COLUMBIA FUNDS MANAGEMENT CO
13F-HR, 2000-11-09
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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:  9-30-00

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:           Columbia Funds Management Company
Address:        1300 S.W. Sixth, P.O. Box 1350
                Portland, OR  97207

Form 13F File Number:  28-04157

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:           Jeff B. Curtis
Title:          President
Phone:          (503) 795-6441


     JEFF B. CURTIS                   Portland, OR           November 9, 2000
     -------------------------
     Jeff B. Curtis

<PAGE>
Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:

(If there are no entries in this list, omit this section)

Form 13F File Number                 Name

28-04161                             Columbia Trust Company




<PAGE>

                              Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                        3

Form 13F Information Table Entry Total:                   295

Form 13F Information Table Value Total:                   $5,885,964
                                                          ----------
                                                          (thousands)

List of Other Included Managers:

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


No.      Form 13F File Number          Name

01       28-452                        FleetBoston Financial Corporation

02       28-453                        Fleet National Bank

03       28-00297                      Columbia Management Company


<PAGE>
<TABLE>
<CAPTION>
                                                                          SH/P  AMT
NAME OF ISSUER              TITLE OF CLASS        CUSIP  VALUE(K)          S/P  P/C  INV DSC    MANAGERS   SOLE      SHARED NONE
<S>                         <C>               <C>        <C>        <C>          <C> <C>        <C>        <C>        <C>   <C>
A D C TELECOMMUNICATIONS    COMMON               886101       9006       334900  SH  DEF. OTHER 01,02,03    334900     0     0
AES CORP                    COMMON            00130H105      22064       322100  SH  DEF. OTHER 01,02,03    322100     0     0
AMB PROPERTY CORP           COMMON            00163T109       7352       299300  SH  DEF. OTHER 01,02,03    299300     0     0
AT&T CORP                   COMMON              1957109      19723       671431  SH  DEF. OTHER 01,02,03    671431     0     0
AT&T LIBERTY MEDIA GROUP    COM                 1957208      36111      2006192  SH  DEF. OTHER 01,02,03   2006192     0     0
ACXIOM CORP                 COMMON              5125109      20072       632200  SH  DEF. OTHER 01,02,03    632200     0     0
ADAPTIVE BROADBAND CORP     COMMON            00650M104       3719       190700  SH  DEF. OTHER 01,02,03    190700     0     0
ADEPT TECHNOLOGY INC        COMMON              6854103       4373        83200  SH  DEF. OTHER 01,02,03     83200     0     0
AEROFLEX INC                COMMON              7768104       2784        57249  SH  DEF. OTHER 01,02,03     57249     0     0
ADVENT SOFTWARE INC         COMMON              7974108       5562        79600  SH  DEF. OTHER 01,02,03     79600     0     0
ALEXANDRIA REAL ESTATE E    COMMON             15271109       7212       210200  SH  DEF. OTHER 01,02,03    210200     0     0
ALKERMES INC                COMMON            01642T108       4067       105300  SH  DEF. OTHER 01,02,03    105300     0     0
ALPHARMA INC                CL A               20813101      10520       172100  SH  DEF. OTHER 01,02,03    172100     0     0
ALTERA CORP                 COMMON             21441100      35108       735250  SH  DEF. OTHER 01,02,03    735250     0     0
ALTEON WEBSYSTEMS INC       COMMON            02145A109      16259       150000  SH  DEF. OTHER 01,02,03    150000     0     0
ALZA CORP DEL               COMMON             22615108      40387       466900  SH  DEF. OTHER 01,02,03    466900     0     0
AMERICA ONLINE INC DEL      COMMON            02364J104      55682      1035950  SH  DEF. OTHER 01,02,03   1035950     0     0
AMERICAN EXPRESS CO         COMMON             25816109      55349       911100  SH  DEF. OTHER 01,02,03    911100     0     0
AMERICAN INTL GROUP INC     COMMON             26874107     122618      1281443  SH  DEF. OTHER 01,02,03   1281443     0     0
AMERISOURCE HEALTH CORP     CL A              03071P102       6998       148900  SH  DEF. OTHER 01,02,03    148900     0     0
AMGEN INC                   COMMON             31162100      31423       450000  SH  DEF. OTHER 01,02,03    450000     0     0
AMPHENOL CORP NEW           CL A               32095101       6081       106800  SH  DEF. OTHER 01,02,03    106800     0     0
