST REP BK SAN FRANCISCO COM       Com      336158100        5,167        259,162     X                01     259,162   0     0
FIRST REP CAP                        PFD      336163209        1,760          2,000     X                01       2,000   0     0
FIRST SECURITY CP                    Com      336294103       28,712      2,117,044     X                01   2,117,044   0     0
FIRST STATE BANCORPORATION           Com      336453105        2,974        290,187     X                01     290,187   0     0
FIRST SOURCE CAP  9% PFD             PFD      33645W200          940         40,000     X                01      40,000   0     0
FIRST SOURCE CAP  9% PFD             PFD      33645X208          900         40,000     X                01      40,000   0     0
FIRST SOURCE CORPORATION             Com      336901103        2,039        130,000     X                01     130,000   0     0
FIRST TENNESSEE NAT'L CORP           Com      337162101       51,916      3,134,580     X                01   3,134,580   0     0
FIRST UNION CORP                     Com      337358105       53,337      2,149,596     X                01   2,149,596   0     0
FIRST VIRGINIA BANKS INC             Com      337477103        4,307        123,724     X                01     123,724   0     0
FIRSTBANK CORP ALMA MICH             Com      33761G104        2,315        116,480     X                01     116,480   0     0
FIRSTAR CORPORATION                  Com      33763V109      143,301      6,803,590     X                01   6,803,590   0     0
FISERV INC                           Com      337738108       51,712      1,195,660     X                01   1,195,660   0     0
FIRSTMERIT CORPORATION               Com      337915102       17,232        806,181     X                01     806,181   0     0
FLAGSTAR BANCORP INC COM             Com      337930101          853        105,000     X                01     105,000   0     0
FITZGERALD GAMING PRFD               PFD      338271406          125        125,000     X                01     125,000   0     0
FITZGERALD GAMING                    Com      338271984           78        156,752     X                01     156,752   0     0
FLAG FINL CORP                       Com      33832H107          487        109,750     X                01     109,750   0     0
FLEET BOSTON FINANCIAL               Com      339030108      148,789      4,376,151     X                01   4,376,151   0     0
FLEETBOSTON FINL CORP                PFD      339030702       18,424        376,000     X                01     376,000   0     0
FLORIDA PWR + LT CO 6.7500% Series U PFD      341081776        9,306        100,000     X                01     100,000   0     0
FLORIDA PROGRESS CORP                Com      341109106       16,274        347,174     X                01     347,174   0     0
FORD MOTOR                           Com      345370100       10,317        239,927     X                01     239,927   0     0
FORD MTR CO DEL  8.25% CUM PFD
 SERIES B                            PFD      345370407          790         30,100     X                01      30,100   0     0
FOREST LABS                          Com      345838106       12,792        126,650     X                01     126,650   0     0
FORRESTER RESEARCH INC               Com      346563109       33,858        465,000     X                01     465,000   0     0
FORT JAMES CORP COM                  Com      347471104       27,146      1,173,892     X                01   1,173,892   0     0
FORWARD AIR CORPORATION              Com      349853101       17,486        437,150     X                01     437,150   0     0
FRANKFORT FIRST BANCORP INC          Com      352128201          897         72,500     X                01      72,500   0     0
FREEPORT-MCMORAN 7.00% SERIES        PFD      35671D501        6,656        500,000     X                01     500,000   0     0
FREEPORT-MCMORAN COPPER & GOLD CL B  Com      35671D857        6,947        751,013     X                01     751,013   0     0
FULTON FINANCIAL CORP                Com      360271100        9,863        557,646     X                01     557,646   0     0
GA FINANCIAL INC                     Com      361437106        4,813        400,000     X                01     400,000   0     0
GTE CORP                             Com      362320103        3,903         62,693     X                01      62,693   0     0
GALILEO INTERNATIONAL INC COM        Com      363547100          756         36,200     X                01      36,200   0     0
GANNETT CO INC                       Com      364730101       34,272        572,986     X                01     572,986   0     0
GAP STORES                           Com      364760108       12,753        408,085     X                01     408,085   0     0
GASONICS INTL CORP                   Com      367278108       22,132        561,200     X                01     561,200   0     0
GATEWAY AMERN BANCSHARES INC         Com      367569100          225        100,000     X                01     100,000   0     0
GATEWAY INC                          Com      367626108       28,524        502,622     X                01     502,622   0     0
GAYLORD CONTAINER CLASS A            Com      368145108        2,983      1,110,000     X                01   1,110,000   0     0
GENENTECH INC                        Com      368710406       13,734         79,850     X                01      79,850   0     0
GENERAL DYNAMICS                     Com      369550108        7,611        145,670     X                01     145,670   0     0
GENERAL ELECTRIC                     Com      369604103      166,732      3,145,895     X                01   3,145,895   0     0
GENERAL GROWTH PROPERTIES  REIT      Com      370021107        9,112        287,000     X                01     287,000   0     0
GENERAL MTRS CORP 9.12% CUM PFD
 SERIES G                            PFD      370442790       18,536        726,914     X                01     726,914   0     0
GENERAL MOTORS-CLASS H               Com      370442832       53,435        608,950     X                01     608,950   0     0
GENEVA STEEL  SER B PREF             PFD      372252403            1         10,000     X                01      10,000   0     0
GENE THERAPEUTICS CORP               Com      372430108       16,304        535,650     X                01     535,650   0     0
GENUITY INC                          Com      37248E103        9,156      1,000,000     X                01   1,000,000   0     0
GENZYME SURGICAL PRODUCTS            Com      372917609        1,292        130,000     X                01     130,000   0     0
GEORGIA-PACIFIC - PEPS UNITS         PFD      373298801          477         14,891     X                01      14,891   0     0
GA PWR CAP TR IV                     PFD      37333R209        5,355        266,100     X                01     266,100   0     0
GETTY IMAGES INC                     Com      374276103       20,871        563,120     X                01     563,120   0     0
GIGA INFORMATION GROUP INC           Com      37517M109          511         92,900     X                01      92,900   0     0
gilead sciences inc                  Com      375558103        2,845         40,000     X                01      40,000   0     0
GLAXO WELLCOME PLC SPONSORED ADR     DR       37733W105        5,203         90,000     X                01      90,000   0     0
GLOBAL LIGHT TELECOM INC             Com      37934X100        7,917        723,838     X                01     723,838   0     0
GLOBAL TELESYSTEMS GROUP INC         Com      37936U104        2,763        229,020     X                01     229,020   0     0
GLOBECOMM SYSTEMS INC                Com      37956X103        4,125        300,000     X                01     300,000   0     0
GLOBESPAN INC                        Com      379571102          824          6,750     X                01       6,750   0     0
GLOBIX CORPORATION                   Com      37957F101        1,323         45,140     X                01      45,140   0     0
GOLD BANC CORPORATION                Com      379907108          419         83,766     X                01      83,766   0     0
GOLDEN ST BANCORP INC                Com      381197102       12,324        684,686     X                01     684,686   0     0
GOLDEN WEST FINANCIAL CORP           Com      381317106        6,808        166,801     X                01     166,801   0     0
GOODRICH B F CO                      Com      382388106          742         21,779     X                01      21,779   0     0
GRACE W R + CO DEL NEW               Com      38388F108          805         66,427     X                01      66,427   0     0
GRAND METRO DEL 9.42% CUM PFD
 SERIES A                            PFD      386087209        5,018        194,420     X                01     194,420   0     0
GRANITE BROADCASTING CORP PFD EXCH   PFD      387241508       13,445         14,939     X                01      14,939   0     0
GRANT PRIDECO INC                    Com      38821G101        2,710        108,400     X                01     108,400   0     0
GREAT ATLANTIC & PAC TEA CO          Com      390064103        2,827        170,043     X                01     170,043   0     0
GREENPOINT FINANCIAL CORP            Com      395384100       55,819      2,977,000     X                01   2,977,000   0     0
GREY WOLF INC COM                    Com      397888108       23,454      4,690,750     X                01   4,690,750   0     0
GUARANTY FINL CORP VA                Com      401086103          569         75,000     X                01      75,000   0     0
GUIDANT CORP                         Com      401698105        7,521        151,940     X                01     151,940   0     0
THE HEALTHCARE COMPANY               Com      404119109        4,663        153,529     X                01     153,529   0     0
HMN FINANCIAL INC                    Com      40424G108        1,977        179,750     X                01     179,750   0     0
HSBC USA INC NEW                     PFD      40428H201       10,298        260,700     X                01     260,700   0     0
HALLIBURTON CO                       Com      406216101        9,268        196,409     X                01     196,409   0     0
HANCOCK HOLDING CO                   Com      410120109       11,742        345,365     X                01     345,365   0     0
HARLEYSVILLE NATL CORP PA            Com      412850109        3,657        111,678     X                01     111,678   0     0
HARTFORD FINL SVCS GROUP INC COM     Com      416515104       42,734        763,960     X                01     763,960   0     0
HARVARD INDUSTRIES INC               Com      417434503          777        230,210     X                01     230,210   0     0
HAWAIIAN ELEC 8.3600% Series         PFD      41987M201        4,835        202,000     X                01     202,000   0     0
HAYNES HOLDINGS, INC                 Com      4208899A7           17         67,938     X                01      67,938   0     0
HEALTH MANAGEMENT ASSOCIATES         Com      421933102        5,347        409,370     X                01     409,370   0     0
HEIDRICK & STRUGGLES INTL            Com      422819102       13,228        209,550     X                01     209,550   0     0
HELLENIC TELECOMMUNICATIONS          DR       423325307          377         30,950     X                01      30,950   0     0
HELLER FINANCIAL INC                 Com      423328103       15,273        745,000     X                01     745,000   0     0
HEWLETT-PACKARD INC                  Com      428236103       38,103        305,129     X                01     305,129   0     0
