BLAIR WILLIAM & CO/IL
13F-HR, 1999-11-12
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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: Septmeber 30, 1999

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: WILLIAM BLAIR & COMPANY, L.L.C.
Address: 222 WEST ADAMS STREET
         CHICAGO, ILLINOIS 60606

13F File Number: 28-1585

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

Person Signing this Report on Behalf of Reporting Manager:

Name:     JAMES L. BARBER, JR.
Title:    PRINCIPAL AND MANAGER OF INVESTMENT MANAGEMENT SERVICES
Phone:    (312) 236-1600
Signature, Place, and Date of Signing:

/s/ James L. Barber, Jr.                     Chicago, IL, 11/11/99

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

Report Type (Check only one.):

|X|   13F HOLDINGS REPORT.

|_|   13F NOTICE.

|_|   13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:
NONE
- --------------------------------------------------------------------------------

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

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

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:        None

Form 13F Information Table Entry Total:   777

Form 13F Information Table Value Total:   $9,637,479 (thousands)

List of Other Included Managers:

 No.  13F File Number     Name

NONE

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
AAR CORP COM                     COM           000361105       632      35132 SH        Sole                   0   0          35132
ABC RAIL PRODS CORP COM          COM           000752105      1011      71564 SH        Sole                   0   0          71564
A D C TELECOMMUNICATN COM        COM           000886101     40674     969880 SH        Sole              393680   0         576200
ABM INDS INC COM                 COM           000957100     11409     449600 SH        Sole              232400   0         217200
AES CORP COM                     COM           00130H105      1364      23115 SH        Sole                   0   0          23115
APAC TELESERVICES INC            COM           00185E106        45      10700 SH        Sole                   0   0          10700
AT&T CORP COM                    COM           001957109     15490     356095 SH        Sole                7300   0         348795
AT&T CORP COM LIB GRP A          COM           001957208      4441     119006 SH        Sole                   0   0         119006
A T & T CAP CORP 8.125%          CONV          00206J308       205       8400 SH        Sole                   0   0           8400
ATMI INC COM                     COM           00207R101     13183     353300 SH        Sole              278200   0          75100
ABACUS DIRECT CORP COM           COM           002553105       810       6650 SH        Sole                   0   0           6650
ABBOTT LABS COM                  COM           002824100     80781    2201846 SH        Sole               67100   0        2134746
ABERCROMBIE & FITCH CO CL A      COM           002896207       693      20335 SH        Sole                   0   0          20335
ABGENIX INC COM                  COM           00339B107       294       7500 SH        Sole                   0   0           7500
ABN AMRO CAPITAL FDG TR I 7.6    COM           00371Q202       772      33650 SH        Sole                   0   0          33650
ACKERLEY GROUP INC COM           COM           004527107      4350     353300 SH        Sole               72000   0         281300
ACNIELSEN CORP COM               COM           004833109       283      12486 SH        Sole                   0   0          12486
ACUSON CORP COM                  COM           005113105       147      11500 SH        Sole                   0   0          11500
ACXIOM CORP COM                  COM           005125109    136589    6948874 SH        Sole             2233734   0        4709140
AEGON N V ORD AMER REG           COM           007924103       292       3373 SH        Sole                   0   0           3373
AFTERMARKET TECH CORP COM        COM           008318107       104       9900 SH        Sole                   0   0           9900
AIR PRODS & CHEMS INC COM        COM           009158106      1354      46274 SH        Sole                3000   0          43274
AIRGAS INC COM                   COM           009363102      2385     205150 SH        Sole                   0   0         205150
ALASKA AIR GROUP INC COM         COM           011659109       407      10000 SH        Sole                   0   0          10000
ALBERTO CULVER CO-CL B CONV      COM           013068101       694      30000 SH        Sole                   0   0          30000
ALBERTSONS INC COM               COM           013104104     10202     257879 SH        Sole               11350   0         246529
ALCOA INC COM                    COM           013817101       736      11860 SH        Sole                8990   0           2870
ALLEGHENY ENERGY INC COM         COM           017361106       582      18260 SH        Sole                   0   0          18260
ALLIANCE BANCORP COM             COM           01852J105       890      45366 SH        Sole                   0   0          45366
ALLIANCE CAP MGMT L P UNIT LTD   COM           018548107       430      15680 SH        Sole                   0   0          15680
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
ALLIED CAP CORP NEW              COM           01903Q108       592      26380 SH        Sole                   0   0          26380
ALLIED PRODS CORP DEL COM        COM           019411107        40      10000 SH        Sole                   0   0          10000
ALLIEDSIGNAL INC COM             COM           019512102       819      13660 SH        Sole                6830   0           6830
ALLSTATE CORP COM                COM           020002101      1277      51238 SH        Sole                1902   0          49336
ALLTEL CORP COM                  COM           020039103      1298      18438 SH        Sole                4790   0          13648
ALTERRA HEALTHCARE CORP          COM           02145K107       123      13850 SH        Sole                   0   0          13850
ALTERNATIVE RESOURCES            COM           02145R102       285      54929 SH        Sole                   0   0          54929
ALZA CORP DEL COM                COM           022615108       335       7822 SH        Sole                   0   0           7822
AMAZON COM INC COM               COM           023135106      2254      28202 SH        Sole                   0   0          28202
AMEREN CORP COM                  COM           023608102       181       4774 SH        Sole                   0   0           4774
AMERICA ONLINE INC DEL COM       COM           02364J104     87307     838988 SH        Sole               34075   0         804513
AMERICAN ECOLOGY CORP COM        COM           025533100       196      95000 SH        Sole                   0   0          95000
AMERICAN EXPRESS CO COM          COM           025816109      4611      34156 SH        Sole                7370   0          26786
AMERICAN GENERAL CORP COM        COM           026351106       984      15566 SH        Sole                6580   0           8986
AMERICAN HERIT LF INVT COM       COM           026522102       508      15998 SH        Sole                   0   0          15998
AMERICAN HOME PRODS CP COM       COM           026609107     10410     250836 SH        Sole                   0   0         250836
AMERICAN INTL GROUP COM          COM           026874107     84103     967397 SH        Sole              131978   0         835419
AMERICAN MGMT SYS INC COM        COM           027352103     21960     855950 SH        Sole              361000   0         493950
AMERUS LIFE HLDGS INC COM        COM           030732101      2076      98000 SH        Sole               87500   0          10500
AMERITECH CORP NEW COM           COM           030954101     13049     195501 SH        Sole               12270   0         183231
AMGEN INC COM                    COM           031162100     94250    1156440 SH        Sole              182280   0         972660
ANHEUSER BUSCH COS INC COM       COM           035229103     11350     162001 SH        Sole               17530   0         144471
ANTEC CORP COM                   COM           03664P105       292       5500 SH        Sole                   0   0           5500
AON CORP COM                     COM           037389103     18318     619629 SH        Sole               51561   0         568068
APPLE COMPUTER INC COM           COM           037833100       253       4000 SH        Sole                   0   0           4000
APPLIED MATLS INC COM            COM           038222105      5779      74385 SH        Sole                2170   0          72215
APPLIED PWR INC CL A             COM           038225108     48115    1584040 SH        Sole              915240   0         666800
APTARGROUP INC COM               COM           038336103      8426     315000 SH        Sole                   0   0         315000
ASPEN TECHNOLOGY INC COM         COM           045327103      1240     127100 SH        Sole               10450   0         116650
ASSOCIATED BANC CORP COM         COM           045487105       746      20629 SH        Sole                   0   0          20629
AT HOME CORP CL A                COM           045919107      2906      70135 SH        Sole                   0   0          70135
ASSOCIATES FIRST CAP CL A        COM           046008108     46983    1305088 SH        Sole              235105   0        1069983
ASTRAZENECA PLC SPONSORED ADR    COM           046353108       487      11526 SH        Sole                   0   0          11526
ATLANTIC RICHFIELD CO COM        COM           048825103      1190      13426 SH        Sole                   0   0          13426
AUTOLIV INC COM                  COM           052800109      1753      46582 SH        Sole                   0   0          46582
AUTOMATIC DATA PROCESS COM       COM           053015103    232815    5217136 SH        Sole              734371   0        4481265
AUTONATION INC DEL               COM           05329W102      1122      89770 SH        Sole                   0   0          89770
AUTOZONE INC COM                 COM           053332102       549      19548 SH        Sole                   0   0          19548
AVALONBAY COMMUNITIES INC        COM           053484101      2139      63135 SH        Sole                3686   0          59449
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
AVERY DENNISON CORP COM          COM           053611109     17294     327847 SH        Sole               35500   0         292347
AWARE INC MASS COM               COM           05453N100      2042      71182 SH        Sole                   0   0          71182
BAB HOLDINGS INC                 COM           055176101         5      10500 SH        Sole                   0   0          10500
BEI TECHNOLOGIES                 COM           05538P104       133      11000 SH        Sole                   0   0          11000
BISYS GROUP INC COM              COM           055472104     33836     721353 SH        Sole              290075   0         431278
BP AMOCO P L C SPONSORED ADR     COM           055622104      7241      65345 SH        Sole                   0   0          65345
BMC SOFTWARE INC COM             COM           055921100     63037     880865 SH        Sole              290385   0         589480
BANC ONE CORP COM                COM           059438101      4160     119488 SH        Sole                   0   0         119488
BANK OF AMERICA CORP COM         COM           060505104      4426      79487 SH        Sole                4500   0          74287
BANK NEW YORK INC COM            COM           064057102       543      16240 SH        Sole                   0   0          16240
BANK ONE CORP COM                COM           06423A103      4080     117187 SH        Sole                   0   0         117187
BANK OF AMER CORP                COM           06605F102      1222      21943 SH        Sole                   0   0          21943
BANTA CORP COM                   COM           066821109       215       9625 SH        Sole                   0   0           9625
BARRICK GOLD CORP                COM           067901108       411      18902 SH        Sole                   0   0          18902
BARNETT INC COM                  COM           068062108      1563     170150 SH        Sole               57000   0         113150
BAXTER INTL INC COM              COM           071813109     34180     567306 SH        Sole              109997   0         456309
BAYLAKE CORP COM                 COM           072788102       201       5084 SH        Sole                   0   0           5084
BECTON DICKINSON & CO COM        COM           075887109       177       6300 SH        Sole                   0   0           6300
BED BATH & BEYOND INC COM        COM           075896100    116532    3335451 SH        Sole              912005   0        2420446
BELL ATLANTIC CORP COM           COM           077853109      5351      79492 SH        Sole               14136   0          65356
