VANTAGE GLOBAL ADVISORS INC
13F-HR, 2000-04-19
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Vantage Global Advisors, Inc .                               13-F Filings Report                         Page 1
                                                                3/31/00

                                                                            BD-                 MANAGERS
NAME OF                      TITLE OF     CUSIP     FAIR     SHARES OR      AED                 SSHARES OR
ISSUER                       CLASS        NUMBER    MARRKET VPRINCIPLE SOLE IVOTHER (C)         SPRINCIPLOTHER (C)


3COM CORP                    Common Stock  885535104    2,097    37,700SH    DEFINED    01 02   0  37,7000
ABERCOMBIE & FITCH CO        Common Stock    2896207       26     1,650SH    DEFINED    01 02   0   1,6500
ABGENIX INC                  Common Stock 00339B107       111       800SH    DEFINED    01 02   0     8000
ABOUT.COM INC                Common Stock    3736105      240     2,720SH    DEFINED    01 02   0   2,7200
ACTUATE CORP                 Common Stock 00508B102       103     1,910SH    DEFINED    01 02   0   1,9100
ACTV INC                     Common Stock  8.80E+105      137     3,900SH    DEFINED    01 02   0   3,9000
ADAPTEC INC                  Common Stock 00651F108    14,382   372,360SH    DEFINED    01 02   0 372,3600
ADC TELECOMMUNICATIONS       Common Stock     886101    6,476   120,200SH    DEFINED    01 02   0 120,2000
ADOBE SYSTEMS INC            Common Stock 00724F101    55,653   499,970SH    DEFINED    01 02   0 499,9700
ADTRAN INC                   Common Stock 00738A106       188     3,160SH    DEFINED    01 02   0   3,1600
ADVANCED DIGITAL INFO C      Common Stock    7525108      330     9,630SH    DEFINED    01 02   0   9,6300
ADVANCED ENERGY INDS         Common Stock    7973100      214     4,200SH    DEFINED    01 02   0   4,2000
ADVANCED FIBRE COMM          Common Stock 00754A105       315     5,030SH    DEFINED    01 02   0   5,0300
ADVANCED MICRO DEVICES       Common Stock     790310   12,143   212,795SH    DEFINED    01 02   0 212,7950
ADVANTA CORP                 Common Stock    7942105       30     1,500SH    DEFINED    01 02   0   1,5000
ADVEST GROUP INC             Common Stock    7566102       29     1,500SH    DEFINED    01 02   0   1,5000
ADVO INC                     Common Stock    7585102      557    22,270SH    DEFINED    01 02   0  22,2700
AETNA LIFE & CASUALTY C      Common Stock    8117103    1,940    34,950SH    DEFINED    01 02   0  34,9500
AFFYMETRIX INC               Common Stock 00826T108       254     1,710SH    DEFINED    01 02   0   1,7100
AFLAC INC                    Common Stock     105510      214     4,700SH    DEFINED    01 02   0   4,7000
AGL RESOURCES INC            Common Stock    1204106       22     1,200SH    DEFINED    01 02   0   1,2000
AGRIBRANDS INTERNATIONA      Common Stock 00849R105         1        27SH    DEFINED    01 02   0      270
AIR PRODUCTS & CHEMICAL      Common Stock    9158106    1,083    38,100SH    DEFINED    01 02   0  38,1000
AIRBORNE FREIGHT CORP        Common Stock    9266107       53     2,200SH    DEFINED    01 02   0   2,2000
ALASKA AIRGROUP INC          Common Stock   11659109    2,871    95,485SH    DEFINED    01 02   0  95,4850
ALBANY MOLECULAR RESEAR      Common Stock   12423109      315     5,400SH    DEFINED    01 02   0   5,4000
ALBERTSON'S INC              Common Stock   13104104    8,880   287,600SH    DEFINED    01 02   0 287,6000
ALEXANDER & BALDWIN INC      Common Stock   14482103      419    20,300SH    DEFINED    01 02   0  20,3000
ALKERMES INC                 Common Stock 01642T108       111     1,200SH    DEFINED    01 02   0   1,2000
ALLEGHENY ENERGY INC         Common Stock   17361106    5,540   200,100SH    DEFINED    01 02   0 200,1000
ALLERGAN INC                 Common Stock   18490102    9,595   191,905SH    DEFINED    01 02   0 191,9050
ALLIANCE SEMICONDUCTOR       Common Stock 01877H100        19       900SH    DEFINED    01 02   0     9000
ALLMERICA FINANCIAL COR      Common Stock   19754100    7,299   143,125SH    DEFINED    01 02   0 143,1250
ALLSTATE                     Common Stock   20002101   34,815 1,462,034SH    DEFINED    01 02   01,462,030
ALLTEL CORP                  Common Stock   20039103   23,263   367,790SH    DEFINED    01 02   0 367,7900
ALPHARMA INC  -CL A          Common Stock   20813101      185     5,030SH    DEFINED    01 02   0   5,0300
ALTERA CORP                  Common Stock    2144110   17,220   192,940SH    DEFINED    01 02   0 192,9400
AMBAC FINANCIAL GROUP,       Common Stock   23139108   17,382   345,050SH    DEFINED    01 02   0 345,0500
AMCOL INTERNATIONAL          Common Stock 02341W103       401    26,100SH    DEFINED    01 02   0  26,1000
AMERADA HESS CORP            Common Stock    2355110    3,420    52,925SH    DEFINED    01 02   0  52,9250
AMEREN CORP                  Common Stock   23608102    8,004   258,700SH    DEFINED    01 02   0 258,7000
AMERICA ONLINE INC           Common Stock 02364J104    74,490 1,104,580SH    DEFINED    01 02   01,104,580
AMERICA WEST AIRLINE -B      Common Stock   23657208      437    28,200SH    DEFINED    01 02   0  28,2000
AMERICAN AXLE MFG & HLD      Common Stock   24061103       39     2,600SH    DEFINED    01 02   0   2,6000
AMERICAN EAGLE OUTFITTE      Common Stock  2.55E+109      720    18,970SH    DEFINED    01 02   0  18,9700
AMERICAN ELECTRIC POWER      Common Stock    2553710        3       100SH    DEFINED    01 02   0     1000
AMERICAN EXPRESS             Common Stock   25816109   13,980    93,865SH    DEFINED    01 02   0  93,8650
AMERICAN FINANCIAL GROU      Common Stock   25932104      117     4,100SH    DEFINED    01 02   0   4,1000
AMERICAN FREIGHTWAYS         Common Stock 02629V108       143     9,560SH    DEFINED    01 02   0   9,5600
AMERICAN GENERAL CORP        Common Stock    2635110      597    10,645SH    DEFINED    01 02   0  10,6450
AMERICAN HOME PRODUCTS       Common Stock   26609107    3,883    72,244SH    DEFINED    01 02   0  72,2440
AMERICAN INTERNATIONAL       Common Stock   26874107   52,096   475,765SH    DEFINED    01 02   0 475,7650
AMERICAN MANAGEMENT SYS      Common Stock   27352103    3,939    89,900SH    DEFINED    01 02   0  89,9000
AMERICAN MEDICAL SOCIET      Common Stock 02744P101        22     3,200SH    DEFINED    01 02   0   3,2000
AMERICAN NATIONAL INSUR      Common Stock   28591105       46       800SH    DEFINED    01 02   0     8000
AMERICAN POWER CONVERSI      Common Stock   29066107    8,242   192,240SH    DEFINED    01 02   0 192,2400
AMERICAN STANDARD COMPA      Common Stock   29712106   13,394   361,995SH    DEFINED    01 02   0 361,9950
AMERICAN TOWER CORP          Common Stock   29912201      755    15,300SH    DEFINED    01 02   0  15,3000
AMERICREDIT CORP             Common Stock 03060R101       432    26,480SH    DEFINED    01 02   0  26,4800
AMERIPATH INC                Common Stock 03071D109       163    20,110SH    DEFINED    01 02   0  20,1100
AMERISOURCE HEALTH CORP      Common Stock 03071P102       281    18,700SH    DEFINED    01 02   0  18,7000
AMERON INTERNATIONAL IN      Common Stock   30710107       53     1,500SH    DEFINED    01 02   0   1,5000
AMFM INC                     Common Stock    1693100    2,982    48,000SH    DEFINED    01 02   0  48,0000
AMGEN INC                    Common Stock   31162100   68,263 1,112,225SH    DEFINED    01 02   01,112,220
AMKOR TECHNOLOGY INC         Common Stock   31652100      743    14,000SH    DEFINED    01 02   0  14,0000
AMPHENOL CORP                Common Stock   32095101      153     1,500SH    DEFINED    01 02   0   1,5000
AMSOUTH BANCORPORATION       Common Stock   32165102   14,600   977,409SH    DEFINED    01 02   0 977,4090
AMTRAN INC                   Common Stock 03234G106        38     2,100SH    DEFINED    01 02   0   2,1000
ANADIGICS INC                Common Stock   32515108       86     1,310SH    DEFINED    01 02   0   1,3100
ANALOG DEVICES               Common Stock   32654105   14,376   178,580SH    DEFINED    01 02   0 178,5800
ANCOR COMMUNICATIONS         Common Stock 03332K108       112     2,720SH    DEFINED    01 02   0   2,7200
ANHEUSER-BUSCH COS INC       Common Stock   35229103      199     3,200SH    DEFINED    01 02   0   3,2000
AON CORP                     Common Stock    3738910      913    28,300SH    DEFINED    01 02   0  28,3000
APACHE CORP                  Common Stock    3741110   18,737   376,620SH    DEFINED    01 02   0 376,6200
APPLE COMPUTER INC           Common Stock   37833100   67,943   500,270SH    DEFINED    01 02   0 500,2700
APPLEBEES INTL INC           Common Stock   37899101        1        40SH    DEFINED    01 02   0      400