ANADARKO PETE CORP          COMMON             32511107      14967       225200  SH  DEF. OTHER 01,02,03    225200     0     0
ANDREW CORP                 COMMON             34425108       5224       199500  SH  DEF. OTHER 01,02,03    199500     0     0
ANGIOTECH PHARMACEUTICAL    COMMON             34918102       1414        35800  SH  DEF. OTHER 01,02,03     35800     0     0
ANNTAYLOR STORES CORP       COMMON             36115103       2487        64700  SH  DEF. OTHER 01,02,03     64700     0     0
APACHE CORP                 COMMON             37411105      25300       427900  SH  DEF. OTHER 01,02,03    427900     0     0
APARTMENT INVT & MGMT CO    CL A              03748R101      11400       247500  SH  DEF. OTHER 01,02,03    247500     0     0
APOLLO GROUP INC            CL A               37604105      10120       253800  SH  DEF. OTHER 01,02,03    253800     0     0
ARCHSTONE CMNTYS TR         SH BEN INT         39581103       8864       360871  SH  DEF. OTHER 01,02,03    360871     0     0
ASTEC INDS INC              COMMON             46224101       1151       105200  SH  DEF. OTHER 01,02,03    105200     0     0
ATLANTIC COAST AIRLINES     COMMON             48396105       5430       168700  SH  DEF. OTHER 01,02,03    168700     0     0
AVALONBAY CMNTYS INC        COMMON             53484101      20806       436300  SH  DEF. OTHER 01,02,03    436300     0     0
AVOCENT CORP                COMMON             53893103       8058       146180  SH  DEF. OTHER 01,02,03    146180     0     0
BJ SVCS CO                  COMMON             55482103      40291       659150  SH  DEF. OTHER 01,02,03    659150     0     0
BALLARD PWR SYS INC         COMMON            05858H104       1639        15000  SH  DEF. OTHER 01,02,03     15000     0     0
BANK NEW YORK INC           COMMON             64057102      18792       335200  SH  DEF. OTHER 01,02,03    335200     0     0
BANK UTD CORP               CL A               65412108       4395        86700  SH  DEF. OTHER 01,02,03     86700     0     0
BARR LABS INC               COMMON             68306109       5073        76500  SH  DEF. OTHER 01,02,03     76500     0     0
BEA SYS INC                 COMMON             73325102      46741       600200  SH  DEF. OTHER 01,02,03    600200     0     0
BELLSOUTH CORP              COMMON             79860102       6955       172800  SH  DEF. OTHER 01,02,03    172800     0     0
BEST BUY INC                COMMON             86516101      75491      1186500  SH  DEF. OTHER 01,02,03   1186500     0     0
BINDVIEW DEV CORP           COMMON             90327107       1804       238550  SH  DEF. OTHER 01,02,03    238550     0     0
BIOVAIL CORP                COMMON            09067J109       6564        80600  SH  DEF. OTHER 01,02,03     80600     0     0
BOSTON PROPERTIES INC       COMMON            101121101      10661       248300  SH  DEF. OTHER 01,02,03    248300     0     0
BRINKER INTL INC            COMMON            109641100       7185       238500  SH  DEF. OTHER 01,02,03    238500     0     0
BROADCOM CORP               CL A              111320107      17063        70000  SH  DEF. OTHER 01,02,03     70000     0     0
BSQUARE CORP                COMMON            11776U102        521        33600  SH  DEF. OTHER 01,02,03     33600     0     0
C COR NET CORP              COMMON            125010108       2546       166300  SH  DEF. OTHER 01,02,03    166300     0     0
CUNO INC                    COMMON            126583103       4673       210000  SH  DEF. OTHER 01,02,03    210000     0     0
CABOT INDUSTRIAL TRUST      COMMON            127072106       4380       219700  SH  DEF. OTHER 01,02,03    219700     0     0
CALIFORNIA PIZZA KITCHEN    COMMON            13054D109       3287       117400  SH  DEF. OTHER 01,02,03    117400     0     0
CALLAWAY GOLF CO            COMMON            131193104       2538       165100  SH  DEF. OTHER 01,02,03    165100     0     0
CAPITAL ONE FINL CORP       COMMON            14040H105      29107       415450  SH  DEF. OTHER 01,02,03    415450     0     0
CARDINAL HEALTH INC         COMMON            14149Y108      41413       469600  SH  DEF. OTHER 01,02,03    469600     0     0
CATELLUS DEV CORP           COMMON            149111106       6645       379700  SH  DEF. OTHER 01,02,03    379700     0     0
CELESTICA INC               COMMON            15101Q108      35640       514650  SH  DEF. OTHER 01,02,03    514650     0     0
CENTERPOINT PPTYS TR        SH BEN INT        151895109       4956       107600  SH  DEF. OTHER 01,02,03    107600     0     0
CHARTER COMMUNICATIONS I    CL A              16117M107      25251      1552400  SH  DEF. OTHER 01,02,03   1552400     0     0
CHEESECAKE FACTORY INC      COMMON            163072101       3869        89450  SH  DEF. OTHER 01,02,03     89450     0     0
<PAGE>