HIBERNIA CORPORATION CLASS A         Com      428656102        4,783        439,800     X                01     439,800   0     0
HIGHLAND BANCORP INC                 Com      429879109        3,323        136,334     X                01     136,334   0     0
HINGHAM INSTN SVGS MASS              Com      433323102        1,181         90,000     X                01      90,000   0     0
HISPANIC BROADCASTING CORP           Com      43357B104        3,331        100,570     X                01     100,570   0     0
HOME FEDERAL BANCORP                 Com      436926109        2,741        166,100     X                01     166,100   0     0
HOME DEPOT                           Com      437076102       55,652      1,114,441     X                01   1,114,441   0     0
HONEYWELL INTERNATIONAL INC          Com      438516106       61,981      1,839,876     X                01   1,839,876   0     0
HOOPER HOLMES INC                    Com      439104100          680         85,000     X                01      85,000   0     0
HOUGHTON MIFFLIN COMPANY             Com      441560109       17,291        370,350     X                01     370,350   0     0
HOUSEHOLD INTL INC                   Com      441815107       59,002      1,419,595     X                01   1,419,595   0     0
HOUSEHOLD INTL INC                   PFD      441815834        3,183        124,200     X                01     124,200   0     0
HUDSON UNITED BANCORP                Com      444165104       14,355        639,781     X                01     639,781   0     0
HUMAN GENOME SCIENCES INC            Com      444903108       15,166        113,710     X                01     113,710   0     0
HUNTINGTON BANCSHARES                Com      446150104        7,023        444,151     X                01     444,151   0     0
HYPERION SOLUTIONS CORP              Com      44914M104        7,224        222,700     X                01     222,700   0     0
ICG COMMUNICATIONS, INC.             Com      449246107        1,034         46,845     X                01      46,845   0     0
ICG HOLDINGS                         PFD      449247501        2,478          3,137     X                01       3,137   0     0
ICOS CORPORATION                     Com      449295104        2,420         55,000     X                01      55,000   0     0
IFC CAPITAL TRUST I  9.25% PFD       PFD      44950A204        4,975        200,000     X                01     200,000   0     0
I-LINK INC                           Com      449927102        9,291      1,728,650     X                01   1,728,650   0     0
I-STAT CORP                          Com      450312103          436         25,000     X                01      25,000   0     0
IBERIABANK CORP                      Com      450828108        6,888        448,000     X                01     448,000   0     0
IDAHO PWR CO 7.07% CUM PFD           PFD      451380703        2,619         27,000     X                01      27,000   0     0
ILLINOIS SUPERCONDUCTOR CORP         Com      452284102        1,655        346,100     X                01     346,100   0     0
ILLINOIS TOOL WORKS INC              Com      452308109       33,737        591,870     X                01     591,870   0     0
IMMUNEX CORP NEW                     Com      452528102       12,964        262,230     X                01     262,230   0     0
IMPERIAL BANCORP                     Com      452556103        3,754        241,217     X                01     241,217   0     0
IMPSAT FIBER NETWORKS INC.           Com      45321T103        1,726        103,070     X                01     103,070   0     0
IMR GLOBAL CORPORATION               Com      45321W106        8,491        650,000     X                01     650,000   0     0
INCYTE PHARMACEUTICALS INC           Com      45337C102        1,200         14,600     X                01      14,600   0     0
INDEPENDENCE CMNTY BK CORP           Com      453414104        7,045        531,666     X                01     531,666   0     0
INDEPENDENT BANK CORP- MASS          Com      453836108        9,276        820,000     X                01     820,000   0     0
INDEPENDENT BANK CORP - MICH         Com      453838104        2,057        151,700     X                01     151,700   0     0
INDIANAPOLIS PWR & LT CO PFD%        PFD      455434878        2,125         26,150     X                01      26,150   0     0
INFINITY BROADCASTING CORP - A       Com      45662S102       31,350        860,391     X                01     860,391   0     0
INFORMIX CORP                        Com      456779107        1,234        165,860     X                01     165,860   0     0
INFOSPACE COM INC COM                Com      45678T102       22,568        408,472     X                01     408,472   0     0
INGERSOLL-RAND CO                    Com      456866102        7,846        194,925     X                01     194,925   0     0
INHALE THERAPEUTIC SYS               Com      457191104       25,756        253,830     X                01     253,830   0     0
INKTOMI CORP COM                     Com      457277101       28,244        238,847     X                01     238,847   0     0
INSIGHT ENTERPRISES INC              Com      45765U103       23,502        396,240     X                01     396,240   0     0
INPRISE CORPORATION                  Com      45766C102          876        143,000     X                01     143,000   0     0
INTEGRA LIFESCIENCES HOLDING         Com      457985208          224         22,500     X                01      22,500   0     0
INTEGRAL SYSTEMS INC                 Com      45810H107          838         50,000     X                01      50,000   0     0
INTEGRATED DEVICE TECH INC           Com      458118106       65,926      1,101,054     X                01   1,101,054   0     0
INTEGRATED SILICON                   Com      45812P107       29,336        772,000     X                01     772,000   0     0
INTEL CORP                           Com      458140100      137,097      1,025,503     X                01   1,025,503   0     0
INTEGRA BANK CORPORATION             Com      45814P105        1,626         95,634     X                01      95,634   0     0
INTERCHANGE FINL SVCS CP/NJ          Com      458447109        4,248        323,625     X                01     323,625   0     0
INTERMEDIA COMM OF FLORIDA           Com      458801107       39,141      1,315,670     X                01   1,315,670   0     0
INTERNAP NETWORK SERVICES            Com      45885A102        3,184         76,700     X                01      76,700   0     0
INTERNATIONAL BUSINESS MACHINE       Com      459200101       47,995        438,065     X                01     438,065   0     0
INTERNATIONAL PAPER CO               Com      460146103        3,858        129,398     X                01     129,398   0     0
INTERNATIONAL WIRELESS COMMU         Com      46058G504        1,755        942,720     X                01     942,720   0     0
INTERPORE INTERNATIONAL              Com      46062W107       14,237      1,469,650     X                01   1,469,650   0     0
INTERPUBLIC GROUP INC                Com      460690100       71,729      1,668,109     X                01   1,668,109   0     0
INTRANET SOLUTIONS                   Com      460939309       17,342        451,900     X                01     451,900   0     0
INTERWOVEN INC                       Com      46114T102       32,007        291,010     X                01     291,010   0     0
INTUIT INC                           Com      461202103       26,439        639,000     X                01     639,000   0     0
INVITGOGEN CORP                      Com      46185R100       27,419        364,600     X                01     364,600   0     0
IRON MOUNTAIN INC                    Com      462846106       19,484        573,060     X                01     573,060   0     0
I2 TECHNOLOGIES INC                  Com      465754109       59,065        566,490     X                01     566,490   0     0
JDS UNIPHASE CORP                    Com      46612J101       24,130        201,290     X                01     201,290   0     0
JNI CORP                             Com      46622G105       11,069        350,000     X                01     350,000   0     0
JABIL CIRCUIT INC                    Com      466313103       33,064        666,280     X                01     666,280   0     0
JEFFRIES GROUP INC (NEW)             Com      472319102        4,110        203,600     X                01     203,600   0     0
JEFFERSON PILOT CORP.                Com      475070108       26,845        475,652     X                01     475,652   0     0
JOHNSON & JOHNSON                    Com      478160104      127,656      1,253,069     X                01   1,253,069   0     0
JOHNSON CONTROLS                     Com      478366107       10,147        197,742     X                01     197,742   0     0
JUPITER COMMUNICATIONS INC           Com      482050101        7,982        347,050     X                01     347,050   0     0
KLA INSTRUMENTS CORP                 Com      482480100       39,020        666,302     X                01     666,302   0     0
KLM ROYAL DUTCH AIRLINES  NY REG SHS DR       482516309        3,401        128,030     X                01     128,030   0     0
KANSAS CITY POWER & LIGHT            Com      485134100        9,664        429,500     X                01     429,500   0     0
KANSAS CITY SOUTHERN INDUST          Com      485170104        1,517         17,105     X                01      17,105   0     0
KELLOGG CO                           Com      487836108        2,022         67,966     X                01      67,966   0     0
KENT ELECTRONICS CORP                Com      490553104       15,440        517,900     X                01     517,900   0     0
KERR - MCGEE CORP                    Com      492386107        2,222         37,696     X                01      37,696   0     0
KEY ENERGY GROUP INC COM             Com      492914106          697         72,448     X                01      72,448   0     0
KEY CORP (NEW)                       Com      493267108       10,823        614,086     X                01     614,086   0     0
KEYNOTE SYS INC                      Com      493308100       14,113        200,000     X                01     200,000   0     0
KEYSPAN CORPORATION                  Com      49337W100       10,178        331,000     X                01     331,000   0     0
KEYSTONE FINANCIAL INC               Com      493482103        6,451        303,595     X                01     303,595   0     0
KIMBERLY-CLARK CORP                  Com      494368103       53,124        925,916     X                01     925,916   0     0
KING PHARMACEUTICALS INC             Com      495582108        1,974         45,000     X                01      45,000   0     0
KOHLS CORP                           Com      500255104          682         12,264     X                01      12,264   0     0
KROGER CO                            Com      501044101       35,608      1,613,975     X                01   1,613,975   0     0
LG&E ENERGY CORPORATION              Com      501917108       12,869        539,000     X                01     539,000   0     0
LSB BANCSHARES INC                   Com      502158108          692         56,512     X                01      56,512   0     0
LSI LOGIC                            Com      502161102       27,194        502,431     X                01     502,431   0     0
LAM RESEARCH CORP                    Com      512807108        5,199        138,640     X                01     138,640   0     0
LAMAR ADVERTISING COMPANY            Com      512815101          580         13,400     X                01      13,400   0     0
LAMAR CAPITAL CORP COM               Com      51282P106          618         75,500     X                01      75,500   0     0