APPLIED GRAPHICS TECHNO      Common Stock   37937109       17     2,900SH    DEFINED    01 02   0   2,9000
APPLIED MATERIAL             Common Stock   38222105   60,965   646,840SH    DEFINED    01 02   0 646,8400
APPLIED MICRO CIRCUITS       Common Stock 03822W109     7,713    51,400SH    DEFINED    01 02   0  51,4000
APRIA HEALTHCARE GROUP       Common Stock   37933108      193    13,400SH    DEFINED    01 02   0  13,4000
ARCADIA FINANCIAL LTD        Common Stock   39101100      239    47,800SH    DEFINED    01 02   0  47,8000
ARCH CHEMICALS INC           Common Stock 03937R102        32     1,600SH    DEFINED    01 02   0   1,6000
ARCHER-DANIELS-MIDLAND       Common Stock    3948310    1,044   101,200SH    DEFINED    01 02   0 101,2000
ARKANSAS BEST CO             Common Stock   40790107       27     2,600SH    DEFINED    01 02   0   2,6000
ARROW ELECTRONICS INC        Common Stock   42735100      965    27,370SH    DEFINED    01 02   0  27,3700
ARROW INTERNATIONAL INC      Common Stock   42764100       19       600SH    DEFINED    01 02   0     6000
ARVIN INDUSTRIES INC         Common Stock   43339100       60     2,650SH    DEFINED    01 02   0   2,6500
ASHLAND INC                  Common Stock   44204105    7,970   239,700SH    DEFINED    01 02   0 239,7000
ASPECT DEV INC               Common Stock   45234101    0.644        10SH    DEFINED    01 02   0      100
ASPEN TECHNOLOGY INC         Common Stock   45327103      226     5,600SH    DEFINED    01 02   0   5,6000
ASSOCIATES FIRST CAPITA      Common Stock   46008108    9,564   447,430SH    DEFINED    01 02   0 447,4300
ASTEC INDUSTRIES INC         Common Stock   46224101      138     5,200SH    DEFINED    01 02   0   5,2000
ASTORIA FINANCIAL CORP       Common Stock   46265104    5,601   197,400SH    DEFINED    01 02   0 197,4000
ASYST TECHNOLOGIES INC       Common Stock 04648X107       281     4,800SH    DEFINED    01 02   0   4,8000
AT HOME CORP -SER A          Common Stock   45919107        2        50SH    DEFINED    01 02   0      500
AT&T CORPORATION             Common Stock    1957109  108,652 1,929,442SH    DEFINED    01 02   01,929,440
ATLANTIC RICHFIELD CO        Common Stock   48825103   29,862   351,320SH    DEFINED    01 02   0 351,3200
ATMEL CORP                   Common Stock   49513104    8,962   173,600SH    DEFINED    01 02   0 173,6000
AUTOBYTEL.COM INC            Common Stock 05275N106       105    12,800SH    DEFINED    01 02   0  12,8000
AUTODESK                     Common Stock   52769106    6,425   141,200SH    DEFINED    01 02   0 141,2000
AUTOMATIC DATA PROCESSI      Common Stock    5301510    3,174    65,780SH    DEFINED    01 02   0  65,7800
AUTONATION INC               Common Stock 05329W102     8,577 1,080,550SH    DEFINED    01 02   01,080,550
AVALONBAY COMMUNITIES I      Common Stock   53484101    3,256    88,900SH    DEFINED    01 02   0  88,9000
AVANT! CORPORATION           Common Stock   53487104      252    20,170SH    DEFINED    01 02   0  20,1700
AVERY DENNISON CORP          Common Stock   53611109   14,778   242,015SH    DEFINED    01 02   0 242,0150
AVIS RENT A CAR INC          Common Stock   53790101      368    20,900SH    DEFINED    01 02   0  20,9000
AVISTA CORP                  Common Stock 05379B107        73     1,800SH    DEFINED    01 02   0   1,8000
AVNET INC                    Common Stock    5380710    8,045   127,700SH    DEFINED    01 02   0 127,7000
AVON PRODUCTS                Common Stock   54303102   17,934   613,120SH    DEFINED    01 02   0 613,1200
AVT CORP                     Common Stock    2420107      180    15,240SH    DEFINED    01 02   0  15,2400
AVX CORP                     Common Stock    2444107   19,101   251,950SH    DEFINED    01 02   0 251,9500
BAKER-HUGHES INC             Common Stock   57224107    2,465    81,500SH    DEFINED    01 02   0  81,5000
BALL CORP                    Common Stock   58498106    3,121    90,300SH    DEFINED    01 02   0  90,3000
BANC ONE CORP                Common Stock 06423A103    47,461 1,375,686SH    DEFINED    01 02   01,375,680
BANCO SANTANDER PUERTO       Common Stock   59646109      236    19,800SH    DEFINED    01 02   0  19,8000
BANCWEST CORP                Common Stock   59790105       24     1,200SH    DEFINED    01 02   0   1,2000
BANGOR HYDRO-ELECTRIC C      Common Stock   60077104       57     3,300SH    DEFINED    01 02   0   3,3000
BANK OF AMERICA CORP         Common Stock   60505104   42,717   814,631SH    DEFINED    01 02   0 814,6310
BANK UNITED CORP - CL A      Common Stock   65412108      155     4,900SH    DEFINED    01 02   0   4,9000
BANTA CORP                   Common Stock   66821109       79     4,300SH    DEFINED    01 02   0   4,3000
BARD (C.R.) INC              Common Stock   67383109   14,252   368,390SH    DEFINED    01 02   0 368,3900
BARNES GROUP INC             Common Stock   67806109      287    19,825SH    DEFINED    01 02   0  19,8250
BARRA INC                    Common Stock   68313105      220     6,500SH    DEFINED    01 02   0   6,5000
BARRETT RESOURCES CORP       Common Stock   68480201    3,405   114,200SH    DEFINED    01 02   0 114,2000
BAUSCH & LOMB INC            Common Stock   71707103      296     5,680SH    DEFINED    01 02   0   5,6800
BAXTER INTERNATIONAL IN      Common Stock    7181310   11,897   189,790SH    DEFINED    01 02   0 189,7900
BAXTER INTERNATIONAL IN      Common Stock   71813125       19    93,900SH    DEFINED    01 02   0  93,9000
BAY VIEW CAPITAL  CORP       Common Stock 07262L101        42     5,600SH    DEFINED    01 02   0   5,6000
BB&T CORPORATION             Common Stock   54937107    8,151   290,450SH    DEFINED    01 02   0 290,4500
BEA SYSTEM INC               Common Stock   73325102    2,128    29,000SH    DEFINED    01 02   0  29,0000
BEAR STEARNS COMPANIES       Common Stock   73902108   17,023   373,106SH    DEFINED    01 02   0 373,1060
BEAZER HOMES USA INC         Common Stock 07556Q105       368    19,650SH    DEFINED    01 02   0  19,6500
BECKMAN INSTRUMENTS INC      Common Stock   75811109   12,506   194,830SH    DEFINED    01 02   0 194,8300
BEDFORD PROPERTY INVEST      Common Stock   76446301       84     5,200SH    DEFINED    01 02   0   5,2000
BELDEN INC                   Common Stock   77459105       73     2,640SH    DEFINED    01 02   0   2,6400
BELL & HOWELL COMPANY        Common Stock   77852101      491    15,720SH    DEFINED    01 02   0  15,7200
BELL ATLANTIC CORP           Common Stock   77853109   71,266 1,165,902SH    DEFINED    01 02   01,165,900
BELLSOUTH CORP               Common Stock   79860102  132,435 2,825,275SH    DEFINED    01 02   02,825,270
BERGEN BRUNSWIG CORP  -      Common Stock   83739102    4,893   724,879SH    DEFINED    01 02   0 724,8790
BEST BUY CO INC              Common Stock   86516101   12,306   143,090SH    DEFINED    01 02   0 143,0900
BESTFOODS                    Common Stock 08658U101       178     3,800SH    DEFINED    01 02   0   3,8000
BEYOND.COM                   Common Stock  8.86E+104        1       250SH    DEFINED    01 02   0     2500
BINDLEY WESTERN INDUSTR      Common Stock   90324104      435    32,106SH    DEFINED    01 02   0  32,1060
BIOGEN INC                   Common Stock   90597105    1,668    23,865SH    DEFINED    01 02   0  23,8650
BIOMET INC                   Common Stock    9061310        6       160SH    DEFINED    01 02   0     1600
BJ SERVICES CO               Common Stock   55482103    4,144    56,100SH    DEFINED    01 02   0  56,1000
BLACK BOX CORPORATION        Common Stock   91826107      547     7,900SH    DEFINED    01 02   0   7,9000
BLOCK DRUG  -CL A            Common Stock   93644102       94     3,393SH    DEFINED    01 02   0   3,3930
BMC SOFTWARE INC             Common Stock   55921100   12,792   259,080SH    DEFINED    01 02   0 259,0800
BOB EVANS FARMS              Common Stock    9676110       19     1,500SH    DEFINED    01 02   0   1,5000
BOEING CO                    Common Stock    9702310      265     7,000SH    DEFINED    01 02   0   7,0000
BOSTON SCIENTIFIC CORP       Common Stock  101137107   10,875   510,250SH    DEFINED    01 02   0 510,2500
BOWNE & CO INC               Common Stock  103043105       46     3,600SH    DEFINED    01 02   0   3,6000
BRADLEY REAL ESTATE INC      Common Stock  104580105       70     4,100SH    DEFINED    01 02   0   4,1000
BRADY CORPORATION - CL       Common Stock  104674106      499    16,000SH    DEFINED    01 02   0  16,0000
BRANDYWINE REALTY TRUST      Common Stock  105368203      183    10,670SH    DEFINED    01 02   0  10,6700
BRIGGS & STRATTON            Common Stock   10904310    2,823    68,650SH    DEFINED    01 02   0  68,6500
BRIGHTPOINT INC              Common Stock  109473108      117     9,570SH    DEFINED    01 02   0   9,5700