                                                                          SH/P  AMT
NAME OF ISSUER              TITLE OF CLASS        CUSIP  VALUE(K)          S/P  P/C  INV DSC    MANAGERS   SOLE    SHARED NONE

CHIRON CORP                 COMMON            170040109       9054       201200  SH  DEF. OTHER 01,02,03    201200     0     0
CIENA CORP                  COMMON            171779101      53743       437600  SH  DEF. OTHER 01,02,03    437600     0     0
CIPHERGEN BIOSYSTEMS INC    COMMON            17252Y104        682        21300  SH  DEF. OTHER 01,02,03     21300     0     0
CIRCUIT CITY STORE INC      COMMON            172737108      10649       463000  SH  DEF. OTHER 01,02,03    463000     0     0
CISCO SYS INC               COMMON            17275R102     141713      2564936  SH  DEF. OTHER 01,02,03   2564936     0     0
CITADEL COMMUNICATIONS C    COMMON            172853202       2324       136700  SH  DEF. OTHER 01,02,03    136700     0     0
CITIGROUP INC               COMMON            172967101     140966      2607466  SH  DEF. OTHER 01,02,03   2607466     0     0
CLARUS CORP                 COMMON            182707109       1250        54800  SH  DEF. OTHER 01,02,03     54800     0     0
CLEAR CHANNEL COMMUNICAT    COMMON            184502102       8615       152481  SH  DEF. OTHER 01,02,03    152481     0     0
COASTAL CORP                COMMON            190441105      15941       215050  SH  DEF. OTHER 01,02,03    215050     0     0
COFLEXIP                    DEPOSITORY RECEI  192384105       2285        36700  SH  DEF. OTHER 01,02,03     36700     0     0
CIENA CORP                  PUT  OPT JAN      1C399W9M5      17950       200000  SH  DEF. OTHER 01,02,03    200000     0     0
COMCAST CORP                CL A SPL          200300200      19282       471000  SH  DEF. OTHER 01,02,03    471000     0     0
COMMERCE ONE INC DEL        COMMON            200693109       6971        88800  SH  DEF. OTHER 01,02,03     88800     0     0
COMMSCOPE INC               COMMON            203372107        637        26000  SH  DEF. OTHER 01,02,03     26000     0     0
COMPAQ COMPUTER CORP        COMMON            204493100      49477      1793950  SH  DEF. OTHER 01,02,03   1793950     0     0
COMPUTER NETWORK TECHNOL    COMMON            204925101       5201       151300  SH  DEF. OTHER 01,02,03    151300     0     0
COMPUTER SCIENCES CORP      COMMON            205363104      60042       808650  SH  DEF. OTHER 01,02,03    808650     0     0
COMVERSE TECHNOLOGY INC     COM PAR $0.10     205862402      40095       371250  SH  DEF. OTHER 01,02,03    371250     0     0
CONCORD EFS INC             COMMON            206197105      17758       500000  SH  DEF. OTHER 01,02,03    500000     0     0
CONCURRENT COMPUTER CORP    COMMON            206710204       4798       252500  SH  DEF. OTHER 01,02,03    252500     0     0
CONVERGYS CORP              COMMON            212485106       6609       170000  SH  DEF. OTHER 01,02,03    170000     0     0
COORS ADOLPH CO             CL B              217016104       4878        77200  SH  DEF. OTHER 01,02,03     77200     0     0
CORNING INC                 COMMON            219350105      53876       181400  SH  DEF. OTHER 01,02,03    181400     0     0
CORVIS CORP                 COMMON            221009103       1947        31900  SH  DEF. OTHER 01,02,03     31900     0     0
COUSINS PPTYS INC           COMMON            222795106      23224       539300  SH  DEF. OTHER 01,02,03    539300     0     0
COX COMMUNICATIONS INC N    CL A              224044107      11475       300000  SH  DEF. OTHER 01,02,03    300000     0     0
CYMER INC                   COMMON            232572107       1593        51900  SH  DEF. OTHER 01,02,03     51900     0     0
DST SYS INC DEL             COMMON            233326107      20563       175000  SH  DEF. OTHER 01,02,03    175000     0     0
DELL COMPUTER CORP          COMMON            247025109      46319      1503250  SH  DEF. OTHER 01,02,03   1503250     0     0