LASER MEDICAL CORPORATION  PFD       PFD      517926986          667        500,000     X                01     500,000   0     0
LASER MEDICAL CORPORATION            Com      517926994            0        491,800     X                01     491,800   0     0
LASER MEDICAL CORPORATION            PFD      51792A995          500        500,000     X                01     500,000   0     0
LASMO AMERICA LTD                    PFD      51808V207       19,000        190,000     X                01     190,000   0     0
ESTEE LAUDER COMPANIES - CL A        Com      518439104        3,525         71,310     X                01      71,310   0     0
LAWRENCE SVGS BK MASS NEW            Com      520341108          490         70,000     X                01      70,000   0     0
LEAR CORPORATION                     Com      521865105        3,562        178,100     X                01     178,100   0     0
LEGGETT & PLATT INC                  Com      524660107       18,626      1,128,844     X                01   1,128,844   0     0
LEGG MASON INCORPORATED              Com      524901105       14,550        291,000     X                01     291,000   0     0
LEHMAN BROTHERS HOLDING INC          Com      524908100       51,477        544,365     X                01     544,365   0     0
LEHMAN BROTHERS HLDGS INC            PFD      524908704       11,482        283,500     X                01     283,500   0     0
LEHMAN BROTHERS HLDGS INC            PFD      524908886       20,707        550,339     X                01     550,339   0     0
LEVEL 3 COMMUNICATIONS INC           Com      52729N100       27,047        307,350     X                01     307,350   0     0
LIFEPOINT HOSPS INC                  Com      53219L109       18,980        853,050     X                01     853,050   0     0
LIGAND PHARMACEUTICALS-CL B          Com      53220K207       11,164        846,550     X                01     846,550   0     0
LIFEMINDERS INC                      Com      53220Q105        1,790         60,550     X                01      60,550   0     0
LILLY ELI CO                         Com      532457108       35,780        358,248     X                01     358,248   0     0
LIMITED INC                          Com      532716107        2,693        124,519     X                01     124,519   0     0
LINCOLN NATIONAL CORP                Com      534187109        8,324        230,414     X                01     230,414   0     0
LINEAR TECHNOLOGY CORP               Com      535678106        8,395        131,298     X                01     131,298   0     0
LINENS 'N THINGS INC                 Com      535679104       15,771        581,405     X                01     581,405   0     0
LOCAL FINL CORP COM                  Com      539553206        3,338        400,000     X                01     400,000   0     0
LOEWS CORP                           Com      540424108          302          5,034     X                01       5,034   0     0
LONE STAR TECHNOLOGIES               Com      542312103       26,827        580,050     X                01     580,050   0     0
LOWES COS INC.                       Com      548661107       33,890        825,319     X                01     825,319   0     0
LUCENT TECHNOLOGIES                  Com      549463107       96,179      1,623,276     X                01   1,623,276   0     0
M & T BANK CORPORATION               Com      55261F104       33,120         73,601     X                01      73,601   0     0
MAF BANCORP INC                      Com      55261R108        9,580        526,743     X                01     526,743   0     0
MBIA INC.                            Com      55262C100       32,181        667,822     X                01     667,822   0     0
MBNA CORP                            Com      55262L100       35,048      1,292,087     X                01   1,292,087   0     0
MCN MICHIGAN LP 9.375%  CUM PFD
 SERIES A                            PFD      55268M201        7,616        307,700     X                01     307,700   0     0
MVBI CAP TR                          PFD      553816208          860         40,000     X                01      40,000   0     0
MACK CALI RLTY CORP                  Com      554489104        7,578        295,000     X                01     295,000   0     0
MAIN STR BANCORP INC                 Com      559906102          748         84,307     X                01      84,307   0     0
MANAGEMENT NETWORK GROUP INC         Com      561693102       19,954        570,100     X                01     570,100   0     0
MANUFACTURES SERVICES LTD            Com      565005105        2,881        140,100     X                01     140,100   0     0
MANUGISTICS GROUP INC                Com      565011103       13,113        280,500     X                01     280,500   0     0
MARATHON FINL CORP                   Com      56580P104          142         27,500     X                01      27,500   0     0
MARINE DRILLING CO INC               Com      568240204       25,225        900,900     X                01     900,900   0     0
MARKETWATCH.COM INC                  Com      570619106       14,426        766,850     X                01     766,850   0     0
MARSH & MCLENNAN COS INC             Com      571748102       89,383        855,856     X                01     855,856   0     0
MARSHALL AND ILSLEY CORP             Com      571834100       28,539        687,680     X                01     687,680   0     0
MASSACHUSETTS ELEC CO 6.99% CUM PFD  PFD      575634704        5,213         54,000     X                01      54,000   0     0
MASSBANK CORP                        Com      576152102        2,909        103,899     X                01     103,899   0     0
MATTSON TECHNOLOGY                   Com      577223100        6,640        204,300     X                01     204,300   0     0
MAXTOR CORP                          Com      577729205        6,840        647,550     X                01     647,550   0     0
MAXIM INTERGRATED PRODUCTS           Com      57772K101       11,295        166,259     X                01     166,259   0     0
MAXYGEN                              Com      577776107          851         15,000     X                01      15,000   0     0
MAVERICK TUBE CORPORATION            Com      577914104       26,209        899,880     X                01     899,880   0     0
MCDONALDS CORP                       Com      580135101       16,757        508,756     X                01     508,756   0     0
MCGRAW-HILL INC                      Com      580645109       67,484      1,249,701     X                01   1,249,701   0     0
MCLEOD INC                           Com      582266102       14,462        699,085     X                01     699,085   0     0
MEDALLION FINL CORP                  Com      583928106        7,260        470,300     X                01     470,300   0     0
MEDFORD BANCORP INC                  Com      584131106        2,945        208,500     X                01     208,500   0     0
MEDIAONE GROUP INC COM               Com      58440J104        8,421        128,865     X                01     128,865   0     0
MEDIA METRIX INC                     Com      58440X103       17,205        676,350     X                01     676,350   0     0
MEDIAPLEX INC                        Com      58446B105        7,156        370,550     X                01     370,550   0     0
MEDIMMUNE INC                        Com      584699102        7,080         95,681     X                01      95,681   0     0
MEDQUIST INC                         Com      584949101          510         15,000     X                01      15,000   0     0
MEDTRONIC INC                        Com      585055106       51,746      1,038,825     X                01   1,038,825   0     0
MELLON FINANCIAL CORP                Com      58551A108      113,824      3,123,813     X                01   3,123,813   0     0
MERCANTILE BANKSHARES                Com      587405101       26,722        896,350     X                01     896,350   0     0
MERCK & CO INC                       Com      589331107       65,368        853,092     X                01     853,092   0     0
MERCURY INTERACTIVE CORP             Com      589405109       71,887        743,021     X                01     743,021   0     0
MERIX CORP                           Com      590049102       10,751        228,750     X                01     228,750   0     0
MERRILL LYNCH & CO                   Com      590188108       59,887        520,755     X                01     520,755   0     0
MERRILL LYNCH + CO INC  9% CUM PFD
 SERIES A                            PFD      590188819       19,342        678,650     X                01     678,650   0     0
MERRILL MERCHANTS BANKSHARES         Com      59021H103          731         65,000     X                01      65,000   0     0
META GROUP INC                       Com      591002100       13,237        687,650     X                01     687,650   0     0
METRIS COMPANIES INC                 Com      591598107       29,441      1,171,770     X                01   1,171,770   0     0
METROMEDIA FIBER NETWORK INC CL A    Com      591689104       43,539      1,097,044     X                01   1,097,044   0     0
METROBANCORP                         Com      591913108          340         57,849     X                01      57,849   0     0
METTLER-TOLEDO INTERNATIONAL         Com      592688105        1,400         35,000     X                01      35,000   0     0
MICREL INC                           Com      594793101       17,343        399,260     X                01     399,260   0     0
MICRO ASI  PRIVATE PLACEMENT         Com      59479V992        2,000      2,000,000     X                01   2,000,000   0     0
MICROSOFT CORP                       Com      594918104      134,606      1,682,571     X                01   1,682,571   0     0
MICROSTRATEGY INC CL A               Com      594972101        4,602        153,400     X                01     153,400   0     0
MICROCELL TELECOMMUNICATIONS CL B
 NON VTG                             Com      59501T304        1,804         49,950     X                01      49,950   0     0
MICROMUSE INC                        Com      595094103       19,135        115,630     X                01     115,630   0     0
MICRON TECHNOLOGY                    Com      595112103      106,087      1,204,678     X                01   1,204,678   0     0
MICROSEMI CORP                       Com      595137100       19,775        582,700     X                01     582,700   0     0
MID-STATE BANCSHARES                 Com      595440108          409         15,000     X                01      15,000   0     0
MIDAMERICAN ENERGY CO $7.80          PFD      595620204          940          9,125     X                01       9,125   0     0
MIDWEST BANC HOLDINGS INC COM        Com      598251106          472         34,000     X                01      34,000   0     0
MILLENNIUM PHARMACEUTICALS           Com      599902103       11,986        107,140     X                01     107,140   0     0
MINIMED INC                          Com      60365K108        1,180         10,000     X                01      10,000   0     0
MINNESOTA MINING & MFG               Com      604059105       58,291        706,555     X                01     706,555   0     0
MISSISSIPPI VALLEY BANCSHRS          Com      605720101        9,461        390,150     X                01     390,150   0     0
MITSUBISHI CORP - ADR                DR       606769305        3,921        216,284     X                01     216,284   0     0
MODEM MEDIA POPPE TYSON              Com      607533106        3,051        245,320     X                01     245,320   0     0