BELLSOUTH CORP COM               COM           079860102      5272     117154 SH        Sole                1600   0         115554
BERKSHIRE HATHAWAY INC CL A      COM           084670108      4620         84 SH        Sole                   0   0             84
BERKSHIRE HATHAWAY INC CL B      COM           084670207      1520        819 SH        Sole                   0   0            819
BEST BUY INC COM                 COM           086516101     30214     487329 SH        Sole                   0   0         487329
BEST SOFTWARE INC COM            COM           086579109      6356     321844 SH        Sole               18500   0         303344
BESTFOODS COM                    COM           08658U101      1777      36587 SH        Sole                   0   0          36587
BEVERLY ENTERPRISE INC COM NEW   COM           087851309        45      10500 SH        Sole                   0   0          10500
BEYOND COM CORP                  COM           08860E101       405      33100 SH        Sole                   0   0          33100
BIOGEN INC COM                   COM           090597105     24131     306175 SH        Sole               70200   0         235975
BIOMET INC COM                   COM           090613100       360      13700 SH        Sole                   0   0          13700
BIO LOGIC SYS CORP COM           COM           090909102       669      90000 SH        Sole                   0   0          90000
BIOSITE DIAGNOSTICS COM          COM           090945106      7364     809775 SH        Sole                4000   0         805775
BLACK BOX CORP                   COM           091826107       821      15630 SH        Sole                   0   0          15630
BLOCK DRUG INC CL                COM           093644102       203       5654 SH        Sole                   0   0           5654
BLOCK H & R INC COM              COM           093671105     10618     244450 SH        Sole                5600   0         238850
BLYTH INDUSTRIES INC             COM           09643P108     11080     394825 SH        Sole                   0   0         394825
BOEING CO COM                    COM           097023105      1045      24530 SH        Sole                   0   0          24530
BOISE CASCADE OFFICE COM         COM           097403109     13694    1259182 SH        Sole              136300   0        1116882
BORDERS GROUP INC COM            COM           099709107      1781     121242 SH        Sole                5000   0         116242
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
BOSTON SCIENTIFIC CORP COM       COM           101137107       287      11600 SH        Sole                3630   0           7970
BOULDER BREWING CO COM           COM           101406106         0      23000 SH        Sole                   0   0          23000
BRADLEY REAL ESTATE COM          COM           104580105      1579      85939 SH        Sole                   0   0          85939
BRADY WH CO CL A                 COM           104674106       236       7374 SH        Sole                   0   0           7374
BRANDYWINE RLTY TR SH BEN INT    COM           105368203      2382     146600 SH        Sole              132000   0          14600
BRAUNS FASHIONS CORP             COM           105658108      1851     101800 SH        Sole               93400   0           8400
BRIGGS & STRATTON CORP COM       COM           109043109       263       4500 SH        Sole                3530   0            970
BRISTOL MYERS SQUIBB COM         COM           110122108     22962     340171 SH        Sole               16830   0         323341
BP AMOCO P L C SPONSORED ADR     COM           110889409      2799      25259 SH        Sole                   0   0          25259
BUCKLE INC COM                   COM           118440106      3203     185700 SH        Sole              130000   0          55700
BURLINGTON NRTHN SANTA COM       COM           12189T104       235       8553 SH        Sole                   0   0           8553
BURLINGTON RES INC COM           COM           122014103       529      14400 SH        Sole                   0   0          14400
CBT GROUP PUB LTD ADR NEW        COM           124853102       424      17225 SH        Sole                   0   0          17225
CBS CORP COM                     COM           12490K107      1007      21775 SH        Sole                   0   0          21775
C-CUBE MICROSYSTEMS              COM           125015107       226       5200 SH        Sole                   0   0           5200
CDW COMPUTER CTRS INC COM        COM           125129106     91427    1870634 SH        Sole              433400   0        1437234
CEC ENTMT INC COM                COM           125137109       269       7500 SH        Sole                   0   0           7500
CFS BANCORP INC COM              COM           12525D102       207      19800 SH        Sole               19800   0              0
C H ROBINSON WORLDWIDE COM       COM           12541W100     35835    1063750 SH        Sole              672400   0         391350
CIGNA CORP COM                   COM           125509109      1287      16550 SH        Sole                6580   0           9970
CMS ENERGY CORP COM              COM           125896100       221       6525 SH        Sole                   0   0           6525
CSG SYS INTL INC COM             COM           126349109       219       8000 SH        Sole                   0   0           8000
CENDANT CORP COM                 COM           126545102     10650     599996 SH        Sole                   0   0         599996
CVS CORP COM                     COM           126650100     77276    1893426 SH        Sole              223945   0        1669481
CADMUS COMMUNICATION COM         COM           127587103      1227     110300 SH        Sole               99800   0          10500
CALLAWAY GOLF CO COM             COM           131193104      1856     152275 SH        Sole                2400   0         149875
CAMBRIDGE TECH PTNR MA COM       COM           132524109       916      63165 SH        Sole               18900   0          44265
CAMPBELL SOUP CO COM             COM           134429109       285       7280 SH        Sole                   0   0           7280
CAPITAL ONE FINL CORP COM        COM           14040H105       468      12000 SH        Sole                   0   0          12000
CARDINAL FINL CORP COM           COM           14149F109       162      24500 SH        Sole                   0   0          24500
CARDINAL HEALTH INC COM          COM           14149Y108     65369    1199435 SH        Sole              104118   0        1095317
CARNIVAL CRUISE LINES CL A       COM           143658102     55977    1286834 SH        Sole              283170   0        1003664
CAROLINA PWR & LT CO COM         COM           144141108       335       9478 SH        Sole                   0   0           9478
CATALINA MARKETING CP COM        COM           148867104     83988     990282 SH        Sole              320568   0         669714
CATERPILLAR INC DEL COM          COM           149123101       312       5686 SH        Sole                2370   0           3316
CELL GENESYS INC COM             COM           150921104       118      15000 SH        Sole                   0   0          15000
CELESTIAL SEASONINGS COM         COM           151016102      1559      81000 SH        Sole               73800   0           7200
CELESTICA INC SUBORD VTG SHS     COM           15101Q108       170       3438 SH        Sole                   0   0           3438
CELL PATHWAYS INC NEW COM        COM           15114R101       241      25000 SH        Sole                   0   0          25000
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
CELLNET DATA SYSTEMS             COM           15115M101        41      10500 SH        Sole                   0   0          10500
CENDANT CORP COM                 COM           151313103      6390     359982 SH        Sole              200602   0         159380
CENTERPOINT PPTYS TR SH BEN IN   COM           151895109      6683     198010 SH        Sole                   0   0         198010
CENTRAL PARKING                  COM           154785109       544      18600 SH        Sole                   0   0          18600
CHARGER PETROLEUMS INC COM       COM           159613108        40      24500 SH        Sole                   0   0          24500
CHARLES RIVER ASSOCIATES         COM           159852102      4816     172775 SH        Sole               14800   0         157975
CHASE MANHATTAN NEW COM          COM           16161A108      5198      68958 SH        Sole                6950   0          62008
CHEAP TICKETS INC COM            COM           162672109     16571     511850 SH        Sole              270000   0         241850
CHEESECAKE FACTORY INC COM       COM           163072101     12048     434154 SH        Sole              106700   0         327454
CHEVRON CORPORATION COM          COM           166751107      1933      21781 SH        Sole                5370   0          16411
CHUBB CORP COM                   COM           171232101       535      10773 SH        Sole                   0   0          10773
CIENA CORP COM                   COM           171779101      1137      31150 SH        Sole                   0   0          31150
CINAR CORP LTD VTG SHS           COM           171905300      7821     258550 SH        Sole              195000   0          63550
CIRCUIT CITY STORE INC COM       COM           172737108     15153     359194 SH        Sole                   0   0         359194
CISCO SYS INC COM                COM           17275R102     65438     954430 SH        Sole               67360   0         887070
CINTAS CORP COM                  COM           172908105    123917    2143438 SH        Sole              233941   0        1909497
CITIGROUP INC COM                COM           172967101      9444     214635 SH        Sole                   0   0         214635
CLEAR CHANNEL COMMUN COM         COM           184502102     29491     369220 SH        Sole              101525   0         265695
CLEVELAND CLIFFS INC COM         COM           185896107      2032      65300 SH        Sole               59300   0           6000
CLINTRIALS RESEARCH INC          COM           188767107        65      11800 SH        Sole                   0   0          11800
CLOROX CO DEL COM                COM           189054109       911      23800 SH        Sole                5000   0          18800
COASTAL CORP COM                 COM           190441105       605      14780 SH        Sole               11560   0           3220
COCA COLA CO COM                 COM           191216100     13272     275067 SH        Sole                3800   0         271267
COEUR D ALENE MINES ID COM       COM           192108108        59      12600 SH        Sole                   0   0          12600
COLDWATER CREEK INC COM          COM           193068103       221      11075 SH        Sole                   0   0          11075
COLGATE PALMOLIVE CO COM         COM           194162103      3824      83582 SH        Sole               11940   0          71642
COLUMBIA/HCA HLTHCARE COM        COM           197677107       226      10655 SH        Sole                   0   0          10655
COMCAST CORP CL A SPL            COM           200300200      1830      45888 SH        Sole                   0   0          45888
COMDISCO INC COM                 COM           200336105      2951     152814 SH        Sole                   0   0         152814
COMERICA INC COM                 COM           200340107       415       8190 SH        Sole                   0   0           8190
COMMERCE BANCSHARES COM          COM           200525103       232       6565 SH        Sole                   0   0           6565
COMMERCIAL NET LEASE COM         COM           202218103       727      68450 SH        Sole                   0   0          68450
COMPAQ COMPUTER CORP             COM           204493100      1509      65953 SH        Sole                   0   0          65953
CONAGRA INC COM                  COM           205887102       466      20650 SH        Sole                   0   0          20650
CONCORD EFS INC COM              COM           206197105    353376   17133370 SH        Sole             2407446   0       14714924
CONMED CORP COM                  COM           207410101       729      29750 SH        Sole                   0   0          29750
CONOCO INC CL B                  COM           208251405       514      18792 SH        Sole                   0   0          18792
CONSECO INC COM                  COM           208464107       279      14686 SH        Sole                   0   0          14686
CONSOLIDATED GRAPHICS COM        COM           209341106       337       8000 SH        Sole                   0   0           8000
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
CONSTELLATION ENERGY COM         COM           210371100       324      11512 SH        Sole                   0   0          11512
COOPER COS INC COM NEW           COM           216648402      1482      47994 SH        Sole                   0   0          47994