DEVON ENERGY CORP NEW       COMMON            25179M103      18093       300800  SH  DEF. OTHER 01,02,03    300800     0     0
DOCUMENTUM INC              COMMON            256159104       6661        82050  SH  DEF. OTHER 01,02,03     82050     0     0
DOLLAR TREE STORES INC      COMMON            256747106      14294       352400  SH  DEF. OTHER 01,02,03    352400     0     0
DUPONT PHOTOMASKS INC       COMMON            26613X101       2421        41200  SH  DEF. OTHER 01,02,03     41200     0     0
DURA PHARMACEUTICALS INC    *W EXP 12/31/200  26632S109       1061        30000  SH  DEF. OTHER 01,02,03     30000     0     0
EGL INC                     COMMON            268484102       5947       196600  SH  DEF. OTHER 01,02,03    196600     0     0
E M C CORP MASS             COMMON            268648102     125180      1262850  SH  DEF. OTHER 01,02,03   1262850     0     0
ECLIPSYS CORP               COMMON            278856109       1811       113200  SH  DEF. OTHER 01,02,03    113200     0     0
ELECTRONIC ARTS INC         COMMON            285512109       6419       130000  SH  DEF. OTHER 01,02,03    130000     0     0
EMULEX CORP                 COM NEW           292475209      12250       100000  SH  DEF. OTHER 01,02,03    100000     0     0
ENRON CORP                  COMMON            293561106       8763       100000  SH  DEF. OTHER 01,02,03    100000     0     0
ENTERCOM COMMUNICATIONS     CL A              293639100       1100        36730  SH  DEF. OTHER 01,02,03     36730     0     0
ENZON INC                   COMMON            293904108      11220       170000  SH  DEF. OTHER 01,02,03    170000     0     0
EQUITY OFFICE PROPERTIES    COMMON            294741103      30532       982918  SH  DEF. OTHER 01,02,03    982918     0     0
EQUITY RESIDENTIAL PPTYS    SH BEN INT        29476L107      17304       360503  SH  DEF. OTHER 01,02,03    360503     0     0
EXAR CORP                   COMMON            300645108       2735        22600  SH  DEF. OTHER 01,02,03     22600     0     0
EXTREME NETWORKS INC        COMMON            30226D106      12721       111100  SH  DEF. OTHER 01,02,03    111100     0     0
EXXON MOBIL CORP            COMMON            30231G102      41053       460619  SH  DEF. OTHER 01,02,03    460619     0     0
FPL GROUP INC               COMMON            302571104       7824       119000  SH  DEF. OTHER 01,02,03    119000     0     0
FEDERAL HOME LN MTG CORP    COMMON            313400301      27691       512200  SH  DEF. OTHER 01,02,03    512200     0     0
FEDERAL NATL MTG ASSN       COMMON            313586109      27713       387600  SH  DEF. OTHER 01,02,03    387600     0     0
FIRST INDUSTRIAL REALTY     COMMON            32054K103       6959       226300  SH  DEF. OTHER 01,02,03    226300     0     0
FIRST HEALTH GROUP CORP     COMMON            320960107       7624       236400  SH  DEF. OTHER 01,02,03    236400     0     0
FISERV INC                  COMMON            337738108      15568       260000  SH  DEF. OTHER 01,02,03    260000     0     0
GT GROUP TELECOM INC        CL B NON VTG      362359408       1745       132300  SH  DEF. OTHER 01,02,03    132300     0     0
GEMSTAR-TV GUIDE INTL IN    COMMON            36866W106      15258       175000  SH  DEF. OTHER 01,02,03    175000     0     0
GENENTECH INC               COM NEW           368710406      15876        85500  SH  DEF. OTHER 01,02,03     85500     0     0
GENERAL ELEC CO             COMMON            369604103     129122      2238300  SH  DEF. OTHER 01,02,03   2238300     0     0
GENERAL GROWTH PPTYS INC    COMMON            370021107      16960       526900  SH  DEF. OTHER 01,02,03    526900     0     0
GENTEX CORP                 COMMON            371901109       2380        95200  SH  DEF. OTHER 01,02,03     95200     0     0
GETTY IMAGES INC            COMMON            374276103       4486       147400  SH  DEF. OTHER 01,02,03    147400     0     0
GLOBAL MARINE INC           COMMON            379352404       7208       233450  SH  DEF. OTHER 01,02,03    233450     0     0
<PAGE>