MOLEX INC                            Com      608554101        4,234         87,972     X                01      87,972   0     0
MONONGAHELA PWR CO $7.73  CUM
 PFD SERIES L                        PFD      610202848       12,772        124,000     X                01     124,000   0     0
MONTANA PWR CAP I 8.4500%
 12/31/36 Series A                   PFD      612083204          920         40,000     X                01      40,000   0     0
MONTANA POWER CO                     Com      612085100       21,918        620,700     X                01     620,700   0     0
MONTANA PWR CO $6.8750 Series        PFD      612085506       10,028        109,000     X                01     109,000   0     0
J P MORGAN & CO INC                  Com      616880100        5,256         47,727     X                01      47,727   0     0
MORGAN J P + CO INC 6.625            PFD      616880886       16,660        340,000     X                01     340,000   0     0
MORGAN S D WITTER DISCOVER&CO
 COM NEW                             Com      617446448       92,484      1,110,922     X                01   1,110,922   0     0
MORGAN STANLEY GROUP INC 7.7500%     PFD      617446562       19,344        372,000     X                01     372,000   0     0
MOTOROLA INC                         Com      620076109        9,714        334,231     X                01     334,231   0     0
MULTEX.COM INC                       Com      625367107       11,892        472,150     X                01     472,150   0     0
MUTUAL CMNTY SVGS BK DURHAM          Com      628247108          158         17,070     X                01      17,070   0     0
NBC INTERNET INC                     Com      62873D105        6,250        500,000     X                01     500,000   0     0
NPS PHARMACEUTICALS INC              Com      62936P103       36,019      1,346,500     X                01   1,346,500   0     0
NTL INCORPORATED                     Com      629407107        2,432         40,611     X                01      40,611   0     0
NTL INC SR PFD EXCH                  PFD      629407503        5,683          5,683     X                01       5,683   0     0
NABISCO HOLDINGS CORP-CL A           Com      629526104          305          5,800     X                01       5,800   0     0
RJR NABISCO HOLDINGS CORP            Com      62952P102       13,662        526,736     X                01     526,736   0     0
NANOMETRICS INC.                     Com      630077105       18,497        449,100     X                01     449,100   0     0
NATCO GROUP INC-A                    Com      63227W203        8,922        945,400     X                01     945,400   0     0
NATIONAL CITY CORP                   Com      635405103       58,657      3,437,788     X                01   3,437,788   0     0
NATL COMMERCE BANCORP                Com      635449101        7,282        453,374     X                01     453,374   0     0
NATIONAL COMPUTER SYS INC COM        Com      635519101       27,624        560,895     X                01     560,895   0     0
NATIONAL INSTRUMENTS CORP            Com      636518102       13,432        307,897     X                01     307,897   0     0
NATIONAL SEMICONDUCTOR CORP          Com      637640103       34,149        601,741     X                01     601,741   0     0
NEIMAN MARCUS GROUP                  Com      640204301        7,423        267,491     X                01     267,491   0     0
NETWORKS ASSOCS INC                  Com      640938106       10,668        523,600     X                01     523,600   0     0
NET PERCEPTIONS INC                  Com      64107U101       13,580        855,450     X                01     855,450   0     0
NET2PHONE INC                        Com      64108N106       10,706        300,000     X                01     300,000   0     0
NETCREATIONS INC                     Com      64110N102        3,069         67,000     X                01      67,000   0     0
NETPLIANCE INC                       Com      64115K103        9,914      1,086,500     X                01   1,086,500   0     0
NETRATINGS INC                       Com      64116M108       11,579        451,850     X                01     451,850   0     0
NETWORK APPLIANCE INC                Com      64120L104       20,764        257,938     X                01     257,938   0     0
Hong Kong Land Holdings              Com      643491905          880        550,000     X                01     550,000   0     0
NEW HAMPSHIRE THRIFT                 Com      644722100          315         28,000     X                01      28,000   0     0
NEW YORK TIMES CO CL A               Com      650111107        2,033         51,476     X                01      51,476   0     0
NEWFIELD EXPLORATION COMPANY         Com      651290108       20,997        536,665     X                01     536,665   0     0
THE NEWS CORPORATION LIMITED  ADR    DR       652487703       20,324        372,916     X                01     372,916   0     0
NEXTCARD INC                         Com      65332K107        7,183        845,000     X                01     845,000   0     0
NEXTEL COMMUNICATIONS INC CL A       Com      65332V103        3,860         63,081     X                01      63,081   0     0
NEXTEL COMMUNICATIONS INC PFD D EX   PFD      65332V400       27,055         25,524     X                01      25,524   0     0
NEXTEL COMM INC                      PFD      65332V707        2,218          2,323     X                01       2,323   0     0
NEXTLINK COMMUNICATIONS INC PFD
 SR EXCH                             PFD      65333H608        6,726        134,520     X                01     134,520   0     0
NEXTLINK COMMUNICATIONS INC CL A     Com      65333H707        4,673        123,180     X                01     123,180   0     0
99 CENTS ONLY STORES COM             Com      65440K106       26,595        666,956     X                01     666,956   0     0
NOKIA CORP  "A"  ADR                 DR       654902204       63,880      1,279,200     X                01   1,279,200   0     0
NORTEL NETWORKS CORP                 Com      656568102       34,852        510,655     X                01     510,655   0     0
NORTEL NETWORKS CORP                 Com      6565689A2       24,311        356,200     X                01     356,200   0     0
NORTHFORK BANCORP                    Com      659424105       63,919      4,226,027     X                01   4,226,027   0     0
NORTH VALLEY BANCORP                 Com      66304M105        2,197        209,200     X                01     209,200   0     0
NORTHEAST UTILS                      Com      664397106        1,762         81,000     X                01      81,000   0     0
NORTHERN STATES POWER MINN           Com      665772109        3,553        175,994     X                01     175,994   0     0
NORTHERN TRUST CORP                  Com      665859104       49,594        762,257     X                01     762,257   0     0
NORTHPOINT COMMUNICATIONS            Com      666610100       20,299      1,814,400     X                01   1,814,400   0     0
NORTHRIM BANK                        Com      666764105          607         83,685     X                01      83,685   0     0
NORTHWEST AIRLINES CORP CL A         Com      667280101       42,729      1,403,820     X                01   1,403,820   0     0
NU HORIZONS ELEC CORP                Com      669908105        6,781        254,700     X                01     254,700   0     0
NOVELLUS SYSTEM INC                  Com      670008101       50,394        890,945     X                01     890,945   0     0
NSTAR                                Com      67019E107       19,774        486,000     X                01     486,000   0     0
NYCOMED AMERSHAM PLC-SP ADR          DR       67066H102        2,779         56,710     X                01      56,710   0     0
OGE ENERGY CORP                      Com      670837103       14,632        790,900     X                01     790,900   0     0
OAK TECHNOLOGY INC.                  Com      671802106          712         33,000     X                01      33,000   0     0
OCEAN SPRAY CRANBERRIES INC          PFD      675022404       16,425        225,000     X                01     225,000   0     0
OLD KENT FINANCIAL CORP              Com      679833103       35,961      1,344,329     X                01   1,344,329   0     0
OLD NATIONAL BANCORP                 Com      680033107        4,988        170,156     X                01     170,156   0     0
OMNICOM GROUP                        Com      681919106       20,344        228,425     X                01     228,425   0     0
ON ASSIGNMENT INC                    Com      682159108       26,563        870,930     X                01     870,930   0     0
ONE VALLEY BANCORP OF WV             Com      682419106       12,375        395,996     X                01     395,996   0     0
ONI SYSTEMS CORP                     Com      68273F103          647          5,520     X                01       5,520   0     0
OPEN PORT TECHNOLOGY, INC            Com      68371R991          850        527,950     X                01     527,950   0     0
ORACLE SYSTEMS CORP                  Com      68389X105      122,222      1,453,942     X                01   1,453,942   0     0
OUTBACK STEAKHOUSE INC               Com      689899102        1,615         55,200     X                01      55,200   0     0
OXIGENE INC                          Com      691828107        1,153        115,300     X                01     115,300   0     0
P G & E CORPORATION                  Com      69331C108        2,516        102,161     X                01     102,161   0     0
PFF BANCORP INC                      Com      69331W104        3,468        190,000     X                01     190,000   0     0
PE CORP-PE BIOSYSTEMS GROUP          Com      69332S102       15,239        231,339     X                01     231,339   0     0
PLX TECHNOLOGY INC                   Com      693417107       34,437        829,810     X                01     829,810   0     0
PNC BANK CORP.                       Com      693475105       50,873      1,085,288     X                01   1,085,288   0     0
PRI AUTOMATION INC                   Com      69357H106       45,462        695,243     X                01     695,243   0     0
PSI ENERGY INC 6.875% CUM PFD        PFD      693627879       17,417        187,280     X                01     187,280   0     0
PACIFIC CAP BANCORP NEW              Com      69404P101        4,983        198,825     X                01     198,825   0     0
PACIFIC CENTY FINL CORP COM          Com      694058108       26,227      1,793,266     X                01   1,793,266   0     0
PACIFIC ENTERPRISES 4.50%            PFD      694232505        1,244         19,750     X                01      19,750   0     0
PACIFIC SUNWEAR OF CALIF             Com      694873100        9,528        508,175     X                01     508,175   0     0
PACKARD BIOSCIENCE COMPANY           Com      695172205        2,550        150,000     X                01     150,000   0     0
PACTIV CORPORATION                   Com      695257105       11,543      1,465,819     X                01   1,465,819   0     0
PAINE WEBBER GROUP, INC.             Com      695629105       16,103        353,922     X                01     353,922   0     0
PAMRAPO BANCORP INC                  Com      697738102        4,018        206,000     X                01     206,000   0     0
PARAMETRICS TECHNOLOGY CORP          Com      699173100       66,149      6,013,504     X                01   6,013,504   0     0
PARTNER COMMUNICATIONS-ADR           DR       70211M109          208         21,900     X                01      21,900   0     0