CORNELL CORRECTIONS COM          COM           219141108      2617     159800 SH        Sole              125200   0          34600
CORNING INC COM                  COM           219350105       418       6092 SH        Sole                   0   0           6092
CORPORATE EXPRESS INC COM        COM           219888104       110      11700 SH        Sole                   0   0          11700
CORRECTIONAL PPTYS TRUST         COM           22025E104       566      41000 SH        Sole                   0   0          41000
COSMETIC CENTER INC CL C         COM           221234305         0      10000 SH        Sole                   0   0          10000
COSTCO WHSL CORP NEW COM         COM           22160Q102      5875      81605 SH        Sole               18570   0          63035
COUNTRYWIDE CR IND DEL COM       COM           222372104       343      10650 SH        Sole                   0   0          10650
COVANCE INC COM                  COM           222816100      7428     766747 SH        Sole              108599   0         656148
COVENANT TRANS INC CL A          COM           22284P105       183      12000 SH        Sole                   0   0          12000
COX COMMUNICATIONS NEW CL A      COM           224044107       292       7001 SH        Sole                   0   0           7001
CREDIT ACCEPTANCE                COM           225310101       305      50800 SH        Sole                   0   0          50800
CYPRESS SEMICONDUCTOR COM        COM           232806109       529      24600 SH        Sole                   0   0          24600
DIY HOME WHSE INC COM            COM           23321D105        62      94500 SH        Sole                   0   0          94500
DST SYS INC DEL COM              COM           233326107      3202      56300 SH        Sole                   0   0          56300
DAISYTEK INTL CORP COM           COM           234053106      5944     422656 SH        Sole               35200   0         387456
DALLAS SEMICONDUCTOR COM         COM           235204104     38400     718600 SH        Sole              360900   0         357700
DANAHER CORP DEL COM             COM           235851102     50292     954535 SH        Sole              285702   0         666833
DAUPHIN TECHNOLOGY INC COM       COM           238326102         7      10000 SH        Sole                   0   0          10000
DAY RUNNER INC COM               COM           239545106      5968     712580 SH        Sole              396250   0         316330
DAYTON HUDSON CORP COM           COM           239753106     17058     284009 SH        Sole               51880   0         231129
DEAN FOODS CO COM                COM           242361103      1601      36750 SH        Sole                   0   0          36750
MORGAN S D WITTER DISC COM NEW   COM           24240V101      2112      23680 SH        Sole                   0   0          23680
DELL COMPUTER CORP COM           COM           247025109      3183      76135 SH        Sole               20550   0          55585
DELTEK SYS INC COM               COM           24785A108     59894    3657611 SH        Sole              774055   0        2881556
DELUXE CORP COM                  COM           248019101       241       7080 SH        Sole                1370   0           5710
DENDRITE INTL INC COM            COM           248239105     14964     316700 SH        Sole              223500   0          93200
DENISON INTERNATIONAL            COM           248335101       754      64900 SH        Sole               59000   0           5900
DENTSPLY INTL INC NEW COM        COM           249030107       284      12500 SH        Sole                   0   0          12500
DEVRY INC DEL COM                COM           251893103     28264    1413200 SH        Sole              767700   0         644500
WALT DISNEY CO COM               COM           254687106     19073     733601 SH        Sole               24450   0         709151
DOCUCORP INTL INC COM            COM           255911109       130      20424 SH        Sole                   0   0          20424
DOLLAR TREE STORES COM           COM           256747106      7150     179037 SH        Sole                   0   0         179037
DOMINION RES INC VA COM          COM           257470104       545      12068 SH        Sole                   0   0          12068
DONCASTERS PLC SPONSORED ADR     COM           257692103      1022      85200 SH        Sole               77300   0           7900
DONNELLEY R R & SONS COM         COM           257867101      9066     313974 SH        Sole                1500   0         312474
DORSEY TRAILERS INC COM          COM           258440106        40      20000 SH        Sole                   0   0          20000
DOUBLECLICK INC COM              COM           258609304       574       4815 SH        Sole                   0   0           4815
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
DOVER CORP COM                   COM           260003108       469      11480 SH        Sole                5570   0           5910
DOW CHEM CO COM                  COM           260543103      1050       9239 SH        Sole                3430   0           5809
DOW JONES & CO INC COM           COM           260561105       775      14525 SH        Sole                   0   0          14525
DU PONT E I DE NEMOURS COM       COM           263534109      4099      67749 SH        Sole                   0   0          67749
DUKE POWER CO COM                COM           264399106      1016      18434 SH        Sole                   0   0          18434
DUN & BRADSTREET CORP COM        COM           26483B106      6530     218583 SH        Sole                7600   0         210983
DURA PHARMACEUTICALS COM         COM           26632S109      1341      96250 SH        Sole               30000   0          66250
DYNAMEX INC                      COM           26784F103       143      65250 SH        Sole                   0   0          65250
E M C CORP MASS COM              COM           268648102     22737     318543 SH        Sole               10100   0         308443
EMS TECHNOLOGIES INC COM         COM           26873N108      1608     134000 SH        Sole              121200   0          12800
EAGLE USA AIRFREIGHT COM         COM           270018104      1010      33750 SH        Sole                   0   0          33750
EASTMAN KODAK CO COM             COM           277461109       264       3488 SH        Sole                   0   0           3488
EATON CORP COM                   COM           278058102      3693      42786 SH        Sole                3300   0          39486
EBAY INC COM                     COM           278642103      2136      15140 SH        Sole                   0   0          15140
ECO SOIL SYS INC COM             COM           278858105       165      23800 SH        Sole                   0   0          23800
ECOLAB INC COM                   COM           278865100       453      13275 SH        Sole                   0   0          13275
EDUCATION MGMT CORP COM          COM           28139T101     20788    1679850 SH        Sole              733050   0         946800
J D EDWARDS & CO COM             COM           281667105       213      10300 SH        Sole                   0   0          10300
EINSTEIN/NOAH BAGEL COM          COM           282577105        42      55338 SH        Sole                   0   0          55338
EL PASO ENERGY CORP              COM           283695872       338       8388 SH        Sole                   0   0           8388
EL PASO ENERGY CP DEL COM        COM           283905107      1313      32610 SH        Sole                   0   0          32610
ELAN PLC ADR                     COM           284131208    139684    4161925 SH        Sole              676850   0        3484215
ELECTRONIC ARTS INC COM          COM           285512109     53974     745752 SH        Sole              272575   0         473177
ELECTRONIC DATA SYS NW COM       COM           285661104       278       5248 SH        Sole                   0   0           5248
ELECTRONICS FOR IMAGNG           COM           286082102      7478     145466 SH        Sole                   0   0         145466
EMERSON ELEC CO COM              COM           291011104     23666     374535 SH        Sole               68250   0         306285
ENRON CORP COM                   COM           293561106      1849      45028 SH        Sole               14790   0          30238
EPITOPE INC COM                  COM           294261102       103      15300 SH        Sole                   0   0          15300
EQUITY OFFICE PPTYS TR PFD SER   COM           294741608       289      11904 SH        Sole                   0   0          11904
EQUITY ONE INC                   COM           294752100      1890     176800 SH        Sole              161200   0          15600
EQUITY RESIDENT PPTYS SH BEN I   COM           29476L107       402       9480 SH        Sole                   0   0           9480
ERICSSON L M TEL CO ADR CL B S   COM           294821400      1398      44725 SH        Sole                   0   0          44725
EXCHANGE APPLICATIONS COM        COM           300867108       247       8500 SH        Sole                   0   0           8500
EXPRESS SCRIPTS INC. CL A        COM           302182100      9155     117000 SH        Sole               90900   0          26100
EXTENDED STAY AMER INC COM       COM           30224P101        93      10300 SH        Sole                   0   0          10300
EXXON CORP COM                   COM           302290101     13834     182022 SH        Sole               24080   0         157942
FPL GROUP INC COM                COM           302571104       732      14527 SH        Sole                   0   0          14527
F Y I INC COM                    COM           302712104       505      15000 SH        Sole                4900   0          10100
FACTORY 2-U INC                  COM           303072102       391      13102 SH        Sole                   0   0          13102
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
FASTENAL CO COM                  COM           311900104     76259    1618221 SH        Sole              383785   0        1234436
FASTLANE INTL ENTERPRS COM NO    COM           311902407         1      19000 SH        Sole                   0   0          19000
FDX CORP COM                     COM           31304N107       343       8820 SH        Sole                2370   0           6450
FEDDERS CORP COM                 COM           313135105        70      11700 SH        Sole                   0   0          11700
FEDDERS CORP CL A                COM           313135303        78      15705 SH        Sole                   0   0          15705
FEDERAL HOME LN MTG CP COM       COM           313400301     85197    1638388 SH        Sole              212105   0        1426283
FEDERAL NATL MTG ASSN COM        COM           313586109     12074     192608 SH        Sole                2500   0         190108
FEDERATED DEPARTMENT STORES IN   COM           31410H101       244       5590 SH        Sole                4410   0           1180
FIFTH THIRD BANCORP COM          COM           316773100      1184      19448 SH        Sole                   0   0          19448
FINGERMATRIX INC COM NEW         COM           317929107         9      31437 SH        Sole                   0   0          31437
FIRST CONSULTING GROUP COM       COM           31986R103      2772     277197 SH        Sole               13300   0         263897
FIRST DATA CORP COM              COM           319963104     68510    1561486 SH        Sole              145622   0        1414864
FIRST INDUSTRIAL RLTY COM        COM           32054K103     11199     452480 SH        Sole              332200   0         120280
FIRST MIDWEST BANCORP COM        COM           320867104       211       5527 SH        Sole                   0   0           5527
FIRST HEALTH GROUP CP COM        COM           320960107      1954      87100 SH        Sole               78300   0           8800
FIRST TENN NATL CORP COM         COM           337162101       253       9000 SH        Sole                   0   0           9000
FIRSTSERVICE CORP SUB VTG SH     COM           33761N109      7338     608300 SH        Sole              428300   0         180000
COVEST BANCSHARES COM            COM           33761U103       840      61940 SH        Sole                   0   0          61940
FIRSTAR CORP WIS NEW             COM           33763V109      2494      97325 SH        Sole                   0   0          97325
FISERV INC COM                   COM           337738108     48906    1504813 SH        Sole              588662   0         915151
FLEET FINL GROUP INC COM         COM           338915101       292       7972 SH        Sole                5570   0           2402
FLORIDA PROGRESS CORP COM        COM           341109106       640      13837 SH        Sole                   0   0          13837
FORD MTR CO DEL COM              COM           345370100       934      18592 SH        Sole                6830   0          11762