BRINKER INTL INC             Common Stock  109641100    4,442   149,625SH    DEFINED    01 02   0 149,6250
BRISTOL- MYERS SQUIBB        Common Stock  110122108   68,977 1,189,250SH    DEFINED    01 02   01,189,250
BROADCOM CORP - CL A         Common Stock  111320107   14,184    58,400SH    DEFINED    01 02   0  58,4000
BROADVISION INC              Common Stock  111412102      744    16,580SH    DEFINED    01 02   0  16,5800
BROADWING INC                Common Stock  111620100       45     1,200SH    DEFINED    01 02   0   1,2000
BROOKTROUT INC               Common Stock  114580103      139     4,800SH    DEFINED    01 02   0   4,8000
BSB BANCORP                  Common Stock   55652101      689    33,000SH    DEFINED    01 02   0  33,0000
BURLINGTON INDS INC          Common Stock  121693105       24     5,500SH    DEFINED    01 02   0   5,5000
BURLINGTON NORTHERN INC      Common Stock 12189T104     2,446   107,500SH    DEFINED    01 02   0 107,5000
BURLINGTON RESOURCES IN      Common Stock  122014103    1,314    35,500SH    DEFINED    01 02   0  35,5000
BUTLER MFG CO                Common Stock  123655102       40     1,650SH    DEFINED    01 02   0   1,6500
C H ROBINSON WORLDWIDE       Common Stock 12541W100       120     3,220SH    DEFINED    01 02   0   3,2200
C P CLARE CORP               Common Stock 12615K107        17     2,000SH    DEFINED    01 02   0   2,0000
CABLE DESIGN TECH CP         Common Stock  126924109      261     7,700SH    DEFINED    01 02   0   7,7000
CABLETRON SYSTEMS            Common Stock  126920107    1,152    39,200SH    DEFINED    01 02   0  39,2000
CABLEVISION SYSTEMS  -C      Common Stock 12686C10        486     8,000SH    DEFINED    01 02   0   8,0000
CABOT INDUSTRIAL TRUST       Common Stock  127072106       37     2,000SH    DEFINED    01 02   0   2,0000
CACI INTERNATIONAL INC       Common Stock  127190304      509    17,000SH    DEFINED    01 02   0  17,0000
CALIFORNIA MICRO             Common Stock 00650M104        64     1,200SH    DEFINED    01 02   0   1,2000
CALPINE CORP                 Common Stock  131347106      390     4,150SH    DEFINED    01 02   0   4,1500
CANADIAN NATIONAL RAILW      Common Stock  136375102   20,432   765,600SH    DEFINED    01 02   0 765,6000
CANADIAN PACIFIC LTD  -      Common Stock  135923100    1,208    54,000SH    DEFINED    01 02   0  54,0000
CANANDAIGUA BRANDS INC-      Common Stock  137219200      638    12,500SH    DEFINED    01 02   0  12,5000
CAPITOL FEDERAL FINANCI      Common Stock 14057C106       475    50,300SH    DEFINED    01 02   0  50,3000
CARDINAL HEALTH              Common Stock 14149Y108    26,069   568,270SH    DEFINED    01 02   0 568,2700
CARLISLE COS INC             Common Stock   14233910        2        50SH    DEFINED    01 02   0      500
CARNIVAL CORP                Common Stock  143658102   15,984   644,200SH    DEFINED    01 02   0 644,2000
CARPENTER TECHNOLOGY         Common Stock  144285103      993    47,730SH    DEFINED    01 02   0  47,7300
CASCADE CORP                 Common Stock  147195101      484    44,000SH    DEFINED    01 02   0  44,0000
CASCADE NAT GAS CORP         Common Stock  147339105      155     9,600SH    DEFINED    01 02   0   9,6000
CASTLE (A M) & CO            Common Stock  148411101       40     3,200SH    DEFINED    01 02   0   3,2000
CATO CORP - CL A             Common Stock  149205106        3       260SH    DEFINED    01 02   0     2600
CBRL GROUP INC               Common Stock 12489V106        27     2,700SH    DEFINED    01 02   0   2,7000
CBS INC                      Common Stock 12490K107    11,439   202,008SH    DEFINED    01 02   0 202,0080
C-CUBE MICROSYSTEMS INC      Common Stock  125015107      241     3,310SH    DEFINED    01 02   0   3,3100
CDW COMPUTER CENTERS IN      Common Stock  125129106    4,045    47,900SH    DEFINED    01 02   0  47,9000
CEC ENTERTAINMENT INC        Common Stock  125137109        4       130SH    DEFINED    01 02   0     1300
CELGENE CORP                 Common Stock  151020104      100     1,000SH    DEFINED    01 02   0   1,0000
CELLSTAR CORP                Common Stock  150925105       30     3,800SH    DEFINED    01 02   0   3,8000
CENTEX CONSTRUCTION PRO      Common Stock 15231R109       278    10,600SH    DEFINED    01 02   0  10,6000
CENTEX CORP                  Common Stock  152312104    3,974   166,900SH    DEFINED    01 02   0 166,9000
CENTRAL NEWSPAPERS  -CL      Common Stock  154647101    7,277   217,625SH    DEFINED    01 02   0 217,6250
CENTURYTEL INC               Common Stock  156700106   10,712   288,550SH    DEFINED    01 02   0 288,5500
CEPHALON INC                 Common Stock  156708109      275     7,320SH    DEFINED    01 02   0   7,3200
CFW COMMUNICATIONS COMP      Common Stock  124923103       32       800SH    DEFINED    01 02   0     8000
CHAMPION INTERNATIONAL       Common Stock   15852510      623    11,700SH    DEFINED    01 02   0  11,7000
CHARMING SHOPPES             Common Stock   16113310      263    46,300SH    DEFINED    01 02   0  46,3000
CHARTER ONE FIN INC          Common Stock  160903100       85     4,065SH    DEFINED    01 02   0   4,0650
CHASE MANHATTAN CORP         Common Stock 16161A108   108,036 1,239,125SH    DEFINED    01 02   01,239,120
CHATTEN INC                  Common Stock  162456107       18     1,300SH    DEFINED    01 02   0   1,3000
CHECKPOINT SYSTEMS INC       Common Stock  162825103       25     3,000SH    DEFINED    01 02   0   3,0000
CHESAPEAKE CORP              Common Stock  165159104       33     1,100SH    DEFINED    01 02   0   1,1000
CHEVRON CORP                 Common Stock  166751107    1,613    17,450SH    DEFINED    01 02   0  17,4500
CHILDRENS PLACE RETAIL       Common Stock  168905107      133     9,300SH    DEFINED    01 02   0   9,3000
CHIRON CORP                  Common Stock   17004010      399     8,000SH    DEFINED    01 02   0   8,0000
CHITTENDEN CORP              Common Stock  170228100       27       900SH    DEFINED    01 02   0     9000
CIENA CORP                   Common Stock  171779101    3,141    24,900SH    DEFINED    01 02   0  24,9000
CIGNA CORP                   Common Stock  125509109   13,637   180,030SH    DEFINED    01 02   0 180,0300
CIRCLE.COM                   Common Stock  832914204    0.428        25SH    DEFINED    01 02   0      250
CIRRUS LOGIC INC             Common Stock  172755100       31     1,700SH    DEFINED    01 02   0   1,7000
CISCO SYSTEMS INC            Common Stock 17275R102   369,422 4,778,290SH    DEFINED    01 02   04,778,290
CIT GROUP                    Common Stock  125577106    1,463    75,000SH    DEFINED    01 02   0  75,0000
CITIGROUP INC                Common Stock  172967101  162,213 2,709,186SH    DEFINED    01 02   02,709,180
CITIZENS BANKING CORP        Common Stock  174420109      581    29,800SH    DEFINED    01 02   0  29,8000
CITIZENS UTILITES CO.DE      Common Stock  177342201      778    47,500SH    DEFINED    01 02   0  47,5000
CITRIX SYSTEM INC            Common Stock  177376100       13       200SH    DEFINED    01 02   0     2000
CITY NATIONAL CORP           Common Stock  178566105    6,774   201,095SH    DEFINED    01 02   0 201,0950
CKE RESTAURANT INC           Common Stock  1.26E+109    7,170 1,124,630SH    DEFINED    01 02   01,124,630
CLEVELAND-CLIFFS INC         Common Stock  185896107      681    28,840SH    DEFINED    01 02   0  28,8400
CLOROX CO-DEL                Common Stock  189054109   15,875   481,075SH    DEFINED    01 02   0 481,0750
CMGI INC                     Common Stock  125750109    5,677    50,100SH    DEFINED    01 02   0  50,1000
CNF TRANSPORTATION INC       Common Stock 12612W104     8,352   300,975SH    DEFINED    01 02   0 300,9750
COASTAL CORP                 Common Stock  190441105   16,785   364,900SH    DEFINED    01 02   0 364,9000
COCA-COLA CO                 Common Stock  191216100    7,131   151,920SH    DEFINED    01 02   0 151,9200
COHERENT INC                 Common Stock  192479103      114     2,200SH    DEFINED    01 02   0   2,2000
COHU INC                     Common Stock  192576106      181     4,330SH    DEFINED    01 02   0   4,3300
COLGATE-PALMOLIVE CO         Common Stock  194162103      113     2,000SH    DEFINED    01 02   0   2,0000
COLONIAL PROPERTIES TRU      Common Stock  195872106       21       900SH    DEFINED    01 02   0     9000
COMDISCO INC                 Common Stock  200336105    1,015    23,000SH    DEFINED    01 02   0  23,0000
COMERICA INC                 Common Stock  200340107   34,917   833,836SH    DEFINED    01 02   0 833,8360
COMMERCE GROUP INC/M         Common Stock  200641108      307    10,400SH    DEFINED    01 02   0  10,4000
COMMERCIAL INTERTECH CO      Common Stock  201709102       39     2,000SH    DEFINED    01 02   0   2,0000
COMMERCIAL METALS CO         Common Stock  201723103      627    22,700SH    DEFINED    01 02   0  22,7000