PARTSBASE.COM INC                    Com      70214P109        1,238        225,000     X                01     225,000   0     0
PATTERSON ENERGY INC                 Com      703414102       13,415        470,700     X                01     470,700   0     0
PAYCHEX INC.                         Com      704326107          798         19,000     X                01      19,000   0     0
PEGASUS COMMUNICATIONS CORP          Com      705904100       29,240        595,970     X                01     595,970   0     0
PENNEY JC INC                        Com      708160106          215         11,652     X                01      11,652   0     0
PENNFED FINL SVCX INC                Com      708167101        8,630        611,000     X                01     611,000   0     0
PENTAIR INC                          Com      709631105       31,623        890,800     X                01     890,800   0     0
PENTON MEDIA INC                     Com      709668107       14,551        415,740     X                01     415,740   0     0
PEOPLES BANCSHARES INC MA            Com      709795108          686         45,000     X                01      45,000   0     0
PEOPLES BANCTRUST INC                Com      709796106          610         53,000     X                01      53,000   0     0
PEOPLES HLDG CO                      Com      711148106          468         23,400     X                01      23,400   0     0
PEPSICO INC.                         Com      713448108       69,548      1,565,070     X                01   1,565,070   0     0
PERKINELMER INC                      Com      714046109       36,902        558,061     X                01     558,061   0     0
PHARMACYCLICS INC                    Com      716933106       15,722        257,745     X                01     257,745   0     0
PFIZER INC.                          Com      717081103      135,690      2,826,880     X                01   2,826,880   0     0
PHARMACOPEIA INC                     Com      71713B104       21,917        472,600     X                01     472,600   0     0
PHARMACIA CORP.                      Com      71713U102       32,345        625,783     X                01     625,783   0     0
PHILIP MORRIS COMP COS INC           Com      718154107       23,053        867,871     X                01     867,871   0     0
PHYSIOMETRIX INC                     Com      718928104        1,217         55,000     X                01      55,000   0     0
PHONE COM INC                        Com      71920Q100       14,891        228,653     X                01     228,653   0     0
PINNACLE HOLDINGS INC                Com      72346N101       23,085        427,500     X                01     427,500   0     0
PINNACLE WEST CAPITAL CORP           Com      723484101        1,170         34,537     X                01      34,537   0     0
PITNEY BOWES INC                     Com      724479100       48,901      1,222,531     X                01   1,222,531   0     0
PITTSBURGH FINL CORP                 Com      725098107          652         79,000     X                01      79,000   0     0
PIXELWORKS INC                       Com      72581M107        2,300        101,100     X                01     101,100   0     0
PLANTATION FINL CORP                 Com      727360109          420         28,000     X                01      28,000   0     0
PLEXUS CORP                          Com      729132100       20,069        177,600     X                01     177,600   0     0
POINTE FINANCIAL CORP COM            Com      73084P100          172         19,000     X                01      19,000   0     0
POPULAR INC COM                      Com      733174106       15,136        794,000     X                01     794,000   0     0
PORTAL SOFTWARE                      Com      736126103       19,922        311,892     X                01     311,892   0     0
POTOMAC ELEC PWR CO                  Com      737679100       20,733        829,300     X                01     829,300   0     0
POWERWAVE TECHNOLOGIES INC           Com      739363109       17,552        398,905     X                01     398,905   0     0
POWERTEL INC                         Com      73936C109       18,017        253,990     X                01     253,990   0     0
PRAECIS PHARMACEUTICALS INC          Com      739421105        2,230         80,000     X                01      80,000   0     0
PRAXAIR INC                          Com      74005P104        2,901         77,497     X                01      77,497   0     0
PREDICTIVE SYSTEMS INC               Com      74036W102       10,596        294,850     X                01     294,850   0     0
PREMIER PARKS INC                    Com      740540208       26,311      1,156,520     X                01   1,156,520   0     0
PRENTISS PROPERTIES TRUST            Com      740706106        7,800        325,000     X                01     325,000   0     0
T. ROWE PRICE ASSOC INC.             Com      741477103       30,207        710,764     X                01     710,764   0     0
PRIMEDIA INC   8.625 %               PFD      74157K853        2,125         25,000     X                01      25,000   0     0
PRIME GROUP REALTY TRUST SH BEN INT  Com      74158J103        1,519        100,000     X                01     100,000   0     0
PRIMUS TELECOMMUNICATIONS GRP COM    Com      741929103       16,807        675,657     X                01     675,657   0     0
PRIDE INTL INC COM                   Com      741932107       25,603      1,034,450     X                01   1,034,450   0     0
PRIORITY HEALTHCARE CORP             Com      74264T102       14,301        192,450     X                01     192,450   0     0
PROBUSINESS SERVICES INC             Com      742674104       20,518        772,450     X                01     772,450   0     0
PROCTER & GAMBLE CO                  Com      742718109       12,376        216,177     X                01     216,177   0     0
PROSOFTTRAINING.COM                  Com      743477101       14,275        849,050     X                01     849,050   0     0
PROSPERITY BANCSHARES INC            Com      743606105          605         37,500     X                01      37,500   0     0
PROTECTIVE LIFE CORP COM             Com      743674103       44,131      1,657,500     X                01   1,657,500   0     0
PROTEIN DESIGN LABS INC              Com      74369L103          825          5,000     X                01       5,000   0     0
PROVIDENT BANKSHARES CORP            Com      743859100       12,114        897,331     X                01     897,331   0     0
PROVIDENT FINL GROUP INC COM         Com      743866105        4,085        171,539     X                01     171,539   0     0
PROVINCE HEALTHCARE CO               Com      743977100       27,230        753,780     X                01     753,780   0     0
PROVIDIAN FINL CORP COM              Com      74406A102       29,880        332,001     X                01     332,001   0     0
PROXICOM INC                         Com      744282104        3,416         71,350     X                01      71,350   0     0
PSINET INC                           Com      74437C101       18,062        718,895     X                01     718,895   0     0
PUBLIC SVC CO OF NEW MEXICO          Com      744499104        1,261         81,660     X                01      81,660   0     0
PUBLIC SVC ELECTRIC & GAS CO 6.92%
 CUM PFD                             PFD      744567710       10,297        111,925     X                01     111,925   0     0
PUBLIC STORAGE 12.25% SERIES         PFD      74460D729        1,011         48,700     X                01      48,700   0     0
PUGET SOUND POWER & LIGHT CO         Com      745332106       15,326        719,100     X                01     719,100   0     0
PUGET SOUND PWR + LT CO 7.45000%
 Series II                           PFD      745332775       11,677        444,851     X                01     444,851   0     0
QLT PHOTOTHERAPEUTICS INC            Com      746927102       13,053        168,840     X                01     168,840   0     0
QANTAS A.D.S.                        DR       74726M109          280         13,800     X                01      13,800   0     0
QLOGIC CORP                          Com      747277101       12,027        182,060     X                01     182,060   0     0
QUAKER CITY BANCORP INC              Com      74731K106        3,186        207,187     X                01     207,187   0     0
QUAKER OATS CO                       Com      747402105        6,005         79,929     X                01      79,929   0     0
QUALCOMM INC                         Com      747525103       20,037        333,947     X                01     333,947   0     0
QUANTA SERVICES INC                  Com      74762E102       25,636        466,112     X                01     466,112   0     0
QUANTUM HARD DISK DRIVE              Com      747906303       11,618      1,050,250     X                01   1,050,250   0     0
QUESTAR CORP                         Com      748356102       27,148      1,401,200     X                01   1,401,200   0     0
QUIDEL CORP                          Com      74838J101          263         50,000     X                01      50,000   0     0
QWEST COMMUNICATIONS INTL INC COM    Com      749121109       22,388        450,578     X                01     450,578   0     0
R & B FALCON CORP                    Com      74912E101       10,975        465,770     X                01     465,770   0     0
R&B FALCON CORP                      PFD      74912E309        9,130          8,044     X                01       8,044   0     0
RCN CORP COM                         Com      749361101        1,015         40,000     X                01      40,000   0     0
RF MICRODEVICES INC COM              Com      749941100        2,151         24,550     X                01      24,550   0     0
RADIO ONE INC                        Com      75040P108       12,713        430,030     X                01     430,030   0     0
RADIO ONE INC                        Com      75040P405       19,547        885,980     X                01     885,980   0     0
RADIOSHACK COP                       Com      750438103          383          8,081     X                01       8,081   0     0
RADYNE COMSTREAM INC                 Com      750611402        5,786        399,000     X                01     399,000   0     0
RARE HOSPITALITY INTL INC            Com      753820109       12,359        437,500     X                01     437,500   0     0
RATIONAL SOFTWARE CORP               Com      75409P202       51,547        554,637     X                01     554,637   0     0
RAYMOND JAMES FINANCIAL CORP         Com      754730109        1,863         82,800     X                01      82,800   0     0
REALNETWORKS INC COM                 Com      75605L104       27,587        545,605     X                01     545,605   0     0
RECKSON ASSOCIATES REALTY CORP       Com      75621K106       12,944        545,000     X                01     545,000   0     0
REGENT COMMUNICATIONS INC DEL        Com      758865109       18,369      2,137,500     X                01   2,137,500   0     0
REGIONS FINANCIAL CORP               Com      758940100       21,407      1,077,080     X                01   1,077,080   0     0
REINSURANCE GROUP OF AMERICA         Com      759351109       33,037      1,096,650     X                01   1,096,650   0     0
RELIANT ENERGY INC                   Com      75952J108       17,890        605,172     X                01     605,172   0     0
REPUBLIC SECURITY FINL CORP          Com      760758102          515        102,910     X                01     102,910   0     0
RESEARCH IN MOTION                   Com      760975102       10,134        223,950     X                01     223,950   0     0