FOREMOST CORP OF AMER COM        COM           345469100       422      17600 SH        Sole                   0   0          17600
FOREST LABS INC CL A             COM           345838106       379       9000 SH        Sole                   0   0           9000
FORRESTER RESH INC COM           COM           346563109      2391      61300 SH        Sole               48000   0          13300
FORTUNE BRANDS INC COM           COM           349631101       319       9900 SH        Sole                   0   0           9900
FOX ENTERTAINMENT GROUP INC CL   COM           35138T107       462      21950 SH        Sole                   0   0          21950
FRANKLIN BK N A MICH COM         COM           352456107        76      10500 SH        Sole               10500   0              0
FRANKLIN ELEC INC COM            COM           353514102       374       5674 SH        Sole                   0   0           5674
G & K SVCS INC CL A              COM           361268105      2140      52850 SH        Sole                4500   0          48350
GTE CORP COM                     COM           362320103      8063     104876 SH        Sole                7830   0          97046
GAINSCO INC COM                  COM           363127101       309      50000 SH        Sole                   0   0          50000
GALILEO INTL INC COM             COM           363547100      7789     193525 SH        Sole               15575   0         177950
GALLAHER GROUP PLC SPONSORED A   COM           363595109       256       9400 SH        Sole                   0   0           9400
GANNETT INC COM                  COM           364730101      3483      50348 SH        Sole                3830   0          46518
GAP INC DEL COM                  COM           364760108      6273     196057 SH        Sole                7050   0         189007
GARTNER GROUP INC NEW COM        COM           366651107      1419      88700 SH        Sole               30000   0          48700
GARTNER GROUP INC NEW CL B       COM           366651206       859      51459 SH        Sole                   0   0          51459
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
GAYLORD CONTAINER CORP CL A      COM           368145108       491      68873 SH        Sole                   0   0          68873
GENERAL BINDING CORP COM         COM           369154109       383      18900 SH        Sole                   0   0          18900
GENERAL CABLE DEL NEW COM        COM           369300108      5978     498200 SH        Sole              387700   0         110500
GENERAL ELEC CO COM              COM           369604103    171970    1450465 SH        Sole               64581   0        1385884
GENERAL GROWTH PPTYS COM         COM           370021107      2384      75685 SH        Sole                4400   0          71285
GENERAL MLS INC COM              COM           370334104      1850      22805 SH        Sole                4410   0          18395
GENERAL MTRS CORP COM            COM           370442105       846      13443 SH        Sole                4410   0           9033
GENESIS HEALTH VENTURS           COM           371912106        27      11200 SH        Sole                   0   0          11200
GENESYS TELECOMMN LABS COM       COM           371931106       297       6500 SH        Sole                   0   0           6500
GENUINE PARTS CO COM             COM           372460105       263       9913 SH        Sole                   0   0           9913
GENZYME CORP COM GENL DIV        COM           372917104       225       5000 SH        Sole                   0   0           5000
GEORGIA PAC CORP COM             COM           373298108       701      17330 SH        Sole                2370   0          14960
GEORGIA PAC CORP COM-TIMBER GR   COM           373298702       214       9336 SH        Sole                   0   0           9336
GILLETTE CO COM                  COM           375766102      6503     191608 SH        Sole                 800   0         190808
GLAXO WELLCOME PLC SPONSORED A   COM           37733W105       875      16815 SH        Sole                   0   0          16815
GLOBAL INDL TECH INC COM         COM           379335102       986      80500 SH        Sole               73000   0           7500
GLOBAL IMAGING SYSTEMS COM       COM           37934A100       408      27425 SH        Sole                   0   0          27425
GOLDMAN SACHS GROUP COM          COM           38141G104      7746     126985 SH        Sole                7000   0         119985
GOODYEAR TIRE & RUBR COM         COM           382550101       882      18318 SH        Sole                   0   0          18318
GRAINGER W W INC COM             COM           384802104     14957     311200 SH        Sole                2400   0         308800
GREAT LAKES CHEM CORP COM        COM           390568103       722      18970 SH        Sole                   0   0          18970
GROUP MAINTENANCE AMERICA CORP   COM           39943E107       423      33875 SH        Sole                   0   0          33875
GUIDANT CORP COM                 COM           401698105     22279     415468 SH        Sole               29800   0         385668
HCC INS HLDGS INC COM            COM           404132102     13612     809604 SH        Sole              154400   0         655204
HCR MANOR CARE INC               COM           404134108       559      32500 SH        Sole                   0   0          32500
HALLIBURTON CO COM               COM           406216101      1628      39708 SH        Sole                7830   0          31878
HANNA M A CO COM                 COM           410522106       124      10925 SH        Sole                   0   0          10925
HAPPY KIDS, INC                  COM           411391105      1519     151900 SH        Sole              137800   0          14100
HARLEY DAVIDSON INC COM          COM           412822108     37801     755080 SH        Sole              351600   0         402480
HARRIS PFD CAP CORP PFD EXCH A   COM           414567206      1042      46559 SH        Sole                   0   0          46559
HARTE HANKS COMMUNICATIONS INC   COM           416196103      8846     351200 SH        Sole              115600   0         235600
HARTFORD FINL SVCS COM           COM           416515104       471      11516 SH        Sole                7830   0           3686
HAWK CORPORATION                 COM           420089104        90      17200 SH        Sole               17200   0              0
HEALTHSOUTH CORP COM             COM           421924101      7738    1263335 SH        Sole              457519   0         803816
HEALTH MGMT ASSOC INC CL A       COM           421933102       447      57749 SH        Sole                   0   0          57749
HRPT PROPERTIES TR-SBI           COM           422169102       210      18675 SH        Sole                   0   0          18675
HEARTLAND EXPRESS INC COM        COM           422347104      7859     556402 SH        Sole              147711   0         408691
HEINZ H J CO COM                 COM           423074103       201       4675 SH        Sole                   0   0           4675
HELLER FINANCIAL INC             COM           423328103     20312     902750 SH        Sole              421000   0         480250
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
HEWLETT PACKARD CO COM           COM           428236103     48736     537032 SH        Sole               35450   0         501582
HOME DEPOT INC COM               COM           437076102    139970    2039625 SH        Sole              282315   0        1757310
HONEYWELL INC COM                COM           438506107      3548      31869 SH        Sole                2170   0          29699
HOOPER HOLMES INC COM            COM           439104100      6981     272440 SH        Sole              208100   0          64340
HOUGHTON MIFFLIN CO COM          COM           441560109       244       6000 SH        Sole                   0   0           6000
HOUSEHOLD INTL INC COM           COM           441815107     62929    1568311 SH        Sole              273325   0        1293486
HUB GROUP INC CL A               COM           443320106       282      13775 SH        Sole                 200   0          13575
HUNTER ENVIRON SVCS COM          COM           445683105         1      99990 SH        Sole                   0   0          99990
HUNTINGTON BANCSHARES COM        COM           446150104       480      18083 SH        Sole                   0   0          18083
HUSSMANN INTL INC COM            COM           448110106       459      27000 SH        Sole                   0   0          27000
HYSEQ INC COM                    COM           449163302        53      10640 SH        Sole                   0   0          10640
ICOS CORP                        COM           449295104       472      16000 SH        Sole                   0   0          16000
IMS HEALTH INC                   COM           449934108     24143    1058322 SH        Sole              189700   0         866622
IRT PPTY CO COM                  COM           450058102       615      68373 SH        Sole                   0   0          68373
ICON PUB LTD CO SPONSORED ADR    COM           45103T107       332      21050 SH        Sole                   0   0          21050
ILLINOIS TOOL WKS INC COM        COM           452308109    232054    3112216 SH        Sole              310110   0        2802106
ILLINOVA CORP COM                COM           452317100      1973      70300 SH        Sole               62900   0           7400
IMAGEMAX INC                     COM           45245V101       127      57859 SH        Sole                   0   0          57859
INFORMATION RES INC COM          COM           456905108       111      10067 SH        Sole                   0   0          10067
INNKEEPERS USA                   COM           4576J0104        91      10950 SH        Sole                   0   0          10950
INKEEPERS USA TR PFD CONV SER    COM           4576J0203      9597     564500 SH        Sole                   0   0         564500
INSURANCE AUTO AUCTION           COM           457875102       264      17766 SH        Sole                   0   0          17766
INTEL CORP COM                   COM           458140100    151545    2039297 SH        Sole              227120   0        1811577
INTELLIQUEST INFO GRP COM        COM           45816H101       848      77894 SH        Sole               17594   0          60300
INTERIM SVCS INC COM             COM           45868P100       676      41300 SH        Sole               16700   0          24600
INTERNATIONAL BUS MACH COM       COM           459200101     18037     149067 SH        Sole               25342   0         123725
INTERNATIONAL PAPER CO CAP TR    COM           460140205       398      16600 SH        Sole                   0   0          16600
INTERNATIONAL SPEEDWAY CL A      COM           460335201     16881     321150 SH        Sole               66200   0         254950
INTL TOTAL SVCS INC COM          COM           460499106        89     118600 SH        Sole              118600   0              0
INTERNET CAP GROUP INC COM       COM           46059C106       364       4140 SH        Sole                 160   0           3980
INTERPUBLIC GROUP COS COM        COM           460690100     29946     728171 SH        Sole              204050   0         524121
INTIMATE BRANDS INC CL A         COM           461156101     16357     420100 SH        Sole              265270   0         154830
INTUIT COM                       COM           461202103      9240     105411 SH        Sole               15000   0          90411
INVESTORS FINL SERVICE COM       COM           461915100      6504     189200 SH        Sole              100800   0          88400
IRON MTN INC DEL COM             COM           46284P104     75380    2225217 SH        Sole              923275   0        1301942
I2 TECHNOLOGIES INC COM          COM           465754109      1727      44500 SH        Sole               34600   0           9900
JABIL CIRCUIT INC.               COM           466313103      4425      89400 SH        Sole               55400   0          32000
JASON INC COM                    COM           471171108       122      15500 SH        Sole                   0   0          15500
JOHNSON & JOHNSON COM            COM           478160104     59867     651608 SH        Sole               52110   0         598998
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
JOHNSON CTLS INC COM             COM           478366107       220       3320 SH        Sole                2170   0           1150
JONES LANG LASALLE INC COM       COM           48020Q107      6378     395550 SH        Sole              206000   0         189550
K-SWISS INC CL A                 COM           482686102       530      16800 SH        Sole                   0   0          16800
KELLOGG CO COM                   COM           487836108      2150      57440 SH        Sole               10000   0          47440
KELLY SVCS INC CL A              COM           488152208      1474      48938 SH        Sole                   0   0          48938
KENT ELECTRS CORP COM            COM           490553104      1125      60800 SH        Sole               55900   0           4900