COMMSCOPE INC                Common Stock  203372107      466    10,200SH    DEFINED    01 02   0  10,2000
COMMUNITY FIRST BANKSHA      Common Stock  203902101        0     1,400SH    DEFINED    01 02   0   1,4000
COMMUNITY TRUST BANCORP      Common Stock  204149108       89     4,939SH    DEFINED    01 02   0   4,9390
COMPAQ COMPUTER CORP         Common Stock  204493100   27,973 1,036,050SH    DEFINED    01 02   01,036,050
COMPUTER ASSOCIATES INT      Common Stock  204912109   58,264   984,400SH    DEFINED    01 02   0 984,4000
COMPUWARE CORP               Common Stock  205638109   15,019   713,070SH    DEFINED    01 02   0 713,0700
COMVERSE TECHNOLOGY INC      Common Stock  205862402   13,725    72,620SH    DEFINED    01 02   0  72,6200
CONAGRA INC                  Common Stock  205887102    8,022   442,600SH    DEFINED    01 02   0 442,6000
CONCENTRIC NETWORK CO        Common Stock 20589R107       353     6,420SH    DEFINED    01 02   0   6,4200
CONECTIV INC                 Common Stock  206829103    3,187   182,100SH    DEFINED    01 02   0 182,1000
CONEXANT SYSTEMS INC         Common Stock  207142100   11,717   165,025SH    DEFINED    01 02   0 165,0250
CONOCO INC - CL A            Common Stock  208251306    9,918   402,750SH    DEFINED    01 02   0 402,7500
CONOCO INC - CLASS B         Common Stock  208251405    8,944   349,050SH    DEFINED    01 02   0 349,0500
CONSECO INC                  Common Stock  208464107   27,032 2,363,475SH    DEFINED    01 02   02,363,470
CONSOL ENERGY INC            Common Stock 20854P109        32     3,000SH    DEFINED    01 02   0   3,0000
CONSTELLATION ENERGY CO      Common Stock  210371100    6,410   201,100SH    DEFINED    01 02   0 201,1000
CONTINENTAL AIRLINES-CL      Common Stock  210795308    7,198   176,100SH    DEFINED    01 02   0 176,1000
CONTINUUM GROUP              Common Stock  212178503        7   109,664SH    DEFINED    01 02   0 109,6640
COOPER CAMERON CORP          Common Stock  216640102      495     7,400SH    DEFINED    01 02   0   7,4000
COOPER COMPANIES INC         Common Stock  216648402      241     7,500SH    DEFINED    01 02   0   7,5000
COOPER TIRE & RUBBER         Common Stock   21683110    1,536   122,300SH    DEFINED    01 02   0 122,3000
COORSTEK INC                 Common Stock  217020106      247     6,125SH    DEFINED    01 02   0   6,1250
COR THERAPEUTICS INC         Common Stock  217753102       99     1,500SH    DEFINED    01 02   0   1,5000
CORDANT TECHNOLOGIES IN      Common Stock  218412104    6,799   120,200SH    DEFINED    01 02   0 120,2000
CORIXA CORP                  Common Stock 21887F100       190     4,600SH    DEFINED    01 02   0   4,6000
CORN PRODUCTS INTL           Common Stock  219023108       24     1,000SH    DEFINED    01 02   0   1,0000
CORNING INC                  Common Stock  219350105   74,317   383,075SH    DEFINED    01 02   0 383,0750
COST PLUS INC/CALIFORNI      Common Stock  221485105      360    10,650SH    DEFINED    01 02   0  10,6500
COUNTRYWIDE CREDIT IND       Common Stock  222372104      222     8,150SH    DEFINED    01 02   0   8,1500
COVANCE INC                  Common Stock  222816100        2       220SH    DEFINED    01 02   0     2200
CPB INC                      Common Stock  125903104       27     1,100SH    DEFINED    01 02   0   1,1000
CPI CORP                     Common Stock  125902106       23     1,000SH    DEFINED    01 02   0   1,0000
CREDENCE SYSTEMS CORP        Common Stock  225302108      543     4,340SH    DEFINED    01 02   0   4,3400
CREE RESH INC                Common Stock  225447101      327     2,900SH    DEFINED    01 02   0   2,9000
CROWN CASTLE INTERNATIO      Common Stock  228227104      648    17,100SH    DEFINED    01 02   0  17,1000
CROWN CORK & SEAL CO IN      Common Stock   22825510      946    59,100SH    DEFINED    01 02   0  59,1000
CSK AUTO CORP                Common Stock  125965103      144    10,300SH    DEFINED    01 02   0  10,3000
CT COMMUNICATIONS INC        Common Stock  126426402      150     2,500SH    DEFINED    01 02   0   2,5000
CTS CORP                     Common Stock  126501105      195     3,420SH    DEFINED    01 02   0   3,4200
CULLEN/FROST BANKERS IN      Common Stock  229899109      132     5,000SH    DEFINED    01 02   0   5,0000
CUMMINS ENGINE               Common Stock   23102110    2,242    59,700SH    DEFINED    01 02   0  59,7000
CYPRESS SEMICONDUCTOR C      Common Stock   23280610      941    19,200SH    DEFINED    01 02   0  19,2000
CYTEC INDUSTRIES INC         Common Stock  232820100    8,183   267,200SH    DEFINED    01 02   0 267,2000
D.R. HORTON INC              Common Stock 23331A109     3,187   243,960SH    DEFINED    01 02   0 243,9600
DAIN RAUSCHER CORP           Common Stock  233856103       79     1,200SH    DEFINED    01 02   0   1,2000
DALLAS SEMICONDUCTOR         Common Stock  235204104      135     3,700SH    DEFINED    01 02   0   3,7000
DARDEN RESTAURANTS INC       Common Stock  237194105      402    22,570SH    DEFINED    01 02   0  22,5700
DEAN FOODS CO                Common Stock  242361103    2,282    85,300SH    DEFINED    01 02   0  85,3000
DEERE & CO                   Common Stock  244199105    1,490    39,200SH    DEFINED    01 02   0  39,2000
DELL COMPUTER CORP           Common Stock  247025109   81,957 1,519,480SH    DEFINED    01 02   01,519,480
DELPHI AUTOMOTIVE SYSTE      Common Stock  247126105    2,684   167,747SH    DEFINED    01 02   0 167,7470
DELTA AIR LINES INC          Common Stock  247361108   17,708   332,545SH    DEFINED    01 02   0 332,5450
DELUXE CORP                  Common Stock  248019101   15,994   603,550SH    DEFINED    01 02   0 603,5500
DETRIOT DIESEL CORP          Common Stock  250837101       67     3,500SH    DEFINED    01 02   0   3,5000
DEVEL DIV RLTY               Common Stock  251591103        1       100SH    DEFINED    01 02   0     1000
DEXTER CORP                  Common Stock  252165105       64     1,200SH    DEFINED    01 02   0   1,2000
DIAGNOSTIC PRODUCTS COR      Common Stock  252450101       64     2,600SH    DEFINED    01 02   0   2,6000
DIAMOND TECH PARTNERS        Common Stock  252762109      179     2,720SH    DEFINED    01 02   0   2,7200
DIEBOLD INC                  Common Stock  253651103    2,162    78,600SH    DEFINED    01 02   0  78,6000
DIGITAL MICROWAVE CORP       Common Stock  253859102      112     3,320SH    DEFINED    01 02   0   3,3200
DII GROUP INC                Common Stock  232949107      612     5,410SH    DEFINED    01 02   0   5,4100
DIME BANCORP INC             Common Stock 25429Q102    21,146 1,143,000SH    DEFINED    01 02   01,143,000
DIME COMMUNITY BANCSHAR      Common Stock  253922108      474    30,000SH    DEFINED    01 02   0  30,0000
DIMON INC                    Common Stock  254394109       25    10,500SH    DEFINED    01 02   0  10,5000
DISNEY (WALT) COMPANY        Common Stock  254687106   40,262   976,040SH    DEFINED    01 02   0 976,0400
DISNEY WALT CO GO.COM        Common Stock  254687205    2,463   119,400SH    DEFINED    01 02   0 119,4000
DOLLAR THRIFTY AUTOMOTI      Common Stock  256743105      430    25,000SH    DEFINED    01 02   0  25,0000
DOLLAR TREE STORES INC       Common Stock  256747106    2,520    48,350SH    DEFINED    01 02   0  48,3500
DOMINION RESOURCES INC       Common Stock 25746U109     6,993   181,939SH    DEFINED    01 02   0 181,9390
DONALDSON LUFKIN & JENR      Common Stock  257661108   12,705   245,500SH    DEFINED    01 02   0 245,5000
DONNELLEY (R.R.) & SONS      Common Stock  257867101   13,509   645,200SH    DEFINED    01 02   0 645,2000
DOVER CORP                   Common Stock  260003108    1,082    22,600SH    DEFINED    01 02   0  22,6000
DOW CHEMICAL                 Common Stock  260543103   54,899   481,568SH    DEFINED    01 02   0 481,5680
DOW JONES & CO INC           Common Stock   26056110   25,896   360,605SH    DEFINED    01 02   0 360,6050
DPL INC                      Common Stock   23329310       22       985SH    DEFINED    01 02   0     9850
DTE ENERGY CO                Common Stock  233331107    5,037   172,570SH    DEFINED    01 02   0 172,5700
DUCOMMUN INC                 Common Stock  264147109       18     2,000SH    DEFINED    01 02   0   2,0000
DUN & BRADSTREET CORP        Common Stock 26483B106     5,663   197,840SH    DEFINED    01 02   0 197,8400
DURA AUTOMOTIVE SYSTEMS      Common Stock  265903104       36     2,100SH    DEFINED    01 02   0   2,1000
DURA PHARMACEUTICALS IN      Common Stock 26632S109        18     1,500SH    DEFINED    01 02   0   1,5000
DYCOM INDUSTRIES INC         Common Stock  267475101      581    11,925SH    DEFINED    01 02   0  11,9250
DYNEGY INC                   Common Stock 26816Q101     1,832    29,195SH    DEFINED    01 02   0  29,1950