REYNOLDS AND REYNOLDS                Com      761695105          918         50,300     X                01      50,300   0     0
RHYTHMS NETCONNECTIONS INC           Com      762430205        5,653        450,000     X                01     450,000   0     0
RIGGS NATIONAL CORPORATION           Com      766570105        3,030        240,000     X                01     240,000   0     0
ROCKINGHAM HERITAGE BK               Com      77347A107          293         36,120     X                01      36,120   0     0
ROHM & HAAS CO                       Com      775371107       30,304        878,387     X                01     878,387   0     0
ROSLYN BANCORP INC                   Com      778162107        2,949        177,562     X                01     177,562   0     0
ROWAN BANCORP INC                    Com      779379106          240         15,000     X                01      15,000   0     0
ROYAL BANK OF CANADA                 Com      780087102          243          4,700     X                01       4,700   0     0
ROYAL DUTCH PETE CO                  DR       780257804       49,501        804,080     X                01     804,080   0     0
RUDDICK CORP                         Com      781258108        2,040        172,700     X                01     172,700   0     0
RUDOLPH TECHNOLOGIES INC             Com      781270103       12,142        313,350     X                01     313,350   0     0
RURAL CELLULAR CORP-CL A             Com      781904107       16,136        210,750     X                01     210,750   0     0
RURAL CELLULAR CORP                  PFD      781904305        2,056          2,187     X                01       2,187   0     0
S & T BANCORP INC                    Com      783859101        2,915        159,700     X                01     159,700   0     0
SBC COMMUNICATIONS                   Com      78387G103       71,492      1,652,992     X                01   1,652,992   0     0
SCG HOLDING CORP                     Com      783884109       15,750        720,000     X                01     720,000   0     0
SBA COMMUNICATIONS CORPORATION       Com      78388J106       30,027        578,130     X                01     578,130   0     0
SCI SYS INC                          Com      783890106       45,105      1,151,000     X                01   1,151,000   0     0
SCM MICROSYSTEMS INC COM             Com      784018103       11,407        188,350     X                01     188,350   0     0
SI FING TR I PFD TRUPS 9.5%          PFD      784252207        4,949        196,000     X                01     196,000   0     0
SJNB FINANCIAL CORP                  Com      784273104          224          8,000     X                01       8,000   0     0
SLM HLDG CORP                        PFD      78442A307       18,897        401,000     X                01     401,000   0     0
SFC ACQUISITION CORP                 Com      78599S994        2,039        200,000     X                01     200,000   0     0
SAFEWAY INC                          Com      786514208        1,216         26,942     X                01      26,942   0     0
ST. PAUL COS.                        Com      792860108        4,479        131,242     X                01     131,242   0     0
SALEM BK + TR NATL ASSN              Com      794035105        1,317         95,769     X                01      95,769   0     0
SAMSUNG E'TRONIC GDR                 DR       796050888          415          2,384     X                01       2,384   0     0
SAMUELS JEWELERS INC                 Com      796060101        1,500        300,000     X                01     300,000   0     0
SANMINA CORP COM                     Com      800907107       39,806        465,572     X                01     465,572   0     0
SCANSOURCE INC                       Com      806037107       17,159        441,400     X                01     441,400   0     0
SCHERING-PLOUGH CORP                 Com      806605101       71,229      1,410,466     X                01   1,410,466   0     0
SCHLUMBERGER LTD                     Com      806857108        1,274         17,077     X                01      17,077   0     0
SCHWAB CHARLES CORP NEW COM          Com      808513105       95,943      2,853,336     X                01   2,853,336   0     0
SCIENTIFIC ATLANTA INC               Com      808655104        9,239        124,018     X                01     124,018   0     0
SCREAMING MEDIA.NET                  PFD      810887992        1,739        155,300     X                01     155,300   0     0
SCRIPPS CO                           Com      811054204       29,590        600,810     X                01     600,810   0     0
SEACOAST BANKING CORP. OF FLA        Com      811707108        6,024        223,100     X                01     223,100   0     0
SEAGATE TECHNOLOGY                   Com      811804103       50,988        927,051     X                01     927,051   0     0
SEAGRAM LTD                          Com      811850106        4,122         71,062     X                01      71,062   0     0
SEARS ROEBUCK                        Com      812387108        2,112         64,731     X                01      64,731   0     0
SECURE COMPUTING CORP                Com      813705100       23,597      1,254,300     X                01   1,254,300   0     0
SECURITY FED BANCORP INC             Com      81423P103          344         33,600     X                01      33,600   0     0
SEMTECH CORPORATION                  Com      816850101       33,125        433,090     X                01     433,090   0     0
SEMPRA ENERGY                        Com      816851109          583         34,293     X                01      34,293   0     0
SENSORMATIC ELECTRONICS CORP         Com      817265101       25,223      1,595,155     X                01   1,595,155   0     0
SHAW COMMUNICATIONS INC 8.45%
 Series A                            PFD      82028K606        7,005        334,553     X                01     334,553   0     0
SHELL TRANS & TRADING PLC (NEW)      DR       822703609        4,245         85,000     X                01      85,000   0     0
SHORE FINL CORP                      Com      82511E109          352         48,500     X                01      48,500   0     0
SICOR INC                            Com      825846108          520         65,000     X                01      65,000   0     0
SIEBEL SYS INC                       Com      826170102        4,593         28,083     X                01      28,083   0     0
SIERRA PAC POWER 7.8% SERIES 1       PFD      826418709       10,032        389,586     X                01     389,586   0     0
SIERRA PAC RES NEW                   Com      826428104       16,251      1,293,600     X                01   1,293,600   0     0
SIERRA PAC PWR CAP 1 8.60% 7/30/36   PFD      826433203        2,166         90,000     X                01      90,000   0     0
SILICON VALLEY BANCSHARES            Com      827064106        9,804        230,000     X                01     230,000   0     0
SIMMONS FIRST NATL CORP              Com      828730200        7,574        338,500     X                01     338,500   0     0
SINCLAIR BROADCAST GROUP INC         Com      829226109        8,969        815,350     X                01     815,350   0     0
SIRUS SATELITE RADIO INC             Com      82966U103        5,419        122,290     X                01     122,290   0     0
SIX RIVS NATL BK EUREKA CA CAP STK   Com      830059101          338         26,000     X                01      26,000   0     0
SKY FINL GROUP INC                   Com      83080P103        8,861        555,955     X                01     555,955   0     0
SMTF SMARTFORCE PLC                  DR       83170A206       19,219        400,392     X                01     400,392   0     0
SMITHKLINE BEECHAM PLC ADR           DR       832378301        6,845        105,000     X                01     105,000   0     0
SOFTWARE TECHNOLOGIES CORP           Com      834040107       11,508        375,000     X                01     375,000   0     0
SOLECTRON CORP                       Com      834182107       67,831      1,619,837     X                01   1,619,837   0     0
SONIC INNOVATIONS INC                Com      83545M109          557         30,000     X                01      30,000   0     0
SOUTH CAROLINA ELEC + GAS CO 6.52%   PFD      837004829       15,829        175,000     X                01     175,000   0     0
SOUTH STR FINL CORP                  Com      840468102          653         95,000     X                01      95,000   0     0
SOUTHERN BANC INC                    Com      842233108          308         32,900     X                01      32,900   0     0
SOUTHERN MISSOURI BANCORP            Com      843380106          204         16,000     X                01      16,000   0     0
SOUTHERN UNION FINANCING 9.48%       PFD      844038208        5,871        244,000     X                01     244,000   0     0
SOUTHTRUST CORP                      Com      844730101       47,986      2,120,934     X                01   2,120,934   0     0
SOUTHWEST BANCORP INC                Com      844767103        2,258        140,000     X                01     140,000   0     0
SOUTHWEST BANCORP OF TEXAS           Com      84476R109        9,479        456,830     X                01     456,830   0     0
SOVEREIGN BANCORP INC                Com      845905108          368         52,350     X                01      52,350   0     0
SPIEKER PROPERTIES INC               Com      848497103       12,153        257,200     X                01     257,200   0     0
SPORTSLINE USA INC COM               Com      848934105       10,243        600,340     X                01     600,340   0     0
SPRINT CORP                          Com      852061100        9,157        179,547     X                01     179,547   0     0
SPRINT CORP                          Com      852061506       30,362        510,292     X                01     510,292   0     0
STANCORP FINANCIAL GROUP             Com      852891100        5,622        175,000     X                01     175,000   0     0
STAR GAS PARTNERS L.P.               Com      85512C105        1,622        105,503     X                01     105,503   0     0
STATE STREET CORP                    Com      857477103      107,862      1,016,968     X                01   1,016,968   0     0
STERLING BANCSHARES INC/TX           Com      858907108        4,124        381,430     X                01     381,430   0     0
STERLING BANCSHARES CAP TR I PFD
 TR SECS                             PFD      858917206        1,860         80,000     X                01      80,000   0     0
STERLING FINL CORP                   Com      859319105        2,092        181,877     X                01     181,877   0     0
STONE CONTAINER CORP PFD E CV $1.75  PFD      861589307        7,563        465,400     X                01     465,400   0     0
STONE ENERGY CORP                    Com      861642106       21,211        355,000     X                01     355,000   0     0
STRATOS LIGHTWAVE INC                Com      863100103        1,837         65,900     X                01      65,900   0     0
STRYKER CORP                         Com      863667101       16,498        377,100     X                01     377,100   0     0
STUDENT ADVANTAGE INC                Com      86386Q105        8,207      1,122,350     X                01   1,122,350   0     0
STURGIS FED SVGS BK MICH             Com      864088109          649        106,000     X                01     106,000   0     0
SUMMIT BANCORP                       Com      866005101       72,197      2,931,843     X                01   2,931,843   0     0
SUMMIT BANKSHARES INC FT WORTH       Com      866011109        5,687        329,700     X                01     329,700   0     0