KEYCORP NEW COM                  COM           493267108      2031      78700 SH        Sole                3430   0          75270
KEYSPAN CORP                     COM           49337K106       290      10120 SH        Sole                   0   0          10120
KIMBERLY CLARK CORP COM          COM           494368103      5494     104147 SH        Sole                7150   0          96997
KNIGHT RIDDER INC COM            COM           499040103       330       6000 SH        Sole                   0   0           6000
KNIGHT TRANSN INC COM            COM           499064103     19824    1367170 SH        Sole              609875   0         757295
KOHLS CORP COM                   COM           500255104     60948     921701 SH        Sole               57550   0         864151
LG&E ENERGY CORP COM             COM           501917108       529      24899 SH        Sole                   0   0          24899
LSI INDS INC COM                 COM           50216C108      3253     142200 SH        Sole              128900   0          13300
LAMAR ADVERTISING CO CL A        COM           512815101      9660     195150 SH        Sole              156000   0          39150
LANDS END INC COM                COM           515086106      7141     108200 SH        Sole               68800   0          39400
LANDSTAR SYS INC COM             COM           515098101      3013      86700 SH        Sole               78700   0           8000
LANVISION SYS INC COM            COM           516555109        23      25000 SH        Sole                   0   0          25000
LASERSIGHT INC COM               COM           517924106       341      25000 SH        Sole                   0   0          25000
JONES LANG LASALLE INC COM       COM           51802H105       287      17790 SH        Sole                   0   0          17790
LASON INC COM                    COM           51808R107     28088     630750 SH        Sole              205950   0         424800
LAUDER ESTEE COS INC CL A        COM           518439104       398      10200 SH        Sole                   0   0          10200
LEADVILLE CORP COM               COM           521722108        14      39698 SH        Sole                   0   0          39698
LEGGETT & PLATT INC COM          COM           524660107      1141      57970 SH        Sole                   0   0          57970
LEVEL 3 COMMUNICTIONS COM        COM           52729N100       222       4250 SH        Sole                   0   0           4250
LEXMARK INTL GROUP INC CL A      COM           529771107       227       2820 SH        Sole                2170   0            650
LIBERTY PPTY TR SH BEN INT       COM           531172104       341      15050 SH        Sole                   0   0          15050
LILLY ELI & CO COM               COM           532457108     33328     519225 SH        Sole               41050   0         477175
LILLY INDS INC CL A              COM           532491107       201      14751 SH        Sole                   0   0          14751
LINCARE HLDGS INC COM            COM           532791100       352      13200 SH        Sole                   0   0          13200
LINCOLN NATL CORP IND COM        COM           534187109       909      24202 SH        Sole                5800   0          18402
LINEAR TECHNOLOGY CORP COM       COM           535678106     78443    1334485 SH        Sole              421945   0         910140
LITTELFUSE INC COM               COM           537008104      8595     386301 SH        Sole               74251   0         312050
LIZ CLAIBORNE COM                COM           539320101       935      30150 SH        Sole                   0   0          30150
LOUISIANA PAC CORP COM           COM           546347105       220      14084 SH        Sole                   0   0          14084
LOWES COS INC COM                COM           548661107     70280    1441640 SH        Sole              236755   0        1203385
LUCENT TECHNOLOGIES COM          COM           549463107     25492     392948 SH        Sole               25693   0         367255
LYCOS INC COM                    COM           550818108      4895      97650 SH        Sole                   0   0          97650
M & T BANK CORP                  COM           55261F104       505       1100 SH        Sole                   0   0           1100
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
MBIA INC COM                     COM           55262C100      4879     104650 SH        Sole                   0   0         104650
MBNA CORP COM                    COM           55262L100    145802    6391328 SH        Sole             1014691   0        5376637
MBNA CORP 8.25% CUM PFD SER C    COM           55263V206       321      13200 SH        Sole                   0   0          13200
MCI WORLDCOM INC GA COM          COM           55268B106     20052     278990 SH        Sole               52575   0         226115
MGIC INVT CORP WIS COM           COM           552848103       927      19420 SH        Sole                   0   0          19420
MGI PHARMA INC COM               COM           552880106       303      23300 SH        Sole                   0   0          23300
M A R C INC COM                  COM           552914103       533      37700 SH        Sole                   0   0          37700
MSC INDUSTRIAL DIRECT CL A       COM           553530106     19860    2206694 SH        Sole              804480   0        1402214
MACROVISION CORP COM             COM           555904101       311       7000 SH        Sole                   0   0           7000
MARINEMAX INC COM                COM           567908108       106      10625 SH        Sole                   0   0          10625
MARKEL CORP COM                  COM           570535104      1074       5900 SH        Sole                   0   0           5900
WHITEHALL JEWELERS               COM           570698100     11412     396951 SH        Sole                   0   0         396951
MARSH & MCLENNAN COS COM         COM           571748102      7603     110993 SH        Sole                3300   0         107693
MARSHALL & ILSLEY CORP COM       COM           571834100      1458      25556 SH        Sole                   0   0          25556
MATRIX BANCORP INC COM           COM           576819106      1896     158000 SH        Sole              146700   0          11300
MATSUSHITA ELEC INDL ADR         COM           576879209       209       1000 SH        Sole                   0   0           1000
MATTEL INC COM                   COM           577081102      7319     385180 SH        Sole              111446   0         273734
MAXIM INTEGRATED PRODS INC COM   COM           57772K101      3221      51050 SH        Sole               37000   0          14050
MAXWELL SHOE INC CL A            COM           577766108       111      12600 SH        Sole                   0   0          12600
MAXXIM MED INC COM               COM           57777G105      2929     122370 SH        Sole              113570   0           8800
MAYTAG CORP COM                  COM           578592107       316       9500 SH        Sole                   0   0           9500
MCDONALDS CORP COM               COM           580135101      6683     154525 SH        Sole                   0   0         154525
MCGRAW HILL COS INC COM          COM           580645109       848      17520 SH        Sole                   0   0          17520
MCKESSON HBOC INC                COM           581557105       238       8222 SH        Sole                   0   0           8222
MEAD CORP COM                    COM           582834107       633      18400 SH        Sole                   0   0          18400
MEDAREX INC COM                  COM           583916101       224      31500 SH        Sole                   0   0          31500
MEDE AMERICA CORP                COM           584067102      1923      83600 SH        Sole                   0   0          83600
MEDIAONE GROUP INC COM           COM           58440J104       396       5803 SH        Sole                   0   0           5803
MEDIAONE GROUP INC PFD CV SER    COM           58440J203       270       2001 SH        Sole                   0   0           2001
MEDTRONIC INC COM                COM           585055106    136364    3834465 SH        Sole              601707   0        3231758
MELLON FINANCIAL CORP            COM           585509102       559      16630 SH        Sole                   0   0          16630
MELLON FINL CORP COM             COM           58551A108     68183    2027741 SH        Sole              302400   0        1718341
MERCANTILE BANKSHARES COM        COM           587405101      1951      63075 SH        Sole                   0   0          63075
MERCER INTERNATIONAL INC         COM           588056101       225      60400 SH        Sole                   0   0          60400
MERCK & CO INC COM               COM           589331107     64842    1000455 SH        Sole               79390   0         921065
MEREDITH CORP COM                COM           589433101       705      19400 SH        Sole                   0   0          19400
MERRILL LYNCH & CO INC COM       COM           590188108       576       8550 SH        Sole                   0   0           8550
MERRILL LYNCH PFD TR V TOPRS     COM           59021K205       222       9700 SH        Sole                   0   0           9700
METAL MGMT INC COM               COM           591097100        15      10550 SH        Sole                   0   0          10550
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
METRIS COS INC COM               COM           591598107     36747    1245645 SH        Sole              372954   0         872691
METRO INFO SVCS INC COM          COM           59162P104       668      52100 SH        Sole               50800   0           1300
METTLER TOLEDO INTL COM          COM           592688105       400      13500 SH        Sole                   0   0          13500
MICHAELS STORES INC COM          COM           594087108      2159      73200 SH        Sole               66300   0           6900
MICREL INC COM                   COM           594793101     14162     326500 SH        Sole              247800   0          78700
MICROSOFT CORP COM               COM           594918104    287129    3170506 SH        Sole              335780   0        2834726
MICROSOFT CORP PFD SER A         COM           594918203       407       4045 SH        Sole                   0   0           4045
MICROSTRATEGY INC CL A           COM           594972101       516       9200 SH        Sole                   0   0           9200
MICROCHIP TECHNOLOGY COM         COM           595017104     28044     545860 SH        Sole              300750   0         245110
MICRON TECHNOLOGY INC COM        COM           595112103      2081      31300 SH        Sole                   0   0          31300
MIIX GROUP INC COM               COM           59862V104       877      51800 SH        Sole               46800   0           5000
MILACRON INC COM                 COM           598709103       765      43100 SH        Sole               38700   0           4400
MINERALS TECHNOLOGIES COM        COM           603158106     52282    1076599 SH        Sole              215885   0         860714
MINNESOTA MNG & MFG CO COM       COM           604059105      7094      73841 SH        Sole                4540   0          69301
MIRAGE RESORTS INC COM           COM           60462E104       160      11400 SH        Sole                   0   0          11400
MOBIL CORP COM                   COM           607059102      5062      50250 SH        Sole                8990   0          41260
MOLEX INC COM                    COM           608554101     39118    1075409 SH        Sole               52817   0        1022592
MOLEX INC CL A                   COM           608554200    199719    6168932 SH        Sole             1446155   0        4718777
MONACO COACH CORP COM            COM           60886R103      2852     117021 SH        Sole                   0   0         117021
MONSANTO CO COM                  COM           611662107      2486      69651 SH        Sole                2000   0          67651
MONY GROUP INC COM               COM           615337102      1793      62100 SH        Sole               55800   0           6300
MORGAN J P & CO INC COM          COM           616880100      2011      17598 SH        Sole                2170   0          15428
MORGAN STAN DEAN WITTR COM NEW   COM           617446448       814       9122 SH        Sole                   0   0           9122
MOTOROLA INC COM                 COM           620076109      7279      82715 SH        Sole                   0   0          82715
MUTUAL RISK MGMT LTD COM         COM           628351108      4149     338740 SH        Sole               43032   0         295708
NCI BUILDING SYS INC COM         COM           628852105      1573      95000 SH        Sole               86200   0           8800
NCS HEALTHCARE INC CL A          COM           628874109       121      45925 SH        Sole                   0   0          45925