                                                                          SH/P  AMT  INV DSC
NAME OF ISSUER              TITLE OF CLASS        CUSIP  VALUE(K)          S/P  P/C             MANAGERS   SOLE    SHARED NONE

GOLDMAN SACHS GROUP INC     COMMON            38141G104      19045       167150  SH  DEF. OTHER 01,02,03    167150     0     0
GRANT PRIDECO INC           COMMON            38821G101       7088       323100  SH  DEF. OTHER 01,02,03    323100     0     0
GUIDANT CORP                COMMON            401698105      74144      1048900  SH  DEF. OTHER 01,02,03   1048900     0     0
HNC SOFTWARE INC            COMMON            40425P107      18833       230200  SH  DEF. OTHER 01,02,03    230200     0     0
HANDSPRING INC              COMMON            410293104       6906       100000  SH  DEF. OTHER 01,02,03    100000     0     0
HANOVER COMPRESSOR CO       COMMON            410768105       2721        82600  SH  DEF. OTHER 01,02,03     82600     0     0
HARRAHS ENTMT INC           COMMON            413619107      11550       420000  SH  DEF. OTHER 01,02,03    420000     0     0
HISPANIC BROADCASTING CO    CL A              43357B104       5575       200000  SH  DEF. OTHER 01,02,03    200000     0     0
HOME DEPOT INC              COMMON            437076102      38897       733050  SH  DEF. OTHER 01,02,03    733050     0     0
HONEYWELL INTL INC          COMMON            438516106      11724       329100  SH  DEF. OTHER 01,02,03    329100     0     0
HOST MARRIOTT CORP NEW      COMMON            44107P104      12213      1085600  SH  DEF. OTHER 01,02,03   1085600     0     0
IMAX CORP                   COMMON            45245E109       3894       229900  SH  DEF. OTHER 01,02,03    229900     0     0
INFOSPACE INC               COMMON            45678T102       4758       157300  SH  DEF. OTHER 01,02,03    157300     0     0
INRANGE TECHNOLOGIES COR    CL B              45769V206        541        10200  SH  DEF. OTHER 01,02,03     10200     0     0
INSPIRE PHARMACEUTICALS     COMMON            457733103       2820        94000  SH  DEF. OTHER 01,02,03     94000     0     0
INTEGRATED DEVICE TECHNO    COMMON            458118106       2380        26300  SH  DEF. OTHER 01,02,03     26300     0     0
INTEL CORP                  COMMON            458140100      68038      1637000  SH  DEF. OTHER 01,02,03   1637000     0     0
INTERNATIONAL BUSINESS M    COMMON            459200101      69328       616250  SH  DEF. OTHER 01,02,03    616250     0     0
INTERNATIONAL FIBERCOM I    COMMON            45950T101       2458       168100  SH  DEF. OTHER 01,02,03    168100     0     0
INTL PAPER CO               COMMON            460146103       2635        91850  SH  DEF. OTHER 01,02,03     91850     0     0
INTERNET SEC SYS INC        COMMON            46060X107       3831        51000  SH  DEF. OTHER 01,02,03     51000     0     0
INTERSIL HLDG CORP          CL A              46069S109      12783       256300  SH  DEF. OTHER 01,02,03    256300     0     0
INTRAWEST CORPORATION       COM NEW           460915200       2170       130500  SH  DEF. OTHER 01,02,03    130500     0     0
INTUIT                      COMMON            461202103      16484       289200  SH  DEF. OTHER 01,02,03    289200     0     0
INVITROGEN CORP             COMMON            46185R100       5491        77200  SH  DEF. OTHER 01,02,03     77200     0     0
JDS UNIPHASE CORP           COMMON            46612J101      28198       297800  SH  DEF. OTHER 01,02,03    297800     0     0
JABIL CIRCUIT INC           COMMON            466313103       5062        89200  SH  DEF. OTHER 01,02,03     89200     0     0
JUNIPER NETWORKS INC        COMMON            48203R104       3766        17200  SH  DEF. OTHER 01,02,03     17200     0     0
KLA-TENCOR CORP             COMMON            482480100       8357       202900  SH  DEF. OTHER 01,02,03    202900     0     0
KIMCO REALTY CORP           COMMON            49446R109      10748       254400  SH  DEF. OTHER 01,02,03    254400     0     0
KING PHARMACEUTICALS INC    COMMON            495582108       4377       130900  SH  DEF. OTHER 01,02,03    130900     0     0
KOHLS CORP                  COMMON            500255104      31487       545819  SH  DEF. OTHER 01,02,03    545819     0     0
LSI LOGIC CORP              COMMON            502161102      12050       411950  SH  DEF. OTHER 01,02,03    411950     0     0
LAMAR ADVERTISING CO        CL A              512815101       2557        67500  SH  DEF. OTHER 01,02,03     67500     0     0
LATTICE SEMICONDUCTOR CO    COMMON            518415104       2381        44300  SH  DEF. OTHER 01,02,03     44300     0     0
LIBERTY PPTY TR             SH BEN INT        531172104      11913       433200  SH  DEF. OTHER 01,02,03    433200     0     0
LIMITED INC                 COMMON            532716107      15705       711860  SH  DEF. OTHER 01,02,03    711860     0     0
LINENS N THINGS INC         COMMON            535679104       1767        69300  SH  DEF. OTHER 01,02,03     69300     0     0
LOWES COS INC               COMMON            548661107      32225       718100  SH  DEF. OTHER 01,02,03    718100     0     0
LUCENT TECHNOLOGIES INC     COMMON            549463107      26120       854655  SH  DEF. OTHER 01,02,03    854655     0     0
MACK CALI RLTY CORP         COMMON            554489104       4721       167500  SH  DEF. OTHER 01,02,03    167500     0     0
MACROVISION CORP            COMMON            555904101       7541        93100  SH  DEF. OTHER 01,02,03     93100     0     0
MACROMEDIA INC              COMMON            556100105      15338       189800  SH  DEF. OTHER 01,02,03    189800     0     0
MARINE DRILLING COS INC     COM PAR $0.01     568240204       5264       184300  SH  DEF. OTHER 01,02,03    184300     0     0
MATRIXONE INC               COMMON            57685P304        392         9800  SH  DEF. OTHER 01,02,03      9800     0     0
MATTSON TECHNOLOGY INC      COMMON            577223100       1845       124000  SH  DEF. OTHER 01,02,03    124000     0     0
MCLEODUSA INC               CL A              582266102       5862       409600  SH  DEF. OTHER 01,02,03    409600     0     0
MENTOR GRAPHICS CORP        COMMON            587200106       5702       242000  SH  DEF. OTHER 01,02,03    242000     0     0
MERCK & CO INC              COMMON            589331107      46248       621300  SH  DEF. OTHER 01,02,03    621300     0     0
MERCURY INTERACTIVE CORP    COMMON            589405109      18011       114900  SH  DEF. OTHER 01,02,03    114900     0     0
MERRILL LYNCH & CO INC      COMMON            590188108      20203       306100  SH  DEF. OTHER 01,02,03    306100     0     0
METHODE ELECTRS INC         CL A              591520200       7688       173500  SH  DEF. OTHER 01,02,03    173500     0     0
METRICOM INC                COMMON            591596101       3721       144500  SH  DEF. OTHER 01,02,03    144500     0     0
METROMEDIA FIBER NETWORK    CL A              591689104       4644       191000  SH  DEF. OTHER 01,02,03    191000     0     0
MICHAELS STORES INC         COMMON            594087108       4764       119100  SH  DEF. OTHER 01,02,03    119100     0     0
MICROSOFT CORP              COMMON            594918104     114117      1892100  SH  DEF. OTHER 01,02,03   1892100     0     0
MICRON TECHNOLOGY INC       COMMON            595112103      50175      1090750  SH  DEF. OTHER 01,02,03   1090750     0     0
MILLENNIUM PHARMACEUTICA    COMMON            599902103      12269        84000  SH  DEF. OTHER 01,02,03     84000     0     0
MIPS TECHNOLOGIES INC       CL A              604567107       1323        28750  SH  DEF. OTHER 01,02,03     28750     0     0
MORGAN STANLEY DEAN WITT    COM NEW           617446448      43149       471900  SH  DEF. OTHER 01,02,03    471900     0     0
MOTOROLA INC                COMMON            620076109      18992       672300  SH  DEF. OTHER 01,02,03    672300     0     0
<PAGE>