SUN MICROSYSTEMS INC                 Com      866810104       38,387        422,130     X                01     422,130   0     0
SUNGARD DATA SYSTEMS, INC.           Com      867363103       13,801        445,200     X                01     445,200   0     0
SUNTRUST BKS INC                     Com      867914103       75,319      1,648,573     X                01   1,648,573   0     0
SUPERIOR FINANCIAL CORP              Com      868161100          826         81,000     X                01      81,000   0     0
SUPERMARKETS GENL HLDGS CORP
 PFD EXCH $3.52                      PFD      868446204            8         71,964     X                01      71,964   0     0
SUSQUEHANNA BANCSHARES INC           Com      869099101        9,661        677,993     X                01     677,993   0     0
SYCAMORE NETWORKS INC                Com      871206108        5,187         46,995     X                01      46,995   0     0
SYNCOR INTL CORP-DEL                 Com      87157J106        4,320         60,000     X                01      60,000   0     0
SYNOVUS FINANCIAL                    Com      87161C105          379         21,488     X                01      21,488   0     0
SYSCO CORP                           Com      871829107       36,767        872,808     X                01     872,808   0     0
TCF FINANCIAL CORPORATION            Com      872275102       46,724      1,818,950     X                01   1,818,950   0     0
TDS CAPITAL II 8.04%                 PFD      87235R203       10,455        505,400     X                01     505,400   0     0
TDS CAP I TOPRS 8.5%2037             PFD      87235W202       10,937        491,550     X                01     491,550   0     0
TECO ENERGY                          Com      872375100       12,663        631,200     X                01     631,200   0     0
TJX COS INC NEW                      Com      872540109        7,706        410,998     X                01     410,998   0     0
TLC BEATRICE INTL HOLDINGS           Com      872543103          176         20,000     X                01      20,000   0     0
T R W INC                            Com      872649108       17,271        398,180     X                01     398,180   0     0
TXU ELEC CO                          PFD      87316T755        6,117        249,680     X                01     249,680   0     0
TXU ELEC CO                          PFD      87316T888       10,219         99,700     X                01      99,700   0     0
TAIWAN SEMICONDUCTOR MFG LTD
 SPONSORED ADR                       DR       874039100       20,258        522,790     X                01     522,790   0     0
TAIWAN SEMICONDUCTOR-ADR             DR       874039209       13,122        338,094     X                01     338,094   0     0
TARGET CORP.                         Com      87612E106       44,461        766,562     X                01     766,562   0     0
TECH DATA CORP                       Com      878237106       36,132        829,430     X                01     829,430   0     0
TECHNE CORP                          Com      878377100       28,308        217,750     X                01     217,750   0     0
TEHAMA BANCORP COM                   Com      879053106          886         63,307     X                01      63,307   0     0
TEKTRONIX INC                        Com      879131100       47,222        638,135     X                01     638,135   0     0
TELAXIS COMMUNICATIONS               Com      879202109       14,421        461,460     X                01     461,460   0     0
TELECOMUNICACOES BRASILEIRAS ADR     DR       879287308          994         10,230     X                01      10,230   0     0
TELEFONOS DE MEXICO ADR              DR       879403780        1,041         18,230     X                01      18,230   0     0
TELEMATE.NET SOFTWARE INC            Com      87943L100          669        210,000     X                01     210,000   0     0
TELE1 EUROPE HLDG AB                 DR       87944T201          362         30,000     X                01      30,000   0     0
TELEWEST COMM PLC-SPONS ADR          DR       87956P105        2,796         75,560     X                01      75,560   0     0
TELLABS INC                          Com      879664100        2,094         30,591     X                01      30,591   0     0
TELOCITY INC                         Com      87971D103        3,053        669,050     X                01     669,050   0     0
TENFOLD CORPORATION                  Com      88033A103        6,986        425,000     X                01     425,000   0     0
TENET HEALTHCARE CORPORATION         Com      88033G100        1,403         51,979     X                01      51,979   0     0
TENNECO AUTOMOTIVE INC.              Com      880349105        2,875        547,550     X                01     547,550   0     0
TERADYNE INC                         Com      880770102       14,293        194,466     X                01     194,466   0     0
TERAYON COMMUNICATIONS SYS           Com      880775101       17,459        271,800     X                01     271,800   0     0
TEVA PHARMACEUTICAL INDS LTD         DR       881624209        7,484        135,000     X                01     135,000   0     0
TEXAS INSTRUMENTS                    Com      882508104       33,345        485,456     X                01     485,456   0     0
TEXAS REGIONAL BANCSHARES            Com      882673106       12,347        486,600     X                01     486,600   0     0
TEXTRON INC                          Com      883203101        6,801        125,213     X                01     125,213   0     0
3 COM CORP                           Com      885535104          456          7,920     X                01       7,920   0     0
THREE RIVS BANCORP INC               Com      88562Q107          514         78,250     X                01      78,250   0     0
TIBCO SOFTWARE INC                   Com      88632Q103       28,906        269,560     X                01     269,560   0     0
TIDEWATER INC                        Com      886423102        4,689        130,250     X                01     130,250   0     0
TIME WARNER INC                      Com      887315109       32,203        423,727     X                01     423,727   0     0
TIME WARNER TELECOM INC              Com      887319101       14,312        222,320     X                01     222,320   0     0
TITAN PHARMACEUTICALS INC            Com      888314101       21,092        490,500     X                01     490,500   0     0
TOLLGRADE COMMUNICATIONS INC         Com      889542106        4,313         32,550     X                01      32,550   0     0
TOO INC                              Com      890333107        9,640        378,950     X                01     378,950   0     0
TORCHMARK CORP                       Com      891027104        2,570        104,111     X                01     104,111   0     0
TORONTO DOMINION BANK                Com      891160509       18,147        746,400     X                01     746,400   0     0
TOSCO CORP                           Com      891490302        2,857        100,915     X                01     100,915   0     0
TRANSACTION SYSTEMS K                Com      893416107       10,329        603,150     X                01     603,150   0     0
TRANSCEPT, INC                       Com      89353E998        1,400      1,000,000     X                01   1,000,000   0     0
TRICO BANCSHARES                     Com      896095106        6,090        369,075     X                01     369,075   0     0
TRIGON HEALTHCARE INC                Com      89618L100        3,867         75,000     X                01      75,000   0     0
TRUSTMARK CORP                       Com      898402102        6,129        351,500     X                01     351,500   0     0
TUT SYSTEMS                          Com      901103101       28,714        500,460     X                01     500,460   0     0
TWEETER HOME ENTERTAINMENT           Com      901167106       12,367        407,150     X                01     407,150   0     0
TYCO INTL LTD NEW COM                Com      902124106      109,794      2,317,543     X                01   2,317,543   0     0
UAL CORP                             Com      902549500        1,100         18,900     X                01      18,900   0     0
UCBH HLDGS INC                       Com      90262T100        3,567        133,333     X                01     133,333   0     0
USX - MARATHON GROUP                 Com      902905827        5,566        222,073     X                01     222,073   0     0
USB HOLDING CO INC                   Com      902910108        1,743        123,375     X                01     123,375   0     0
UST INC                              Com      902911106        1,125         76,627     X                01      76,627   0     0
US BANCORP DEL COM                   Com      902973106       94,898      4,929,781     X                01   4,929,781   0     0
US LEC CORP / CL A                   Com      90331S109        9,855        579,700     X                01     579,700   0     0
UBIQUITEL INC                        Com      903474302        9,583      1,015,450     X                01   1,015,450   0     0
UMPQUA HOLDINGS CORP                 Com      904214103          280         35,000     X                01      35,000   0     0
UNIBANCO                             DR       90458E107          510         17,735     X                01      17,735   0     0
UNION PLANTERS CORP.                 Com      908068109       26,760        957,851     X                01     957,851   0     0
UNIONBANCAL CORPORATION              Com      908906100       36,750      1,979,800     X                01   1,979,800   0     0
UNISYS CORP                          Com      909214108       16,607      1,140,375     X                01   1,140,375   0     0
UNITED SEC BANCORPORATION WASH       Com      91146A101        2,336        242,730     X                01     242,730   0     0
UNITED TECHNOLOGIES                  Com      913017109       14,537        246,908     X                01     246,908   0     0
UNITEDGLOBALCOM                      Com      913247508        3,662         78,330     X                01      78,330   0     0
UNITEDHEALTH GROUP INC               Com      91324P102        8,843        103,128     X                01     103,128   0     0
UNIVERSAL COMPRESSION HLDGS          Com      913431102       16,901        504,500     X                01     504,500   0     0
UNIVERSAL HEALTH SERVICES-CL         Com      913903100        3,603         55,000     X                01      55,000   0     0
UNIVISION COMMUNICATIONS INC         Com      914906102        2,712         26,200     X                01      26,200   0     0
UNIVEST CORP PA                      Com      915271100        2,494        119,450     X                01     119,450   0     0
UNOVA INC COM                        Com      91529B106       10,225      1,398,300     X                01   1,398,300   0     0
USBANCORP INC - PA                   Com      917292104          629        176,500     X                01     176,500   0     0
UTILICORP UNITED INC                 Com      918005109        5,893        296,500     X                01     296,500   0     0
UTILICORP CAPTL 8.875% CUM PFD
 SERIES A                            PFD      91800E209        8,416        349,756     X                01     349,756   0     0
VBC CAP I                            PFD      91819N109          489         20,000     X                01      20,000   0     0
VRB BANCORP COM                      Com      918281106          599        122,804     X                01     122,804   0     0