NFO WORLDWIDE INC COM            COM           62910N108     10963     859849 SH        Sole              112377   0         747472
NANOPHASE TECHNOLOGIES           COM           630079101       140      71323 SH        Sole                   0   0          71323
NATIONAL CITY CORP COM           COM           635405103      9459     354448 SH        Sole                   0   0         354448
NATIONAL DATA CORP COM           COM           635621105      4184     160922 SH        Sole                   0   0         160922
NATIONAL EQUIPMENT SERVICE INC   COM           635847106       384      37650 SH        Sole                   0   0          37650
NATIONAL RESEARCH CORP COM       COM           637372103        64      20000 SH        Sole                   0   0          20000
NATIONWIDE HEALTH PPTY COM       COM           638620104       168      10100 SH        Sole                   0   0          10100
NAVISTAR INTL CORP NEW COM       COM           63934E108       213       4582 SH        Sole                3530   0           1052
NEW ENGLAND ELEC SYS COM         COM           644001109       376       7250 SH        Sole                   0   0           7250
NEW PLAN EXCEL RLTY TR COM       COM           648059103       197      11050 SH        Sole                   0   0          11050
NEW YORK TIMES CO CLASS A        COM           650111107       859      22908 SH        Sole                   0   0          22908
NEWELL RUBBERMAID CO             COM           651192106      1981      69368 SH        Sole                   0   0          69368
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
NEWELL RUBBERMAID INC            COM           651229106     11399     399100 SH        Sole               16075   0         383025
NEWSEDGE CORP COM                COM           65249Q106       122      13200 SH        Sole                   0   0          13200
NEXTEL COMMUNICATIONS CL A       COM           65332V103       420       6190 SH        Sole                4410   0           1780
NEXTHEALTH INC COM               COM           65333G105        27      30000 SH        Sole                   0   0          30000
NIELSEN MEDIA RESEARCH INC       COM           653929307      3672      98738 SH        Sole                8099   0          90639
NIKE INC CL B                    COM           654106103       728      12800 SH        Sole                   0   0          12800
NOKIA CORP SPONSORED ADR         COM           654902204      9813     109184 SH        Sole                1000   0         108184
NORFOLK SOUTHERN CORP COM        COM           655844108       443      18074 SH        Sole                   0   0          18074
NORTHN STS PWR MINN COM          COM           665772109       292      13550 SH        Sole                   0   0          13550
NORTEL NETWORKS CORP             COM           665815106       244       4790 SH        Sole                   0   0           4790
NORTHERN TR CORP COM             COM           665859104    117490    1407077 SH        Sole              265025   0        1141052
NOVA CORP GA COM                 COM           669784100     35693    1427695 SH        Sole              367445   0        1060250
NOVELLUS SYS INC COM             COM           670008101       647       9600 SH        Sole                9600   0              0
OAO TECH SOLUTIONS INC COM       COM           67082B105        34      11003 SH        Sole                   0   0          11003
OSI SYSTEMS  INC COM             COM           671044105       679     181139 SH        Sole                   0   0         181139
OAK TECHNOLOGY INC COM           COM           671802106       103      23000 SH        Sole                   0   0          23000
OFFICE DEPOT INC COM             COM           676220106     82798    7885516 SH        Sole             2217277   0        5665239
OLD KENT FINL CORP COM           COM           679833103      6006     161786 SH        Sole                   0   0         161786
OLD REP INTL CORP COM            COM           680223104       144      10000 SH        Sole                   0   0          10000
OMNICARE INC COM                 COM           681904108     28917    3004328 SH        Sole             1454554   0        1547774
OMNICOM GROUP INC COM            COM           681919106     18430     232730 SH        Sole               12000   0         220730
ONESOURCE INFORMATION SERVICES   COM           68272J106      1613     195500 SH        Sole                   0   0         195500
ORACLE SYSTEMS CORP COM          COM           68389X105     38087     837067 SH        Sole              200555   0         636512
ORCA TECHNOLOGIES INC COM        COM           685935108         4      50000 SH        Sole                   0   0          50000
O REILLY AUTOMOTIVE COM          COM           686091109     39893     837092 SH        Sole              137600   0         699492
OSHKOSH B GOSH INC CL B          COM           688222306       294       6600 SH        Sole                   0   0           6600
OSTEOTECH INC COM                COM           688582105      8544     627113 SH        Sole                   0   0         627113
OVERLAND DATA INC COM            COM           690213103      1674     322700 SH        Sole              290200   0          32500
PNC BANK CORP                    COM           693475105       347       6590 SH        Sole                4410   0           2180
PPG INDS INC COM                 COM           693506107       372       6203 SH        Sole                2070   0           4133
PACIFIC CENTY FINL CP COM        COM           694058108       780      38184 SH        Sole                   0   0          38184
PAGING NETWORK INC COM           COM           695542100       201     195324 SH        Sole                   0   0         195324
PAINE WEBBER GROUP INC COM       COM           695629105      1916      52845 SH        Sole                   0   0          52845
PAIRGAIN TECHNOLOGIES COM        COM           695934109       466      36550 SH        Sole                   0   0          36550
PAPA JOHNS INTL INC COM          COM           698813102       722      17500 SH        Sole                   0   0          17500
PARAMETRIC TECH CORP COM         COM           699173100      5322     394252 SH        Sole                   0   0         394252
PAREXEL INTL CORP COM            COM           699462107      2837     310946 SH        Sole                   0   0         310946
PARK PL ENTMT CORP COM           COM           700690100       131      10450 SH        Sole                   0   0          10450
PATTERSON DENTAL CO COM          COM           703412106     19674     396950 SH        Sole              177150   0         219800
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
PAYCHEX INC COM                  COM           704326107    152090    4456862 SH        Sole             1226385   0        3230477
PENNEY J C INC COM               COM           708160106      7939     230105 SH        Sole                   0   0         230105
PENTAIR INC COM                  COM           709631105     37228     927800 SH        Sole              418125   0         508675
PEOPLES ENERGY CORP COM          COM           711030106       234       6649 SH        Sole                   0   0           6649
PEOPLESOFT INC COM               COM           712713106       171      10075 SH        Sole                   0   0          10075
PEP BOYS MANNY MOE&JCK           COM           713278109       219      14700 SH        Sole                   0   0          14700
PEPSICO INC COM                  COM           713448108      7803     255820 SH        Sole                2000   0         253820
PERIPHONICS CORP COM             COM           714005105      6701     213552 SH        Sole                   0   0         213552
PERKINELMER INC COM              COM           714046109       615      15480 SH        Sole               12140   0           3340
PETCO ANIMAL SUPPLIES COM        COM           716016100       422      35500 SH        Sole                   0   0          35500
PETSMART INC COM                 COM           716768106      1193     321000 SH        Sole                   0   0         321000
PHARMACIA & UPJOHN INC COM       COM           716941109     15702     316417 SH        Sole               11200   0         305217
PFIZER INC COM                   COM           717081103     40469    1128038 SH        Sole               37050   0        1090988
PHARMACEUTICAL PROD COM          COM           717124101       372      27400 SH        Sole                   0   0          27400
PHILIP MORRIS COS INC COM        COM           718154107      2809      82183 SH        Sole                   0   0          82183
PHILLIPS PETE CO COM             COM           718507106       236       4845 SH        Sole                3430   0           1415
PHOTRONIC                        COM           719405102      8905     396900 SH        Sole              306850   0          90050
PHYSICIAN COMPUTER NETWORK INC   COM           71940K109         0      28000 SH        Sole                   0   0          28000
PIER 1 IMPORTS INC COM           COM           720279108      1022     155808 SH        Sole              127900   0          27908
PITNEY BOWES INC COM             COM           724479100      7477     122706 SH        Sole                   0   0         122706
PIZZA INN INC NEW                COM           725848105       135      36000 SH        Sole               36000   0              0
PLEXUS CORP COM                  COM           729132100       882      28800 SH        Sole                   0   0          28800
PORTACOM WIRELESS COM            COM           735907107         5      23850 SH        Sole                   0   0          23850
POWERTEL INC COM                 COM           73936C109      2473      44910 SH        Sole                   0   0          44910
PRAXAIR INC COM                  COM           74005P104       389       8462 SH        Sole                6580   0           1882
PRICE T ROWE & ASSOC COM         COM           741477103       592      21584 SH        Sole                   0   0          21584
PRISM FINL CORP COM              COM           74264Q108      6035     603531 SH        Sole                   0   0         603531
PROBUSINESS SERVICES COM         COM           742674104     10354     385247 SH        Sole              152700   0         232547
PROCTER & GAMBLE CO COM          COM           742718109     14970     159688 SH        Sole                9830   0         149858
PRIVATEBANCORP INC COM           COM           742962103       277      15600 SH        Sole                   0   0          15600
PROFIT RECOVERY GROUP COM        COM           743168106     12745     285608 SH        Sole                   0   0         285608
PROJECT SOFTWARE & DEV COM       COM           74339P101      2974      55586 SH        Sole                   0   0          55586
PROVIDIAN FINANCIAL CORP         COM           744061102     31292     395161 SH        Sole                   0   0         395161
PROVIDIAN FINL CORP COM          COM           74406A102      3956      49955 SH        Sole               23000   0          26955
PUBLIC SVC ENTERPRISE COM        COM           744573106       473      12256 SH        Sole                   0   0          12256
QLT PHOTOTHERAPEUTICS COM        COM           746927102       229       3000 SH        Sole                   0   0           3000
QUAKER OATS CO COM               COM           747402105      4215      68124 SH        Sole                   0   0          68124
QUALCOMM INC COM                 COM           747525103       518       2740 SH        Sole                   0   0           2740
QUICKSILVER ENTERPRISES INC      COM           74838B306         0      26725 SH        Sole                   0   0          26725
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
QUINTILES TRANSNATIONL COM       COM           748767100     10046     527882 SH        Sole               99400   0         428482
QUORUM HEALTH GRP INC COM        COM           749084109      2096     298050 SH        Sole              270550   0          27500
QWEST COMMUNICATIONS COM         COM           749121109      2793      94466 SH        Sole                   0   0          94466
R.H. DONNELLEY CORP              COM           74955W307       426      22876 SH        Sole                   0   0          22876
RWD TECHNOLOGIES INC COM         COM           74975B101      4697     596500 SH        Sole              157500   0         439000
RACING CHAMPIONS CORP COM        COM           750069106        97      17000 SH        Sole                4000   0          13000
RALSTON PURINA CO COM RAL-PUR    COM           751277302       251       9000 SH        Sole                   0   0           9000
RAYOVAC CORP COM                 COM           755081106      6920     320000 SH        Sole              241800   0          78200
RAYTHEON CO CL B                 COM           755111408      1735      34980 SH        Sole                   0   0          34980