                                                                          SH/P  AMT
NAME OF ISSUER              TITLE OF CLASS        CUSIP  VALUE(K)          S/P  P/C  INV DSC    MANAGERS   SOLE    SHARED NONE

MULTEX COM INC              COMMON            625367107       3726       217550  SH  DEF. OTHER 01,02,03    217550     0     0
NABORS INDS INC             COMMON            629568106      75008      1431450  SH  DEF. OTHER 01,02,03   1431450     0     0
NANOVATION                  COMMON            630992105       2791       186066  SH  DEF. OTHER 01,02,03    186066     0     0
NATCO GROUP INC             CL A              63227W203        890       102400  SH  DEF. OTHER 01,02,03    102400     0     0
NATIONAL-OILWELL INC        COMMON            637071101       6641       212500  SH  DEF. OTHER 01,02,03    212500     0     0
NEWPORT CORP                COMMON            651824104       7916        49700  SH  DEF. OTHER 01,02,03     49700     0     0
NEXTEL COMMUNICATIONS IN    CL A              65332V103      28391       607300  SH  DEF. OTHER 01,02,03    607300     0     0
NEXTLINK COMMUNICATIONS     CL A              65333H707       2375        67500  SH  DEF. OTHER 01,02,03     67500     0     0
NOKIA CORP                  DEPOSITORY RECEI  654902204      39522       992700  SH  DEF. OTHER 01,02,03    992700     0     0
NOBLE DRILLING CORP         COMMON            655042109      66850      1330350  SH  DEF. OTHER 01,02,03   1330350     0     0
NORTEL NETWORKS CORP NEW    COMMON            656568102      83775      1406500  SH  DEF. OTHER 01,02,03   1406500     0     0
NOVA CORP GA                COMMON            669784100       1392        81275  SH  DEF. OTHER 01,02,03     81275     0     0
OMNISKY CORP                COMMON            68213L103        343        16900  SH  DEF. OTHER 01,02,03     16900     0     0
ONI SYSTEMS CORP            COMMON            68273F103       3711        43000  SH  DEF. OTHER 01,02,03     43000     0     0
ORACLE CORP                 COMMON            68389X105      65874       836500  SH  DEF. OTHER 01,02,03    836500     0     0
OUTBACK STEAKHOUSE INC      COMMON            689899102      15388       567300  SH  DEF. OTHER 01,02,03    567300     0     0
PECO ENERGY CO              COMMON            693304107       9060       149600  SH  DEF. OTHER 01,02,03    149600     0     0
PE CORP PE BIOSYS GROUP     COMMON            69332S102      40367       346500  SH  DEF. OTHER 01,02,03    346500     0     0
P F CHANGS CHINA BISTRO     COMMON            69333Y108       4103       118700  SH  DEF. OTHER 01,02,03    118700     0     0
PACIFIC SUNWEAR CALIF IN    COMMON            694873100       1146        61100  SH  DEF. OTHER 01,02,03     61100     0     0
PAN PACIFIC RETAIL PPTYS    COMMON            69806L104       2486       124300  SH  DEF. OTHER 01,02,03    124300     0     0
PATTERSON DENTAL CO         COMMON            703412106       5351       237800  SH  DEF. OTHER 01,02,03    237800     0     0
PATTERSON ENERGY INC        COMMON            703414102       3218        93600  SH  DEF. OTHER 01,02,03     93600     0     0
PEREGRINE SYSTEMS INC       COMMON            71366Q101       9887       522100  SH  DEF. OTHER 01,02,03    522100     0     0
PERKINELMER INC             COMMON            714046109      13444       128800  SH  DEF. OTHER 01,02,03    128800     0     0
PFIZER INC                  COMMON            717081103     225394      5015712  SH  DEF. OTHER 01,02,03   5015712     0     0
PHARMACIA CORP              COMMON            71713U102     125527      2085600  SH  DEF. OTHER 01,02,03   2085600     0     0
PHOTRONICS INC              COMMON            719405102       2494       114350  SH  DEF. OTHER 01,02,03    114350     0     0
POLYCOM INC                 COMMON            73172K104      14459       215900  SH  DEF. OTHER 01,02,03    215900     0     0
POST PPTYS INC              COMMON            737464107       8460       194200  SH  DEF. OTHER 01,02,03    194200     0     0