EAGLE GEOPHYSICAL INC        Common Stock  269524104    0.019       386SH    DEFINED    01 02   0     3860
EARTHGRAINS COMPANY          Common Stock  270319106       22     1,500SH    DEFINED    01 02   0   1,5000
EASTMAN KODAK CO             Common Stock  277461109   13,820   254,447SH    DEFINED    01 02   0 254,4470
EASTROUP PROPERTIES          Common Stock  277276101       19       900SH    DEFINED    01 02   0     9000
EATON CORP                   Common Stock  278058102   13,991   179,370SH    DEFINED    01 02   0 179,3700
ECHELON CORP                 Common Stock 27874N105        92     1,400SH    DEFINED    01 02   0   1,4000
ECHOSTAR COMMUNICATION       Common Stock  278762109    1,659    21,000SH    DEFINED    01 02   0  21,0000
EDISON INTERNATIONAL         Common Stock  281020107      654    39,500SH    DEFINED    01 02   0  39,5000
EDWARDS (A.G.) INC           Common Stock  281760108   28,034   700,852SH    DEFINED    01 02   0 700,8520
ELECTRO SCIENTIFIC INDS      Common Stock  285229100      433     7,470SH    DEFINED    01 02   0   7,4700
ELECTRONIC ARTS INC          Common Stock  285512109   15,467   217,265SH    DEFINED    01 02   0 217,2650
ELECTRONIC DATA SYSTEMS      Common Stock  285661104   20,741   323,135SH    DEFINED    01 02   0 323,1350
ELECTRONICS FOR IMAGING      Common Stock  286082102       84     1,395SH    DEFINED    01 02   0   1,3950
EMC CORP                     Common Stock  268648102   68,555   544,085SH    DEFINED    01 02   0 544,0850
EMERGE INTERACTIVE INC       Common Stock 29088W103     0.603        20SH    DEFINED    01 02   0      200
EMULEX CORP                  Common Stock  292475209      309     2,830SH    DEFINED    01 02   0   2,8300
ENERGY EAST CORPORATION      Common Stock 29266M109    22,307 1,125,910SH    DEFINED    01 02   01,125,910
ENGELHARD CORP               Common Stock  292845104    2,059   136,150SH    DEFINED    01 02   0 136,1500
ENNIS BUSINESS FORMS         Common Stock  293389102    1,282   176,800SH    DEFINED    01 02   0 176,8000
ENRON CORP                   Common Stock  293561106   71,804   958,980SH    DEFINED    01 02   0 958,9800
ENSCO INTERNATIONAL INC      Common Stock 26874Q100       679    18,800SH    DEFINED    01 02   0  18,8000
ENTERGY CORP                 Common Stock 29364G103     5,695   282,100SH    DEFINED    01 02   0 282,1000
ENTRUST TECHNOLOGIES         Common Stock  293848107      154     1,810SH    DEFINED    01 02   0   1,8100
ENZO BIOCHEM INC             Common Stock  294100102      264     3,800SH    DEFINED    01 02   0   3,8000
EQUITABLE RESOURCES INC      Common Stock  294549100   10,351   230,975SH    DEFINED    01 02   0 230,9750
EQUITY OFFICE PROPERTIE      Common Stock  294741103    4,834   192,400SH    DEFINED    01 02   0 192,4000
EQUITY RESIDENTIAL PROP      Common Stock 29476L107     2,009    50,000SH    DEFINED    01 02   0  50,0000
ESS TECHNOLOGY INC           Common Stock  269151106       18     1,000SH    DEFINED    01 02   0   1,0000
ETHYL CORP                   Common Stock   29765910      420   137,200SH    DEFINED    01 02   0 137,2000
EVEREST REINSURANCE GRO      Common Stock G3223R108     2,734    83,800SH    DEFINED    01 02   0  83,8000
EXAR CORP                    Common Stock  300645108       21       300SH    DEFINED    01 02   0     3000
EXODUS COMMUNICATIONS        Common Stock  302088109    2,571    18,300SH    DEFINED    01 02   0  18,3000
EXXON MOBIL CORPORATION      Common Stock 30231G102   128,624 1,650,350SH    DEFINED    01 02   01,650,350
FACTSET RESEARCH SYSTEM      Common Stock  303075105      114     4,230SH    DEFINED    01 02   0   4,2300
FAIR ISAAC & CO INC          Common Stock  303250104      109     2,800SH    DEFINED    01 02   0   2,8000
FAMILY DOLLAR STORES         Common Stock  307000109    3,823   183,674SH    DEFINED    01 02   0 183,6740
FED HOME LOAN MTG CO         Common Stock  313400301   10,508   237,800SH    DEFINED    01 02   0 237,8000
FEDERAL NATL MORTGAGE A      Common Stock  313586109   26,780   473,450SH    DEFINED    01 02   0 473,4500
FEDERAL SIGNAL CORP          Common Stock   31385510       72     4,000SH    DEFINED    01 02   0   4,0000
FEDERATED DEPARTMENT ST      Common Stock 31410H101    21,247   502,890SH    DEFINED    01 02   0 502,8900
FIDELITY NATIONAL FINAN      Common Stock  316326107      326    23,617SH    DEFINED    01 02   0  23,6170
FILENET CORP                 Common Stock  316869106      101     3,390SH    DEFINED    01 02   0   3,3900
FINANCIAL FEDERAL CORP       Common Stock  317492106      127     7,000SH    DEFINED    01 02   0   7,0000
FINANCIAL SECURITY ASSU      Common Stock 31769P100       793    10,800SH    DEFINED    01 02   0  10,8000
FINOVA GROUP INC             Common Stock  317928109      881    52,400SH    DEFINED    01 02   0  52,4000
FIRST AMERICAN FIN'L CO      Common Stock  318522307       63     4,500SH    DEFINED    01 02   0   4,5000
FIRST DATA CORP              Common Stock  319963104   20,328   458,100SH    DEFINED    01 02   0 458,1000
FIRST INDUSTRIAL REALTY      Common Stock 32054K103        27     1,000SH    DEFINED    01 02   0   1,0000
FIRST UNION CORP (N.C.)      Common Stock  337358105   11,449   307,360SH    DEFINED    01 02   0 307,3600
FIRSTENERGY CORP             Common Stock  337932107    9,616   466,225SH    DEFINED    01 02   0 466,2250
FIRSTPLUS FINANCIAL GRO      Common Stock 33763B103       215   422,400SH    DEFINED    01 02   0 422,4000
FIRSTSTAR CORP               Common Stock 33763V109     4,733   206,350SH    DEFINED    01 02   0 206,3500
FISHER SCIENTIFIC INTER      Common Stock  338032204      139     3,120SH    DEFINED    01 02   0   3,1200
FLAGSTAR BANCORP INC         Common Stock  337930101      134    10,300SH    DEFINED    01 02   0  10,3000
FLEETBOSTON FINANCIAL C      Common Stock  339030108   48,000 1,315,067SH    DEFINED    01 02   01,315,060
FLEETWOOD ENTERPRISES        Common Stock  339099103       40     2,700SH    DEFINED    01 02   0   2,7000
FLEMING COMPANIES INC        Common Stock  339130106      127     8,400SH    DEFINED    01 02   0   8,4000
FLORIDA PROGRESS CORP        Common Stock  341109106      319     6,950SH    DEFINED    01 02   0   6,9500
FLOWERS INDUSTRIES INC       Common Stock  343496105    4,977   327,735SH    DEFINED    01 02   0 327,7350
FMC CORP                     Common Stock  302491303    8,393   148,540SH    DEFINED    01 02   0 148,5400
FORD MOTOR CO                Common Stock  345370100   47,367 1,031,110SH    DEFINED    01 02   01,031,110
FOREST LABORATORIES  -C      Common Stock   34583810      123     1,460SH    DEFINED    01 02   0   1,4600
FORTUNE BRANDS INC.          Common Stock  349631101    6,177   247,090SH    DEFINED    01 02   0 247,0900
FOSSIL INC                   Common Stock  349882100      373    15,900SH    DEFINED    01 02   0  15,9000
FPL GROUP INC                Common Stock  302571104        9       190SH    DEFINED    01 02   0     1900
FRANCHISE FINANCE CORP       Common Stock  351807102       30     1,310SH    DEFINED    01 02   0   1,3100
FRIEDMANS INC  -             Common Stock  358438109       21     3,400SH    DEFINED    01 02   0   3,4000
FURNITURE BRANDS INTERN      Common Stock  360921100      531    28,200SH    DEFINED    01 02   0  28,2000
FYI INC                      Common Stock  302712104      111     4,100SH    DEFINED    01 02   0   4,1000
GALILEO INTERNATIONAL I      Common Stock  363547100       39     1,600SH    DEFINED    01 02   0   1,6000
GALLAHER GROUP PLC-ADR       Common Stock  363595109    1,716    87,140SH    DEFINED    01 02   0  87,1400
GANNETT CO                   Common Stock  364730101   56,477   802,510SH    DEFINED    01 02   0 802,5100
GAP INC                      Common Stock  364760108   26,157   525,118SH    DEFINED    01 02   0 525,1180
GATEWAY INC                  Common Stock  367626108    5,672   106,925SH    DEFINED    01 02   0 106,9250
GAYLORD ENTERTAINMENT        Common Stock  367905106       52     1,900SH    DEFINED    01 02   0   1,9000
GENCORP INC                  Common Stock  368682100      238    30,700SH    DEFINED    01 02   0  30,7000
GENERAL CABLE CORP           Common Stock  369300108      320    40,900SH    DEFINED    01 02   0  40,9000
GENERAL CHEMICAL GROUP       Common Stock  369332101       10     4,600SH    DEFINED    01 02   0   4,6000
GENERAL DYNAMICS CORP        Common Stock  369550108   31,711   637,400SH    DEFINED    01 02   0 637,4000
GENERAL ELECTRIC CO          Common Stock  369604103  228,522 1,468,415SH    DEFINED    01 02   01,468,410
GENERAL MILLS INC            Common Stock  370334104   38,676 1,068,765SH    DEFINED    01 02   01,068,760
GENERAL MOTORS CL H          Common Stock  370442832    2,204    17,700SH    DEFINED    01 02   0  17,7000