REAL NETWORKS                    COM           75605L104       251       2400 SH        Sole                   0   0           2400
REGIS CORP MINN COM              COM           758932107     10835     562850 SH        Sole              423950   0         138900
RELIANT ENERGY INC COM           COM           75952J108       211       7797 SH        Sole                   0   0           7797
REMEDY CORP COM                  COM           759548100       241       8500 SH        Sole                   0   0           8500
REPSOL S A SPONSORED ADR         COM           76026T205      4760     238770 SH        Sole                   0   0         238770
RESMED INC COM                   COM           761152107     54823    1655010 SH        Sole              417700   0        1237310
REUTERS HOLDING PLC ADR B        COM           76132M102       999      24545 SH        Sole                   0   0          24545
RITCHIE BROS AUCTION COM         COM           767744105      5324     140100 SH        Sole               97000   0          43100
ROBERT HALF INTL INC COM         COM           770323103     13581     571806 SH        Sole              110800   0         461006
ROCKWELL INTL CORP NEW COM       COM           773903109       475       9055 SH        Sole                4540   0           4515
ROYAL DUTCH PETE CO NY REG GLD   COM           780257705       825      13964 SH        Sole                   0   0          13964
ROYAL DUTCH PETE CO NY REG GLD   COM           780257804      5280      89398 SH        Sole                   0   0          89398
RURAL / METRO CORP COM           COM           781748108        78      11830 SH        Sole                   0   0          11830
RUSS BERRIE & CO COM             COM           782233100       907      43300 SH        Sole               39400   0           3900
SBC COMMUNICATIONS INC COM       COM           78387G103      6147     120382 SH        Sole               11242   0         109140
SCP POOL CORP COM                COM           784028102      3262     138811 SH        Sole                   0   0         138811
SCPIE HLDGS INC COM              COM           78402P104      4690     148900 SH        Sole              135200   0          13700
S L INDS INC COM                 COM           784413106       150      10500 SH        Sole                   0   0          10500
SMC CORP COM                     COM           784460107        72      20100 SH        Sole                   0   0          20100
SPDR TR UNIT SER 2               COM           78462F103       212       1646 SH        Sole                   0   0           1646
STB SYS INC COM                  COM           784741100         0      12250 SH        Sole                   0   0          12250
SAFEGUARD SCIENTIFICS COM        COM           786449108     19518     287032 SH        Sole                1600   0         285432
SAFESKIN CORP COM                COM           786454108       160      19500 SH        Sole                   0   0          19500
SAFETY KLEEN CORP COM            COM           78648R104       363      30100 SH        Sole                   0   0          30100
SAFEWAY INC COM NEW              COM           786514208       293       7690 SH        Sole                   0   0           7690
SANFILLIPPO JOHN B SON COM       COM           800422107        43      14800 SH        Sole                   0   0          14800
SARA LEE CORP COM                COM           803111103      5655     241965 SH        Sole               20000   0         221965
SAUL CTRS INC COM                COM           804395101       205      13000 SH        Sole                   0   0          13000
SCANSOURCE, INC                  COM           806037107      3615     129710 SH        Sole               21300   0         108410
SCHEIN HENRY INC COM             COM           806407102      2428     170373 SH        Sole                   0   0         170373
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
SCHERING PLOUGH CORP COM         COM           806605101     17695     405623 SH        Sole                1600   0         404023
SCHLUMBERGER LTD COM             COM           806857108     18316     293937 SH        Sole               37025   0         256912
SCHWAB CHARLES CP NEW COM        COM           808513105     11992     358637 SH        Sole                3000   0         355637
SCIENTIFIC ATLANTA INC COM       COM           808655104       500      10080 SH        Sole                7930   0           2150
SEACHANGE INTL INC COM           COM           811699107       230      14500 SH        Sole                   0   0          14500
SEACOAST FINANCIAL SERVICES CO   COM           81170Q106      1942     194200 SH        Sole              176700   0          17500
SEAGATE TECHNOLOGY COM           COM           811804103       356      11625 SH        Sole                   0   0          11625
JOS E SEGRAM & SONS INC SR QTL   COM           811845205       208       8800 SH        Sole                   0   0           8800
SEARS ROEBUCK & CO COM           COM           812387108       815      25971 SH        Sole                   0   0          25971
SEEBURG CORP                     COM           815714100         0      10000 SH        Sole                   0   0          10000
SEPRACOR INC COM                 COM           817315104       242       3200 SH        Sole                   0   0           3200
SERVICEMASTER CO COM             COM           81760N109     55497    3455094 SH        Sole              176618   0        3277476
SHARED MED SYS CORP COM          COM           819486101    136519    2920200 SH        Sole              693670   0        2224530
SHELL TRANS&TRAD PLC NEW YRK S   COM           822703609       554      12170 SH        Sole                   0   0          12170
SHERWIN WILLIAMS CO COM          COM           824348106       660      31516 SH        Sole                   0   0          31516
SHOE CARNIVAL INC COM            COM           824889109       196      17700 SH        Sole                8200   0           9500
SICOR INC COM                    COM           825846108       159      40100 SH        Sole               40100   0              0
SIERRA HEALTH SVCS INC COM       COM           826322109      1001      98900 SH        Sole               89800   0           9100
SIGMA ALDRICH CORP COM           COM           826552101       610      19200 SH        Sole                   0   0          19200
SMITH-GARDNER & ASSOCS COM       COM           832059109      1770     226500 SH        Sole              178800   0          47700
SMITHKLINE BEECHAM PLC ADR REP   COM           832378301     15549     269820 SH        Sole               44250   0         225570
SOLECTRON CORP COM               COM           834182107     51286     714168 SH        Sole              161500   0         551668
SONIC CORP COM                   COM           835451105      6680     219450 SH        Sole              163100   0          56350
SOUTHERN CO COM                  COM           842587107       885      34360 SH        Sole                   0   0          34360
SOUTHWEST AIRLS CO COM           COM           844741108       518      34115 SH        Sole                5120   0          28995
SPARTECH CORP COM NEW            COM           847220209      7527     256800 SH        Sole              202400   0          54400
SPEEDWAY MOTORSPORTS COM         COM           847788106     14891     343800 SH        Sole              245600   0          98200
SPIROS DEV II / DURA UNIT EX 2   COM           848935201      1195     170745 SH        Sole                   0   0         170745
SPRINT CORP COM                  COM           852061100      1852      34138 SH        Sole                5370   0          28768
SPRINT CORP PCS COM SER 2        COM           852061506      9112     122212 SH        Sole                   0   0         122212
SPYGLASS INC COM                 COM           852192103      3603     288275 SH        Sole                   0   0         288275
STAPLES INC COM                  COM           855030102     32453    1487835 SH        Sole              316788   0        1171047
STARBUCKS CORP COM               COM           855244109     55873    2254654 SH        Sole              131650   0        2123004
STATE STR CORP COM               COM           857477103    129949    2010814 SH        Sole              432420   0        1576894
STEEL TECHNOLOGIES INC COM       COM           858147101       253      21800 SH        Sole               21800   0              0
STERICYCLE INC COM               COM           858912108       243      16550 SH        Sole                   0   0          16550
STERLING COMMERCE INC            COM           859205106     48606    2618480 SH        Sole              807055   0        1796425
STONERIDGE INC COM               COM           86183P102      1996     114900 SH        Sole              104600   0          10300
STRYKER CORP COM                 COM           863667101      4953      96885 SH        Sole                   0   0          96885
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
SUCCESS BANCSHARES INC COM       COM           864578109       172      16000 SH        Sole                   0   0          16000
SUIZA FOODS CORP COM             COM           865077101      1320      35200 SH        Sole               31600   0           3600
SUN MICROSYSTEMS INC COM         COM           866810104     28932     311095 SH        Sole               12620   0         298475
SUNGLASS HUT INTL INC COM        COM           86736F106       797      75500 SH        Sole               69300   0           6200
SUNTRUST BKS INC COM             COM           867914103      2015      30648 SH        Sole                2500   0          28148
SUPERIOR CONSULT HLDGS COM       COM           868146101      1237     105277 SH        Sole               45000   0          60277
SUPERVALU INC COM                COM           868536103       413      18700 SH        Sole                   0   0          18700
PLAYCORE INC                     COM           870775103       500      61564 SH        Sole                   0   0          61564
SYKES ENTERPRISES INC            COM           871237103     10660     431784 SH        Sole                   0   0         431784
SYLVAN LEARNING SYS COM          COM           871399101       266      13750 SH        Sole                   0   0          13750
SYSCO CORP COM                   COM           871829107     22724     648110 SH        Sole               79070   0         569040
SYSTEMS & COMPTR TECH COM        COM           871873105     10188     811000 SH        Sole              419600   0         391400
TCF FINL CORP COM                COM           872275102       573      20050 SH        Sole                   0   0          20050
TECO ENERGY INC COM              COM           872375100       423      20012 SH        Sole                   0   0          20012
TESSCO TECHNOLOGIES              COM           872386107       373      21941 SH        Sole                   0   0          21941
TNP ENTERPRISES INC              COM           872594106      2687      69000 SH        Sole               62700   0           6300
TELESPECTRUM WORLDWIDE           COM           87951U109      1794     302200 SH        Sole              274800   0          27400
TELLABS INC COM                  COM           879664100     99430    1746299 SH        Sole              186625   0        1559674
TEMPLE SUMMIT FINL PRO COM       COM           880022108         0      10000 SH        Sole                   0   0          10000
TENET HEALTHCARE CORP            COM           88033G100       275      15645 SH        Sole                   0   0          15645
TENNESSE VALLEY AUTH SER B       COM           880591201       720      29240 SH        Sole                   0   0          29240
TERA COMPUTER CO COM             COM           88076P108        83      20100 SH        Sole                   0   0          20100
TEXACO INC COM                   COM           881694103      1107      17543 SH        Sole                4540   0          13003
TEXAS INSTRS INC COM             COM           882508104    111966    1361290 SH        Sole              265945   0        1095345
TEXAS UTILS CO COM               COM           882848104       394      10568 SH        Sole                   0   0          10568
THOMSON CORP COM                 COM           884903105       392       9185 SH        Sole                   0   0           9185
3COM CORP COM                    COM           885535104       379      13172 SH        Sole                   0   0          13172
TIFFANY & CO NEW COM             COM           886547108      4320      72070 SH        Sole                1120   0          70950
TIME WARNER INC COM              COM           887315109      1049      17266 SH        Sole                   0   0          17266
TIMES MIRROR CO NEW COM SER A    COM           887364107       377       5727 SH        Sole                   0   0           5727
TOMAHAWK CORP COM                COM           88978C106         5      73700 SH        Sole                   0   0          73700