POWER-ONE INC               COMMON            739308104      11897       196600  SH  DEF. OTHER 01,02,03    196600     0     0
PRECISION DRILLING CORP     COMMON            74022D100       8693       244000  SH  DEF. OTHER 01,02,03    244000     0     0
PRENTISS PPTYS TR           SH BEN INT        740706106       9732       372500  SH  DEF. OTHER 01,02,03    372500     0     0
PROLOGIS TR                 SH BEN INT        743410102      24333      1024545  SH  DEF. OTHER 01,02,03   1024545     0     0
PROTON ENERGY SYS INC       COMMON            74371K101        246         8600  SH  DEF. OTHER 01,02,03      8600     0     0
PROXIM INC                  COMMON            744284100       4864       109300  SH  DEF. OTHER 01,02,03    109300     0     0
PUBLIC STORAGE INC          COMMON            74460D109      18969       792432  SH  DEF. OTHER 01,02,03    792432     0     0
QLT INC                     COMMON            746927102       6024        85000  SH  DEF. OTHER 01,02,03     85000     0     0
QLOGIC CORP                 COMMON            747277101      13112       149000  SH  DEF. OTHER 01,02,03    149000     0     0
QWEST COMMUNICATIONS INT    COMMON            749121109      56888      1183629  SH  DEF. OTHER 01,02,03   1183629     0     0
R & B FALCON CORP           COMMON            74912E101      16505       592100  SH  DEF. OTHER 01,02,03    592100     0     0
RF MICRODEVICES INC         COMMON            749941100       4307       134600  SH  DEF. OTHER 01,02,03    134600     0     0
RADISYS CORP                COMMON            750459109       8750       173050  SH  DEF. OTHER 01,02,03    173050     0     0
READERS DIGEST ASSN INC     CL A NON VTG      755267101      10219       289400  SH  DEF. OTHER 01,02,03    289400     0     0
REALNETWORKS INC            COMMON            75605L104      10454       263000  SH  DEF. OTHER 01,02,03    263000     0     0
RECKSON ASSOCS RLTY CORP    COMMON            75621K106      10998       431300  SH  DEF. OTHER 01,02,03    431300     0     0
REDBACK NETWORKS INC        COMMON            757209101       2460        15000  SH  DEF. OTHER 01,02,03     15000     0     0
REMEC INC                   COMMON            759543101       3742       127100  SH  DEF. OTHER 01,02,03    127100     0     0
REMEDY CORP                 COMMON            759548100       1829        96900  SH  DEF. OTHER 01,02,03     96900     0     0
ROYAL DUTCH PETE CO         DEPOSITORY RECEI  780257804       7834       130700  SH  DEF. OTHER 01,02,03    130700     0     0
SBC COMMUNICATIONS INC      COMMON            78387G103      23928       478550  SH  DEF. OTHER 01,02,03    478550     0     0
SCI SYS INC                 COMMON            783890106       3362        82000  SH  DEF. OTHER 01,02,03     82000     0     0
SDL INC                     COMMON            784076101      35679       115350  SH  DEF. OTHER 01,02,03    115350     0     0
SANDISK CORP                COMMON            80004C101      27915       418200  SH  DEF. OTHER 01,02,03    418200     0     0
SCHERING PLOUGH CORP        COMMON            806605101      98996      2128950  SH  DEF. OTHER 01,02,03   2128950     0     0
SCHWAB CHARLES CORP NEW     COMMON            808513105       7718       217400  SH  DEF. OTHER 01,02,03    217400     0     0
SCIENTIFIC ATLANTA INC      COMMON            808655104      13043       205000  SH  DEF. OTHER 01,02,03    205000     0     0
SECURITY CAP U S RLTY       DEPOSITORY RECEI  814136206       1706        79800  SH  DEF. OTHER 01,02,03     79800     0     0
SECURITY CAP GROUP INC      CL B              81413P204       9721       513300  SH  DEF. OTHER 01,02,03    513300     0     0
SHIRE PHARMACEUTICALS GR    DEPOSITORY RECEI  82481R106       6011       116440  SH  DEF. OTHER 01,02,03    116440     0     0
SIMON PPTY GROUP INC NEW    COMMON            828806109      17551       748856  SH  DEF. OTHER 01,02,03    748856     0     0
<PAGE>