GENERAL MOTORS CORP          Common Stock  370442105    3,401    41,071SH    DEFINED    01 02   0  41,0710
GENERAL SEMICONDUCTOR I      Common Stock  370787103       24     1,400SH    DEFINED    01 02   0   1,4000
GENTEK INC                   Common Stock 37245X104        38     2,720SH    DEFINED    01 02   0   2,7200
GENTEX CORP                  Common Stock  371901109      356     9,600SH    DEFINED    01 02   0   9,6000
GENZYME CORP                 Common Stock  372917104    4,581    91,400SH    DEFINED    01 02   0  91,4000
GENZYME-MOLECULAR ONCOL      Common Stock  372917500        4       248SH    DEFINED    01 02   0     2480
GEORGIA PACIFIC TIMBER       Common Stock  373298702    4,354   169,900SH    DEFINED    01 02   0 169,9000
GEORGIA-PACIFIC CORP         Common Stock  373298108   12,051   304,600SH    DEFINED    01 02   0 304,6000
GERBER SCIENTIFIC INC        Common Stock   37373010       42     2,200SH    DEFINED    01 02   0   2,2000
GILEAD SCIENCES INC          Common Stock  375558103      229     3,610SH    DEFINED    01 02   0   3,6100
GILLETTE CO                  Common Stock  375766102    2,819    74,800SH    DEFINED    01 02   0  74,8000
GLENAYRE TECHNOLOGIES        Common Stock  377899109      108     6,130SH    DEFINED    01 02   0   6,1300
GLENBOROUGH REALTY TRUS      Common Stock 37803P105        23     1,600SH    DEFINED    01 02   0   1,6000
GLOBAL CROSSING              Common Stock G3921A100       248     6,050SH    DEFINED    01 02   0   6,0500
GLOBAL MARINE INC            Common Stock  379352404      645    25,400SH    DEFINED    01 02   0  25,4000
GO2NET INC                   Common Stock  383486107      251     3,110SH    DEFINED    01 02   0   3,1100
GOLDEN STATE BANCORP IN      Common Stock  381197102    2,961   198,215SH    DEFINED    01 02   0 198,2150
GOLDEN WEST FINANCIAL C      Common Stock  381317106      221     7,100SH    DEFINED    01 02   0   7,1000
GOLDMAN SACHS GROUP INC      Common Stock 38141G104    12,092   114,890SH    DEFINED    01 02   0 114,8900
GOODRICH (B.F.) CO           Common Stock  382388106    2,450    85,395SH    DEFINED    01 02   0  85,3950
GPU INC                      Common Stock 36225X100    29,707 1,085,170SH    DEFINED    01 02   01,085,170
GRACE (W.R.) & CO            Common Stock 38388F108     2,839   220,500SH    DEFINED    01 02   0 220,5000
GRAPHIC PACKAGING CORP       Common Stock    5123104      106    25,700SH    DEFINED    01 02   0  25,7000
GREAT ATLANTIC & PAC TE      Common Stock  390064103    2,272   116,500SH    DEFINED    01 02   0 116,5000
GREENPOINT FINANCIAL CO      Common Stock  395384100    3,158   160,900SH    DEFINED    01 02   0 160,9000
GREY ADVERTISING INC         Common Stock  397838103       41       100SH    DEFINED    01 02   0     1000
GTE CORP                     Common Stock  362320103   59,311   835,370SH    DEFINED    01 02   0 835,3700
GUIDANT CORP                 Common Stock  401698105      694    11,780SH    DEFINED    01 02   0  11,7800
GULF ISLAND FABRICATION      Common Stock  402307102      203    13,900SH    DEFINED    01 02   0  13,9000
HADCO CORP                   Common Stock  404681108      344     5,300SH    DEFINED    01 02   0   5,3000
HALLIBURTON CO               Common Stock  406216101       62     1,500SH    DEFINED    01 02   0   1,5000
HANNA (M.A.) CO              Common Stock   41052210       32     2,800SH    DEFINED    01 02   0   2,8000
HARBOR FLORIDA BANCSHAR      Common Stock  411901101      312    27,400SH    DEFINED    01 02   0  27,4000
HARMAN INTERNATIONAL IN      Common Stock  413086109       72     1,200SH    DEFINED    01 02   0   1,2000
HARMONIC INC                 Common Stock  413160102      267     3,210SH    DEFINED    01 02   0   3,2100
HARRAH'S ENTERTAINMENT       Common Stock  413619107    1,513    81,500SH    DEFINED    01 02   0  81,5000
HARRIS CORP                  Common Stock  413875105    3,456   100,000SH    DEFINED    01 02   0 100,0000
HARSCO CORP                  Common Stock  415864107       29     1,000SH    DEFINED    01 02   0   1,0000
HARTE-HANKS COMMUNICATI      Common Stock  416196103    4,385   193,300SH    DEFINED    01 02   0 193,3000
HARTFORD FINANCIAL SERV      Common Stock  416515104    1,066    20,200SH    DEFINED    01 02   0  20,2000
HARTMARX CORP                Common Stock  417119104       21     7,600SH    DEFINED    01 02   0   7,6000
HASBRO INC                   Common Stock   41805610    6,854   410,700SH    DEFINED    01 02   0 410,7000
HAUPPAGE DIGITAL INC UN      Common Stock  419131107        3       150SH    DEFINED    01 02   0     1500
HAWAIIAN ELECTRIC INDS       Common Stock   41987010       76     2,400SH    DEFINED    01 02   0   2,4000
HEALTH CARE PPTYS INVES      Common Stock  421915109       23       900SH    DEFINED    01 02   0     9000
HEALTH CARE REIT INC         Common Stock 42217K106       119     8,500SH    DEFINED    01 02   0   8,5000
HEALTH MGMT ASSOCIATES       Common Stock  421933102      339    23,800SH    DEFINED    01 02   0  23,8000
HEALTHCARE REALTY TRUST      Common Stock  421946104      367    21,900SH    DEFINED    01 02   0  21,9000
HEINZ (H.J.) CO              Common Stock  423074103   33,716   966,765SH    DEFINED    01 02   0 966,7650
HELIX TECHNOLOGY CORP        Common Stock  423319102    0.601        10SH    DEFINED    01 02   0      100
HELMERICH & PAYNE            Common Stock  423452101      344    11,100SH    DEFINED    01 02   0  11,1000
HEMRY (JACK) & ASSOCIAT      Common Stock  426281101        5       140SH    DEFINED    01 02   0     1400
HERBALIFE INT'L INC - C      Common Stock  426908208      212    15,000SH    DEFINED    01 02   0  15,0000
HERTZ CORP - CLASS A         Common Stock  428040109    4,453   130,725SH    DEFINED    01 02   0 130,7250
HEWLETT-PACKARD CO           Common Stock  428236103   46,797   352,190SH    DEFINED    01 02   0 352,1900
HIBERNIA CORP                Common Stock  428656102      416    39,600SH    DEFINED    01 02   0  39,6000
HIGHWOODS PROPERTIES IN      Common Stock  431284108    3,258   152,400SH    DEFINED    01 02   0 152,4000
HNC SOFTWARE INC             Common Stock 40425P107       109     1,510SH    DEFINED    01 02   0   1,5100
HOLLINGER INTERNATIONAL      Common Stock  435569108      370    34,400SH    DEFINED    01 02   0  34,4000
HOME DEPOT INC               Common Stock  437076102   80,007 1,240,411SH    DEFINED    01 02   01,240,410
HONEYWELL INTERNATIONAL      Common Stock  438516106   32,253   612,150SH    DEFINED    01 02   0 612,1500
HOOPER HOLMES INC            Common Stock  439104100      183     5,340SH    DEFINED    01 02   0   5,3400
HOSPITALITY PROPERTIES       Common Stock 44106M102       389    19,200SH    DEFINED    01 02   0  19,2000
HOUSEHOLD INTERNATIONAL      Common Stock  441815107    2,444    65,500SH    DEFINED    01 02   0  65,5000
HOUSTON EXPLORATION COM      Common Stock  442120101      405    22,510SH    DEFINED    01 02   0  22,5100
HS RESOURCES INC             Common Stock  404297103      167     7,900SH    DEFINED    01 02   0   7,9000
HUDSON UNITED BANCORP        Common Stock  444165104      674    31,100SH    DEFINED    01 02   0  31,1000
HUGHES SUPPLY INC            Common Stock  444482103       47     3,000SH    DEFINED    01 02   0   3,0000
HUMAN GENOME SCIENCE         Common Stock  444903108      258     3,110SH    DEFINED    01 02   0   3,1100
HUNT CORP                    Common Stock  445591100       38     4,200SH    DEFINED    01 02   0   4,2000
HYPERION SOLUTIONS CORP      Common Stock 44914M104        75     2,320SH    DEFINED    01 02   0   2,3200
I2 TECHNOLOGIES INC          Common Stock  465754109    1,160     9,500SH    DEFINED    01 02   0   9,5000
IBP INC                      Common Stock  449223106    4,177   265,200SH    DEFINED    01 02   0 265,2000
ICG COMMUNICATIONS INC       Common Stock  449246107      135     3,730SH    DEFINED    01 02   0   3,7300
ICN PHARMACEUTICALS INC      Common Stock  448924100    8,469   310,800SH    DEFINED    01 02   0 310,8000
IDACORP INC                  Common Stock  451107106    1,883    54,200SH    DEFINED    01 02   0  54,2000
IDEC PHARMACEUTICALS CO      Common Stock  449370105      453     4,610SH    DEFINED    01 02   0   4,6100
IKON OFFICE SOLUTIONS        Common Stock  451713101        5       850SH    DEFINED    01 02   0     8500
ILLINOIS TOOL WORKS          Common Stock   45230810    1,404    25,403SH    DEFINED    01 02   0  25,4030
IMATION CORP                 Common Stock 45245A107       225     8,416SH    DEFINED    01 02   0   8,4160
IMCLONE SYS INC              Common Stock 45245W109       108     1,410SH    DEFINED    01 02   0   1,4100
IN FOCUS SYSTEMS INC         Common Stock  452919103      220     6,140SH    DEFINED    01 02   0   6,1400