VAIL BANKS INC                       Com      918779109          793         83,500     X                01      83,500   0     0
VALLEY NATIONAL BANCORP              Com      919794107        5,683        233,745     X                01     233,745   0     0
VARIAN INC                           Com      922206107       23,586        511,350     X                01     511,350   0     0
VARIAN MEDICAL SYSTEMS INC           Com      92220P105        2,348         60,000     X                01      60,000   0     0
VEECO INTRUMENTS INC                 Com      922417100       10,988        150,000     X                01     150,000   0     0
VERITAS SOFTWARE CORP                Com      923436109       19,960        176,616     X                01     176,616   0     0
VERISIGN INC                         Com      92343E102       13,253         75,085     X                01      75,085   0     0
VERISITY LTD.                        PFD      92343K546        1,000        135,768     X                01     135,768   0     0
VERITAS DGC INC COM                  Com      92343P107       19,396        746,000     X                01     746,000   0     0
VERSATEL TELECOM INTL - ADR          DR       925301103        4,382        101,620     X                01     101,620   0     0
VERTICALNET INC                      Com      92532L107       13,865        375,366     X                01     375,366   0     0
VIACOM INC CLASS B                   Com      925524308       22,594        331,358     X                01     331,358   0     0
VIATEL INC                           Com      925529208        5,337        186,863     X                01     186,863   0     0
VIANT CORP                           Com      92553N107       50,057      1,689,700     X                01   1,689,700   0     0
VICOR CORP                           Com      925815102       61,763      1,774,150     X                01   1,774,150   0     0
VIRAGE INC                           Com      92763Q106          697         38,600     X                01      38,600   0     0
VIRATA CORP                          Com      927646109       33,041        554,150     X                01     554,150   0     0
VIRGINIA EL + PWR  $6.98 CUM PFD     PFD      927804625        4,349         45,500     X                01      45,500   0     0
VIRGINIA ELEC + PWR CO $7.0500       PFD      927804633        2,897         30,000     X                01      30,000   0     0
VIROLOGIC INC                        Com      92823R201        8,799        591,500     X                01     591,500   0     0
VISHAY INTERTECHNOLOGY, INC.         Com      928298108        1,726         45,490     X                01      45,490   0     0
VISIBLE GENETICS INC                 Com      92829S104       18,339        406,400     X                01     406,400   0     0
VISTEON CORP                         Com      92839U107          381         31,411     X                01      31,411   0     0
VISX INC                             Com      92844S105          842         30,000     X                01      30,000   0     0
VITESSE SEMICONDUCTOR CORP           Com      928497106       30,693        417,239     X                01     417,239   0     0
VIXEL CORP                           Com      928552108        2,063        250,000     X                01     250,000   0     0
VOICESTREAM WIRELESS CORP            Com      928615103       17,939        154,248     X                01     154,248   0     0
WPS RESOURCES CORP                   Com      92931B106        5,838        194,200     X                01     194,200   0     0
WSFS FINANCIAL CORP                  Com      929328102        2,499        239,400     X                01     239,400   0     0
WACHOVIA CORP                        Com      929771103       43,122        794,873     X                01     794,873   0     0
WADDELL & REED FINANCIAL CL A        Com      930059100       19,687        600,000     X                01     600,000   0     0
WAL-MART STORES INC                  Com      931142103       64,920      1,126,597     X                01   1,126,597   0     0
WALGREEN CO                          Com      931422109        2,458         76,378     X                01      76,378   0     0
WARREN BANCORP INC                   Com      934710104        1,336        187,500     X                01     187,500   0     0
WASHINGTON FEDERAL, INC.             Com      938824109       20,147      1,103,964     X                01   1,103,964   0     0
WASHINGTON MUTUAL INC                Com      939322103      103,266      3,576,316     X                01   3,576,316   0     0
WASTE MANAGEMENT INC                 Com      94106L109       37,935      1,996,591     X                01   1,996,591   0     0
WASTE SYSTEMS INTERNATIONAL          Com      94106P209        1,415        808,715     X                01     808,715   0     0
WASTE SYSTEMS  8% CONVERTIBLE        PFD      94106P977        2,450          9,246     X                01       9,246   0     0
WATERS CORP                          Com      941848103       20,328        162,870     X                01     162,870   0     0
WATSON PHARMACEUTICAL INC            Com      942683103          570         10,611     X                01      10,611   0     0
WEATHERFORD INTERNATIONAL            Com      947074100        4,260        107,010     X                01     107,010   0     0
WEBSTER FINANCIAL CORP               Com      947890109        7,657        345,110     X                01     345,110   0     0
WEBTRENDS CORP                       Com      94844D104       13,599        351,500     X                01     351,500   0     0
WEBVAN GROUP INC                     Com      94845V103        3,641        500,000     X                01     500,000   0     0
WELLPOINT HEALTH NETWORKS            Com      94973H108        6,830         94,293     X                01      94,293   0     0
WELLS FARGO & CO                     Com      949746101      189,041      4,878,468     X                01   4,878,468   0     0
WEST COAST BANCORP                   Com      952145100        2,378        237,803     X                01     237,803   0     0
WESTAMERICA BANCORP                  Com      957090103       18,694        715,575     X                01     715,575   0     0
WESTERFED FINANCIAL CORP             Com      957550106        1,461        101,162     X                01     101,162   0     0
WESTERN DIGITAL                      Com      958102105       18,518      3,703,565     X                01   3,703,565   0     0
WESTERN RESOURCES INC                Com      959425109        7,060        455,500     X                01     455,500   0     0
WESTERN WIRELESS CORP - CL A         Com      95988E204        7,071        129,740     X                01     129,740   0     0
WESTWIND MEDIA.COM                   Com      9617549A8        1,250        500,000     X                01     500,000   0     0
WESTWOOD ONE, INC                    Com      961815107       18,691        547,712     X                01     547,712   0     0
WHITNEY HOLDING CORP                 Com      966612103       21,528        629,700     X                01     629,700   0     0
WHOLEFOODS MARKET INC                Com      966837106       18,686        452,300     X                01     452,300   0     0
WILLAMETTE INDS                      Com      969133107        3,300        121,101     X                01     121,101   0     0
WILMINGTON TRUST CORP                Com      971807102        5,344        125,000     X                01     125,000   0     0
WINBOND ELECTRS CORP                 DR       972657100        1,458         51,163     X                01      51,163   0     0
WIND RIVER SYSTEMS                   Com      973149107       48,646      1,284,375     X                01   1,284,375   0     0
WINK COMMUNICATIONS                  Com      974168106       21,612        708,600     X                01     708,600   0     0
WINSTAR COMMUNICATIONS INC COM       Com      975515107       11,862        350,170     X                01     350,170   0     0
WORLD ACCESS INC                     Com      98141A101          341         30,792     X                01      30,792   0     0
WORLD ACCESS INC.                    PFD      98141A994          886          1,265     X                01       1,265   0     0
WORLDCOM INC.                        Com      98157D106       27,061        589,894     X                01     589,894   0     0
XM SATELLITE RADIO HOLDINGS          Com      983759101       20,008        534,450     X                01     534,450   0     0
XILINX INC                           Com      983919101       17,315        209,723     X                01     209,723   0     0
XEROX CORP.                          Com      984121103       13,353        643,516     X                01     643,516   0     0
XPEDIOR INC                          Com      98413B100        4,811        348,300     X                01     348,300   0     0
YAHOO! INC                           Com      984332106       17,737        143,188     X                01     143,188   0     0
YARDVILLE NATIONAL BANCORP           Com      985021104        1,991        187,400     X                01     187,400   0     0
YOUTHSTREAM MEDIA NETWORKS
 INCCOMMON STOCK                     Com      987819109        3,550        631,050     X                01     631,050   0     0
ZEBRA TECHNOLOGIES CORP-CL A         Com      989207105        6,860        154,800     X                01     154,800   0     0
ZIONS BANCORPORATION                 Com      989701107       49,749      1,084,075     X                01   1,084,075   0     0
PACIFIC & ATLANTIC HLDGS INC         PFD      99ATLATI3          984        140,626     X                01     140,626   0     0
ACE LIMITED                          Com      G0070K103      103,169      3,684,620     X                01   3,684,620   0     0
CORECOMM LIMITED                     Com      G2422R109        9,937        509,575     X                01     509,575   0     0
GLOBAL CROSSING LTD                  Com      G3921A100       17,329        658,587     X                01     658,587   0     0
MARVELL TECHNOLOGY GROUP LTD         Com      G5876H105        1,313         23,040     X                01      23,040   0     0
TRANSOCEAN SEDCO FOREX INC           Com      G90078109        4,043         75,651     X                01      75,651   0     0
XL CAPITAL LTD                       Com      G98255105       52,896        977,286     X                01     977,286   0     0
GOMEZ ADVISORS                       PFD      GOMADV9A2        1,500        294,118     X                01     294,118   0     0
METALINK LTD                         Com      M69897102       11,942        403,100     X                01     403,100   0     0
ORCKIT COMMUNICATIONS LTD            Com      M7531S107       16,724        555,150     X                01     555,150   0     0
ASM LITHOGRAPHY HOLDING NV           Com      N07059111       41,690        944,806     X                01     944,806   0     0
CORE LABORATORIES N V COM            Com      N22717107       18,605        641,550     X                01     641,550   0     0
WINBOND ELECTRONIC CORP-GDR          DR       SS5615164          329         11,380     X                01      11,380   0     0
FLEXTRONICS INTL LTD                 Com      Y2573F102       23,470        341,690     X                01     341,690   0     0
PACIFIC CENTURY CYBERWORKS           Com      Y6801N100       19,518     10,009,000     X                01  10,009,000   0     0
                                                                         19,857,034

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