                                                                          SH/P  AMT
NAME OF ISSUER              TITLE OF CLASS        CUSIP  VALUE(K)          S/P  P/C  INV DSC    MANAGERS   SOLE    SHARED NONE

SOLECTRON CORP              COMMON            834182107      55299      1198900  SH  DEF. OTHER 01,02,03   1198900     0     0
SPIEKER PPTYS INC           COMMON            848497103      32937       572200  SH  DEF. OTHER 01,02,03    572200     0     0
SPRINT CORP                 COMMON            852061506      13680       390150  SH  DEF. OTHER 01,02,03    390150     0     0
STARWOOD HOTELS&RESORTS     PAIRED CTF        85590A203      26031       833000  SH  DEF. OTHER 01,02,03    833000     0     0
SUN MICROSYSTEMS INC        COMMON            866810104      90738       777200  SH  DEF. OTHER 01,02,03    777200     0     0
SYCAMORE NETWORKS INC       COMMON            871206108       4622        42800  SH  DEF. OTHER 01,02,03     42800     0     0
TCF FINL CORP               COMMON            872275102       5828       154900  SH  DEF. OTHER 01,02,03    154900     0     0
TECHNE CORP                 COMMON            878377100       6754        60300  SH  DEF. OTHER 01,02,03     60300     0     0
TEKELEC                     COMMON            879101103       5747       174800  SH  DEF. OTHER 01,02,03    174800     0     0
TEKTRONIX INC               COMMON            879131100      13308       173250  SH  DEF. OTHER 01,02,03    173250     0     0
TELLABS INC                 COMMON            879664100      14631       306400  SH  DEF. OTHER 01,02,03    306400     0     0
TELETECH HOLDINGS INC       COMMON            879939106       5447       220100  SH  DEF. OTHER 01,02,03    220100     0     0
TENET HEALTHCARE CORP       COMMON            88033G100      23240       638900  SH  DEF. OTHER 01,02,03    638900     0     0
TETRA TECH INC NEW          COMMON            88162G103       8936       312850  SH  DEF. OTHER 01,02,03    312850     0     0
TIME WARNER INC             COMMON            887315109      52404       669700  SH  DEF. OTHER 01,02,03    669700     0     0
TRIZEC HAHN CORP            COMMON            896938107      14254       847800  SH  DEF. OTHER 01,02,03    847800     0     0
TUT SYSTEMS                 COMMON            901103101       6007        69600  SH  DEF. OTHER 01,02,03     69600     0     0
TWEETER HOME ENTMT GROUP    COMMON            901167106       1233        33950  SH  DEF. OTHER 01,02,03     33950     0     0
TYCO INTL LTD NEW           COMMON            902124106     131852      2541718  SH  DEF. OTHER 01,02,03   2541718     0     0
USA NETWORKS INC            COMMON            902984103      19700       898000  SH  DEF. OTHER 01,02,03    898000     0     0
UTI ENERGY CORP             COMMON            903387108       6546       146700  SH  DEF. OTHER 01,02,03    146700     0     0
UNIVERSAL HLTH SVCS INC     CL B              913903100       7980        93200  SH  DEF. OTHER 01,02,03     93200     0     0
UNIVISION COMMUNICATIONS    CL A              914906102      14483       387500  SH  DEF. OTHER 01,02,03    387500     0     0
VERITAS SOFTWARE CO         COMMON            923436109      47726       336100  SH  DEF. OTHER 01,02,03    336100     0     0
VERITY INC                  COMMON            92343C106       5134       143850  SH  DEF. OTHER 01,02,03    143850     0     0
VERITAS DGC INC             COMMON            92343P107       7353       254100  SH  DEF. OTHER 01,02,03    254100     0     0
VERSATA INC                 COMMON            925298101       4844       182800  SH  DEF. OTHER 01,02,03    182800     0     0
VIASYSTEMS GROUP INC        COMMON            92553H100       3587       211000  SH  DEF. OTHER 01,02,03    211000     0     0
VIRATA CORP                 COMMON            927646109      25445       384800  SH  DEF. OTHER 01,02,03    384800     0     0
VITESSE SEMICONDUCTOR CO    COMMON            928497106      15786       177500  SH  DEF. OTHER 01,02,03    177500     0     0
VORNADO RLTY TR             SH BEN INT        929042109      31044       836200  SH  DEF. OTHER 01,02,03    836200     0     0
WJ COMMUNICATIONS INC       COMMON            929284107        237         6400  SH  DEF. OTHER 01,02,03      6400     0     0
WAL MART STORES INC         COMMON            931142103      59155      1229200  SH  DEF. OTHER 01,02,03   1229200     0     0
WASHINGTON MUT INC          COMMON            939322103      65732      1651050  SH  DEF. OTHER 01,02,03   1651050     0     0
WATERS CORP                 COMMON            941848103      19838       222900  SH  DEF. OTHER 01,02,03    222900     0     0
WATSON PHARMACEUTICALS I    COMMON            942683103      10023       154500  SH  DEF. OTHER 01,02,03    154500     0     0
WEATHERFORD INTL INC        COMMON            947074100      19083       443800  SH  DEF. OTHER 01,02,03    443800     0     0
WESTERN WIRELESS CORP       CL A              95988E204       4742       133100  SH  DEF. OTHER 01,02,03    133100     0     0
WHOLE FOODS MKT INC         COMMON            966837106       4998        93100  SH  DEF. OTHER 01,02,03     93100     0     0
WILLAMETTE INDS INC         COMMON            969133107       3532       126150  SH  DEF. OTHER 01,02,03    126150     0     0
WILSON GREATBATCH TECHNO    COMMON            972232102       1249        54600  SH  DEF. OTHER 01,02,03     54600     0     0
AMDOCS LTD                  ORD               G02602103      33988       544900  SH  DEF. OTHER 01,02,03    544900     0     0
INTELLIGENT POLYMERS LTD    COMMON            G48029105       1285        33000  SH  DEF. OTHER 01,02,03     33000     0     0
TRANSOCEAN SEDCO FOREX I    ORD               G90078109      35764       610050  SH  DEF. OTHER 01,02,03    610050     0     0
TRITON ENERGY LTD           ORD               G90751101       2941        75400  SH  DEF. OTHER 01,02,03     75400     0     0
TYCOM LTD                   COMMON            G9144B106      19188       500000  SH  DEF. OTHER 01,02,03    500000     0     0
STOLT OFFSHORE S A          COMMON            L8873E103       1138        76500  SH  DEF. OTHER 01,02,03     76500     0     0
ASM LITHOGRAPHY HLDG N V    DEPOSITORY RECEI  N07059111       7896       244350  SH  DEF. OTHER 01,02,03    244350     0     0
QIAGEN N V                  ORD               N72482107       4684        99400  SH  DEF. OTHER 01,02,03     99400     0     0
FLEXTRONICS INTL LTD        ORD               Y2573F102     108245      1318050  SH  DEF. OTHER 01,02,03   1318050     0     0
TEEKAY SHIPPING MARSHALL    COMMON            Y8564W103       6139       130800  SH  DEF. OTHER 01,02,03    130800     0     0

NUMBER OF ISSUES:           295                          5,885,964  118,016,726                        118,016,726     0     0

</TABLE>


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