INACOM CORP                  Common Stock 45323G109        17     6,080SH    DEFINED    01 02   0   6,0800
INCYTE PHARMACEUTICALS       Common Stock 45337C102       176     2,010SH    DEFINED    01 02   0   2,0100
INFOCURE CORP                Common Stock 45665A108       190    10,960SH    DEFINED    01 02   0  10,9600
INFORMIX CORP                Common Stock  456779107      493    29,100SH    DEFINED    01 02   0  29,1000
INFOSPACE COM INC            Common Stock 45678T102     2,080    14,300SH    DEFINED    01 02   0  14,3000
INFOUSA, INC.                Common Stock  456818301    0.913       100SH    DEFINED    01 02   0     1000
INGERSOLL-RAND CO            Common Stock  456866102   22,475   507,914SH    DEFINED    01 02   0 507,9140
INKTOMI CORP                 Common Stock  457277101    1,619     8,300SH    DEFINED    01 02   0   8,3000
INSIGHT ENTERPRISES INC      Common Stock 45765U103       417    11,450SH    DEFINED    01 02   0  11,4500
INTEGRATED DEVICE TECH       Common Stock  458118106      701    17,700SH    DEFINED    01 02   0  17,7000
INTEL CORP                   Common Stock  458140100  221,364 1,677,795SH    DEFINED    01 02   01,677,790
INTER TEL INC                Common Stock  458372109    0.548        20SH    DEFINED    01 02   0      200
INTERDIGITAL COMM CORP       Common Stock 45866A105       141     5,630SH    DEFINED    01 02   0   5,6300
INTERMEDIA COMMUNICATIO      Common Stock  458801107      243     5,020SH    DEFINED    01 02   0   5,0200
INTERMET CORP                Common Stock 45881K104        42     4,600SH    DEFINED    01 02   0   4,6000
INTERNATIONAL FIBERCOM       Common Stock 45950T101      0.95        40SH    DEFINED    01 02   0      400
INTERPUBLIC GROUP OF CO      Common Stock   46069010   22,245   470,800SH    DEFINED    01 02   0 470,8000
INTERSTATE BAKERIES CO.      Common Stock 46072H108     2,381   167,070SH    DEFINED    01 02   0 167,0700
INTERVOICE-BRITE, INC.       Common Stock  461142101      224     7,770SH    DEFINED    01 02   0   7,7700
INTERVU INC                  Common Stock 46114R106        73       810SH    DEFINED    01 02   0     8100
INTL BUSINESS MACHINES       Common Stock  459200101  103,899   880,503SH    DEFINED    01 02   0 880,5030
INTL FLAVORS & FRAGRANC      Common Stock  459506101    1,366    38,950SH    DEFINED    01 02   0  38,9500
INTL MULTIFOODS CORP         Common Stock  460043102    1,016    75,930SH    DEFINED    01 02   0  75,9300
INTL PAPER CO                Common Stock  460146103      216     5,050SH    DEFINED    01 02   0   5,0500
INTL RECTIFIER CORP          Common Stock   46025410      477    12,520SH    DEFINED    01 02   0  12,5200
INTRAWARE INC                Common Stock 46118M103       120     2,910SH    DEFINED    01 02   0   2,9100
INTUIT INC                   Common Stock  461202103      144     2,640SH    DEFINED    01 02   0   2,6400
IPC COMMUNICATIONS INC       Common Stock 44980K206       124       600SH    DEFINED    01 02   0     6000
ISS GROUP INC                Common Stock  450306105      188     1,610SH    DEFINED    01 02   0   1,6100
IVAX CORP                    Common Stock   46582310    7,238   265,600SH    DEFINED    01 02   0 265,6000
J.P. MORGAN & CO             Common Stock  616880100   72,484   550,160SH    DEFINED    01 02   0 550,1600
JABIL CIRCUIT INC            Common Stock  466313103      389     9,000SH    DEFINED    01 02   0   9,0000
JACK IN THE BOX INC          Common Stock  466367109      597    28,000SH    DEFINED    01 02   0  28,0000
JAN BELL MARKETING INC       Common Stock  470760109       23     7,900SH    DEFINED    01 02   0   7,9000
JDS UNIPHASE CORP            Common Stock 46612J101    27,874   231,200SH    DEFINED    01 02   0 231,2000
JEFFERSON SVGS BANCORP       Common Stock  474900107       34     3,000SH    DEFINED    01 02   0   3,0000
JOHN NUVEEN CO - CL A        Common Stock  478035108      322     8,420SH    DEFINED    01 02   0   8,4200
JOHNSON & JOHNSON            Common Stock  478160104   38,857   553,120SH    DEFINED    01 02   0 553,1200
JOHNSON CONTROLS INC         Common Stock  478366107   23,354   431,975SH    DEFINED    01 02   0 431,9750
JONES APPAREL GROUP INC      Common Stock   48007410      652    20,605SH    DEFINED    01 02   0  20,6050
JONES MEDICAL INDS INC       Common Stock  480236108      296     9,740SH    DEFINED    01 02   0   9,7400
JOSTENS INC                  Common Stock  481088102    7,234   296,795SH    DEFINED    01 02   0 296,7950
K MART CORP                  Common Stock  482584109    3,375   348,340SH    DEFINED    01 02   0 348,3400
KAMAN CORP  -CL A            Common Stock  483548103       20     2,000SH    DEFINED    01 02   0   2,0000
KAUFMAN & BROAD HOME         Common Stock  486168107    8,724   406,970SH    DEFINED    01 02   0 406,9700
KEEBLER FOODS CO             Common Stock  487256109    1,702    59,345SH    DEFINED    01 02   0  59,3450
KELLOGG CO                   Common Stock   48783610       65     2,530SH    DEFINED    01 02   0   2,5300
KELLSTROM INDS INC           Common Stock  488035106      114    20,000SH    DEFINED    01 02   0  20,0000
KELLWOOD COMPANY             Common Stock  488044108       46     2,600SH    DEFINED    01 02   0   2,6000
KELLY SERVICES INC  -CL      Common Stock  488152208      326    13,600SH    DEFINED    01 02   0  13,6000
KEMET CORP                   Common Stock  488360108      657    10,380SH    DEFINED    01 02   0  10,3800
KENNAMETAL INC               Common Stock   48917010       24       800SH    DEFINED    01 02   0     8000
KENT ELECTRS CORP            Common Stock  490553104       23       800SH    DEFINED    01 02   0     8000
KERR-MCGEE CORP              Common Stock  492386107   21,581   373,696SH    DEFINED    01 02   0 373,6960
KEY ENERGY GROUP INC         Common Stock  492914106       58     5,000SH    DEFINED    01 02   0   5,0000
KIMBERLY-CLARK CORP          Common Stock  494368103   18,463   329,325SH    DEFINED    01 02   0 329,3250
KING PHARMACEUTICALS IN      Common Stock  495582108      210     6,670SH    DEFINED    01 02   0   6,6700
KLA INSTRUMENTS CORP         Common Stock  482480100    3,758    44,600SH    DEFINED    01 02   0  44,6000
KNIGHT/TRIMARK GROUP IN      Common Stock  499068104    3,122    61,225SH    DEFINED    01 02   0  61,2250
KNIGHT-RIDDER INC            Common Stock  499040103   54,944 1,072,085SH    DEFINED    01 02   01,072,080
KOHLS CORP                   Common Stock  500255104      984     9,600SH    DEFINED    01 02   0   9,6000
KOPIN CORP                   Common Stock  500600101      111     1,610SH    DEFINED    01 02   0   1,6100
KROGER CO                    Common Stock  501044101       14       800SH    DEFINED    01 02   0     8000
KULICKE & SOFFA INDUSTR      Common Stock  501242101      456     7,120SH    DEFINED    01 02   0   7,1200
L-3 COMMUNICATIONS HLDG      Common Stock  502424104    1,643    31,625SH    DEFINED    01 02   0  31,6250
LAM RESEARCH CORPORTION      Common Stock  512807108      722    16,020SH    DEFINED    01 02   0  16,0200
LANCASTER COLONY CORP        Common Stock  513847103       40     1,300SH    DEFINED    01 02   0   1,3000
LANDSTAR SYSTEM INC          Common Stock  515098101      486     8,870SH    DEFINED    01 02   0   8,8700
LEAP WIRELESS INTL INC       Common Stock  521863100      367     3,720SH    DEFINED    01 02   0   3,7200
LEAR CORP                    Common Stock  521865105    1,937    68,855SH    DEFINED    01 02   0  68,8550
LEASING SOLUTIONS INC        Common Stock  522113109    0.011       350SH    DEFINED    01 02   0     3500
LEGG MASON INC               Common Stock  524901105       13       300SH    DEFINED    01 02   0     3000
LEHMAN BROTHERS HOLDING      Common Stock  524908100   31,293   322,605SH    DEFINED    01 02   0 322,6050
LENNAR CORP                  Common Stock   52605710       46     2,100SH    DEFINED    01 02   0   2,1000
LEUCADIA NATIONAL CORP       Common Stock  527288104       40     1,700SH    DEFINED    01 02   0   1,7000
LEXMARK INT'L GROUP INC      Common Stock  529771107   25,606   242,140SH    DEFINED    01 02   0 242,1400
LIBERTY DIGITAL INC - C      Common Stock  530436104        4       100SH    DEFINED    01 02   0     1000
LILLY (ELI) & CO             Common Stock  532457108   62,555   998,890SH    DEFINED    01 02   0 998,8900
LIMITED INC                  Common Stock  532716107    1,752    41,600SH    DEFINED    01 02   0  41,6000
LINCARE HOLDINGS INC         Common Stock  532791100    4,939   174,051SH    DEFINED    01 02   0 174,0510
LINCOLN ELECTRIC HOLDIN      Common Stock  533900106       85     3,500SH    DEFINED    01 02   0   3,5000
LINEAR TECHNOLOGY CORP       Common Stock   53567810   12,518   227,600SH    DEFINED    01 02   0 227,6000