TOOTSIE ROLL INDS INC COM        COM           890516107      1752      53282 SH        Sole                   0   0          53282
TOYS R US INC COM                COM           892335100      1380      91975 SH        Sole                   0   0          91975
TRACTOR SUPPLY CO COM            COM           892356106       428      22500 SH        Sole                   0   0          22500
TRANSACTION SYS ARCHIT CL A      COM           893416107     43437    1612500 SH        Sole              645750   0         964250
TRANSIT GROUP INC COM            COM           893691105        42      10000 SH        Sole                   0   0          10000
TRAVELERS P&C CAPITAL PFD SEC    COM           893931204       452      18454 SH        Sole                   0   0          18454
TRAVELERS PPTY CAS CL A          COM           893939108       481      16300 SH        Sole                   0   0          16300
TRENDWEST RESORTS INC COM        COM           894917103       247       9500 SH        Sole                   0   0           9500
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
TRICON GLOBAL REST COM           COM           895953107       227       5549 SH        Sole                   0   0           5549
TRIBUNE CO NEW COM               COM           896047107     51516    1035505 SH        Sole              207205   0         828300
TRUSTMARK CORP COM               COM           898402102      1243      55237 SH        Sole                   0   0          55237
TUESDAY MORNING CORP COM NEW     COM           899035505      7078     280300 SH        Sole              219600   0          60700
TUPPERWARE CORP COM              COM           899896104       216      10660 SH        Sole                3300   0           7360
TURBOCHEF INC COM                COM           900006107       106      20000 SH        Sole                   0   0          20000
TYCO INTL LTD NEW COM            COM           902124106     14608     141483 SH        Sole                7939   0         133544
US BANCORP DEL COM               COM           902973106      8489     281237 SH        Sole                   0   0         281237
UNUMPROVIDENT CORP               COM           903192102      1074      36498 SH        Sole                   0   0          36498
U S G CORP COM NEW               COM           903293405      1776      37300 SH        Sole               33400   0           3900
U S FOODSERVICE COM              COM           90331R101     64028    3557108 SH        Sole             1273500   0        2283608
UBID HOLDINGS INC COM            COM           903469104       514      19500 SH        Sole                   0   0          19500
UNIFIRST CORP MASS COM           COM           904708104     13672     994325 SH        Sole               81425   0         912900
UNILEVER N V NEW YORK SHS        COM           904784709      2947      43252 SH        Sole                   0   0          43252
UNIGRAPHICS SOLUTIONS CL A       COM           904928108       271      10000 SH        Sole                   0   0          10000
UNION PAC CORP COM               COM           907818108       283       5879 SH        Sole                2170   0           3709
UNIONBANCAL FIN TR I CAP SECS8   COM           90905Q109       222      10000 SH        Sole                   0   0          10000
UNISYS CORP COM                  COM           909214108       678      15015 SH        Sole               11795   0           3220
UNITED COS FINL CORP COM         COM           909870107         0      25600 SH        Sole                   0   0          25600
UNITED HEALTHCARE CORP COM       COM           910581107       457       9390 SH        Sole                7050   0           2340
U S INDS INC NEW COM             COM           912080108      1128      71598 SH        Sole                   0   0          71598
U S WEST INC NEW COM             COM           91273H101       234       4093 SH        Sole                   0   0           4093
U S WEST INC NEW                 COM           912889102       584      10238 SH        Sole                   0   0          10238
MEDIAONE GROUP INC               COM           912889201      3581      52418 SH        Sole                   0   0          52418
U S TR CORP NEW COM              COM           91288L105      1122      13960 SH        Sole                   0   0          13960
UNITED STATIONERS INC COM        COM           913004107      1850      86800 SH        Sole               77900   0           8900
UNITED TECHNOLOGIES CP COM       COM           913017109       707      11918 SH        Sole                6380   0           5538
UNIVERSAL CORP VA COM            COM           913456109       455      17400 SH        Sole                   0   0          17400
UNIVISION COMMUNICATNS CL A      COM           914906102     16822     206725 SH        Sole               74925   0         131220
USFREIGHTWAYS CORP COM           COM           916906100     83962    1772270 SH        Sole              774230   0         997040
USWEB CORP COM                   COM           917327108     17623     513599 SH        Sole              271800   0         241799
VALSPAR CORP COM                 COM           920355104      1327      40600 SH        Sole                   0   0          40600
VARIAN MEDICAL SYSTEMS INC       COM           922204102       201       9175 SH        Sole                   0   0           9175
VASOMEDICAL INC COM              COM           922321104        16      14466 SH        Sole                   0   0          14466
VERTICALNET INC COM              COM           92532L107       810      21900 SH        Sole                   0   0          21900
VIACOM INC CL A                  COM           925524100       770      17797 SH        Sole                   0   0          17797
VIACOM INC CL B                  COM           925524308       182       4313 SH        Sole                   0   0           4313
VIAD CORP COM                    COM           92552R109       319      10815 SH        Sole                   0   0          10815
VICTORMAXX TECHNOLOGS COM        COM           92640P107         2      12000 SH        Sole                   0   0          12000
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
VISIO CORP COM                   COM           927914101     19700     501930 SH        Sole              264880   0         237050
VISX INC DEL COM                 COM           92844S105     32219     407344 SH        Sole               15500   0         391844
VODAFONE GROUP PLC SPONSORED A   COM           92857T107    138646     583158 SH        Sole              145525   0         437633
VOICESTREAM WIRELESS COM         COM           928615103      1217      19725 SH        Sole                   0   0          19725
VULCAN MATLS CO COM              COM           929160109      2514      68628 SH        Sole                   0   0          68628
WACHOVIA CORP COM                COM           929771103       220       2800 SH        Sole                   0   0           2800
WAL MART STORES INC COM          COM           931142103     80666    1696004 SH        Sole              101044   0        1594960
WALDEN RESIDENT PPTYS COM        COM           931210108       790      36200 SH        Sole               32300   0           3900
WALGREEN CO COM                  COM           931422109    152100    5994115 SH        Sole              505875   0        5488240
WALLACE COMPUTER SVCS COM        COM           932270101      6828     337198 SH        Sole               21600   0         315598
WARNER LAMBERT CO COM            COM           934488107      8772     132159 SH        Sole                   0   0         132159
WASHINGTON POST CO CL B          COM           939640108      2155       4225 SH        Sole                   0   0           4225
WASTE MGMT  INC DEL COM NEW      COM           94106L109       754      39180 SH        Sole                   0   0          39180
WELLS FARGO & CO NEW             COM           949746101      4397     110975 SH        Sole               13530   0          97445
WESTELL TECHNOLOGIES CL A        COM           957541105       178      21900 SH        Sole                   0   0          21900
WESTERN WIRELESS CORP CL A       COM           95988E204       894      19925 SH        Sole                   0   0          19925
WEYERHAEUSER CO COM              COM           962166104       328       5692 SH        Sole                3150   0           2542
WHIRLPOOL CORP COM               COM           963320106       461       7060 SH        Sole                4110   0           2950
WHOLE FOODS MKT INC COM          COM           966837106     28479     870407 SH        Sole              380225   0         490182
WILLIAMS COS INC DEL COM         COM           969457100       413      10979 SH        Sole                   0   0          10979
WILLIAMS SONOMA INC COM          COM           969904101     54958    1131705 SH        Sole              346120   0         784585
WILMAR INDS INC COM              COM           971426101      3948     306650 SH        Sole               37800   0         268850
WILMINGTON TRUST CORP COM        COM           971807102       228       4700 SH        Sole                   0   0           4700
WINSTON HOTELS INC COM           COM           97563A102       192      21600 SH        Sole               21600   0              0
WINTRUST FINANCIAL CORP          COM           97650W108       473      27405 SH        Sole                   0   0          27405
MCI WORLDCOM INC                 COM           98155K102     31709     441170 SH        Sole                   0   0         441170
WORTHINGTON INDS INC COM         COM           981811102      1289      75800 SH        Sole               68100   0           7700
WRIGLEY WM JR CO COM             COM           982526105      1714      24920 SH        Sole                   0   0          24920
XCL LTD - DEL                    COM           983701103        17      31000 SH        Sole                   0   0          31000
XILINX INC COM                   COM           983919101     70243    1071901 SH        Sole              309328   0         761073
XEROX CORP COM                   COM           984121103     15640     372921 SH        Sole               31130   0         341791
YAHOO INC COM                    COM           984332106      1073       5976 SH        Sole                   0   0           5976
YOUNG & RUBICAM INC              COM           987425105       599      13625 SH        Sole                   0   0          13625
ZEBRA TECHNOLOGIES CP CL A       COM           989207105     80133    1762374 SH        Sole              271600   0        1490774
ZEBRA TECHNOLOGIES CP CL B       COM           989207204     23029     506492 SH        Sole                   0   0         506492
DAIMLERCHRYSLER AG ORD           COM           D1668R123       211       3041 SH        Sole                   0   0           3041
ANNUITY & LIFE RE HLDS ORD       COM           G03910109      3070     123400 SH        Sole              110800   0          12600
GLOBAL CROSSING LTD COM          COM           G3921A100       405      15270 SH        Sole                   0   0          15270
LEISUREPLANET HLDGS ORD          COM           G54467108        85      21600 SH        Sole                   0   0          21600
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                FORM 13F INFORMATION TABLE
                                                            VALUE   SHARES/   SH/ PUT/ INVSTMT   OTHER       VOTING AUTHORITY
        NAME OF ISSUER          TITLE OF CLASS   CUSIP     (x$1000) PRN AMT   PRN CALL DSCRETN  MANAGERS   SOLE   SHARED   NONE
- ------------------------------- -------------- ----------  -------- --------  --- ---- ------- ---------- ------ --------  ------
<S>                              <C>           <C>          <C>      <C>      <C>       <C>              <C>       <C>     <C>
LORAL SPACE & COMMUNICATIONS L   COM           G56462107       897      52200 SH        Sole                   0   0          52200
VODAFONE GROUP PLC SPONSORED A   COM           G9387S105       976      41505 SH        Sole                   0   0          41505
CORE LABORATORIES                COM           N22717107      5798     309200 SH        Sole               60400   0         248800
STEINER LEISURE LTD ORD          COM           P8744Y102     19646     785840 SH        Sole              411350   0         374490
ROYAL CARIBBEAN CRUISE COM       COM           V7780T103     58492    1299835 SH        Sole              498895   0         800440
SWEDISH EXPORT CREDIT CORP 7.3   COM           W92947246       201       8700 SH        Sole                   0   0           8700
                                             Grand Total   9637479  264109087           Sole            59806904   0       2.04E+08
REPORT SUMMARY                                    562 DATA RECORDS    2045686  0      OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>



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