LIZ CLAIBORNE INC            Common Stock  539320101      527    11,500SH    DEFINED    01 02   0  11,5000
LOEWS CORP                   Common Stock  540424108    7,820   156,400SH    DEFINED    01 02   0 156,4000
LONGS DRUG STORES INC        Common Stock   54316210    2,129    93,600SH    DEFINED    01 02   0  93,6000
LOUISIANA-PACIFIC CORP       Common Stock   54634710    2,706   195,000SH    DEFINED    01 02   0 195,0000
LOWES  COS                   Common Stock  548661107   26,655   456,615SH    DEFINED    01 02   0 456,6150
LSI LOGIC CORP               Common Stock  502161102   13,004   179,060SH    DEFINED    01 02   0 179,0600
LTX CORP                     Common Stock  502392103      385     8,530SH    DEFINED    01 02   0   8,5300
LUBRIZOL CORP                Common Stock  549271104   17,833   618,925SH    DEFINED    01 02   0 618,9250
LUBY'S CAFETERIAS INC        Common Stock   54928210       18     1,900SH    DEFINED    01 02   0   1,9000
LUCENT TECHNOLOGIES INC      Common Stock  549463107  104,456 1,705,410SH    DEFINED    01 02   01,705,410
MACERICH CO                  Common Stock  554382101      439    21,300SH    DEFINED    01 02   0  21,3000
MACK-CALI REALTY CORP        Common Stock  554489104    1,757    68,900SH    DEFINED    01 02   0  68,9000
MACROVISION CORP             Common Stock  555904101      207     2,400SH    DEFINED    01 02   0   2,4000
MAGNA INTERNATIONAL INC      Common Stock  559222401    1,216    30,400SH    DEFINED    01 02   0  30,4000
MAGNETEK INC                 Common Stock  559424106       25     2,800SH    DEFINED    01 02   0   2,8000
MALLINCKRODT INC.            Common Stock  561232109    7,489   260,500SH    DEFINED    01 02   0 260,5000
MANDALAY RESORT GROUP        Common Stock  562567107    1,841   109,125SH    DEFINED    01 02   0 109,1250
MANPOWER INC.                Common Stock 56418H100     7,114   200,400SH    DEFINED    01 02   0 200,4000
MarchFirst, Inc.             Common Stock  566244109    4,147   116,200SH    DEFINED    01 02   0 116,2000
MARINE DRILLING CO INC       Common Stock  568240204       36     1,300SH    DEFINED    01 02   0   1,3000
MARK IV INDUSTRIES INC       Common Stock   57038710       24     1,100SH    DEFINED    01 02   0   1,1000
MARSH & MCLENNAN COS         Common Stock  571748102   31,783   288,120SH    DEFINED    01 02   0 288,1200
MARTIN MARIETTA MATERIA      Common Stock  573284106    5,648   118,900SH    DEFINED    01 02   0 118,9000
MASCO CORP                   Common Stock  574599106      759    37,000SH    DEFINED    01 02   0  37,0000
MATRIA HEALTHCARE            Common Stock  576817100      162    30,500SH    DEFINED    01 02   0  30,5000
MAYTAG CORP                  Common Stock  578592107      566    17,100SH    DEFINED    01 02   0  17,1000
MBIA INC                     Common Stock 55262C100    12,958   248,900SH    DEFINED    01 02   0 248,9000
MCCORMICK & CO               Common Stock  579780206   10,639   329,900SH    DEFINED    01 02   0 329,9000
MCDONALDS CORP               Common Stock  580135101    9,688   259,200SH    DEFINED    01 02   0 259,2000
MCGRAW-HILL COMPANIES I      Common Stock  580645109   43,475   955,490SH    DEFINED    01 02   0 955,4900
MCI WORLDCOM INC             Common Stock 55268B106    35,166   776,079SH    DEFINED    01 02   0 776,0790
MCKESSON HBOC INC            Common Stock 58155Q103    11,051   526,227SH    DEFINED    01 02   0 526,2270
MDC HOLDINGS INC             Common Stock  552676108      500    27,900SH    DEFINED    01 02   0  27,9000
MEDIA GENERAL  -CL A         Common Stock  584404107      377     7,200SH    DEFINED    01 02   0   7,2000
MEDICIS PHARMACEUTICALS      Common Stock  584690309      431    10,770SH    DEFINED    01 02   0  10,7700
MEDIMMUNE INC                Common Stock   58469910    5,124    29,430SH    DEFINED    01 02   0  29,4300
MEDQUIST INC                 Common Stock  584949101      439    16,140SH    DEFINED    01 02   0  16,1400
MEDTRONIC INC                Common Stock  585055106   34,185   664,594SH    DEFINED    01 02   0 664,5940
MELLON FINANCIAL CORP        Common Stock 58551A108     3,322   111,670SH    DEFINED    01 02   0 111,6700
MENS WEARHOUSE INC           Common Stock  587118100      172     5,800SH    DEFINED    01 02   0   5,8000
MENTOR GRAPHICS CORP         Common Stock   58720010        3       200SH    DEFINED    01 02   0     2000
MERCK & CO                   Common Stock  589331107   83,468 1,343,548SH    DEFINED    01 02   01,343,540
MERCURY COMPUTER SYS         Common Stock  589378108      308     6,300SH    DEFINED    01 02   0   6,3000
MERCURY INTERACTIVE COR      Common Stock  589405109    2,277    28,730SH    DEFINED    01 02   0  28,7300
MERRILL LYNCH & CO           Common Stock   59018810   41,046   390,915SH    DEFINED    01 02   0 390,9150
METHODE ELECTRONICS - C      Common Stock  591520200       51     1,000SH    DEFINED    01 02   0   1,0000
METRIS COMPANIES INC         Common Stock  591598107   15,509   398,944SH    DEFINED    01 02   0 398,9440
METRO GOLDWYN MAYER INC      Common Stock  591610100    1,753    68,900SH    DEFINED    01 02   0  68,9000
METTLER-TOLEDO INTL          Common Stock  592688105      151     3,700SH    DEFINED    01 02   0   3,7000
MFC BANCORP LIMITED          Common Stock 55271X103        22     3,100SH    DEFINED    01 02   0   3,1000
MGC COMMUNICATIONS INC       Common Stock  552763302        1        20SH    DEFINED    01 02   0      200
MGIC INVEST CORP WIS         Common Stock  552848103   10,040   230,145SH    DEFINED    01 02   0 230,1450
MI SCHOTTENSTEIN HOMES       Common Stock 55305B101        41     2,600SH    DEFINED    01 02   0   2,6000
MICHAEL FOODS INC            Common Stock  594079105      252    12,000SH    DEFINED    01 02   0  12,0000
MICROCHIP TECHNOLOGY IN      Common Stock  595017104   14,089   214,280SH    DEFINED    01 02   0 214,2800
MICROMUSE INC                Common Stock  595094103      251     1,810SH    DEFINED    01 02   0   1,8100
MICRON TECHNOLOGY INC        Common Stock   59511210   30,239   239,990SH    DEFINED    01 02   0 239,9900
MICROS SYSTEMS INC           Common Stock  594901100      312     4,950SH    DEFINED    01 02   0   4,9500
MICROSOFT CORP               Common Stock  594918104  333,297 3,136,912SH    DEFINED    01 02   03,136,910
MICROSTRATEGY INC            Common Stock  594972101      569     6,530SH    DEFINED    01 02   0   6,5300
MIDWAY GAMES INC             Common Stock  598148104      201    15,200SH    DEFINED    01 02   0  15,2000
MIKASA INC                   Common Stock 59862T109        23     3,100SH    DEFINED    01 02   0   3,1000
MILACRON INC                 Common Stock  598709103       34     2,325SH    DEFINED    01 02   0   2,3250
MILLENNIUM PHARMACEUTI       Common Stock  599902103      352     2,710SH    DEFINED    01 02   0   2,7100
MILLIPORE CORP               Common Stock   60107310    2,856    50,600SH    DEFINED    01 02   0  50,6000
MINE SAFETY APPLIANCES       Common Stock  602720104       69     1,000SH    DEFINED    01 02   0   1,0000
MINNESOTA MINING & MFG       Common Stock  604059105    9,543   107,760SH    DEFINED    01 02   0 107,7600
MINNESOTA POWER INC          Common Stock  604110106    3,307   198,910SH    DEFINED    01 02   0 198,9100
MIRAGE RESORTS INC           Common Stock  6.05E+108      754    38,900SH    DEFINED    01 02   0  38,9000
MITCHELL ENERGY & DEV-C      Common Stock  606592301       29     1,300SH    DEFINED    01 02   0   1,3000
MOHAWK INDS INC              Common Stock  608190104       38     1,700SH    DEFINED    01 02   0   1,7000
MOLEX INC                    Common Stock   60855410    6,727   114,500SH    DEFINED    01 02   0 114,5000
MONSANTO CO                  Common Stock  611662107       12       233SH    DEFINED    01 02   0     2330
MONY GROUP INC               Common Stock  615337102       71     2,200SH    DEFINED    01 02   0   2,2000
MORGAN ST DEAN WITTER &      Common Stock  617446448   83,413 1,006,494SH    DEFINED    01 02   01,006,490
MOTOROLA INC                 Common Stock  620076109   91,355   625,721SH    DEFINED    01 02   0 625,7210
MRV COMMUNICATIONS INC       Common Stock  553477100      212     2,310SH    DEFINED    01 02   0   2,3100
MS CARRIERS                  Common Stock  553533100      256    10,900SH    DEFINED    01 02   0  10,9000
MTS SYSTEMS CORP             Common Stock  553777103       27     3,500SH    DEFINED    01 02   0   3,5000
MUELLER INDUSTRIES           Common Stock  624756102    1,097    36,100SH    DEFINED    01 02   0  36,1000
MURPHY OIL CORP              Common Stock  626717102    7,458   129,420SH    DEFINED    01 02   0 129,4200
MUSICLAND STORES CORP        Common Stock 62758B109         2       290SH    DEFINED    01 02   0     2900
MYLAN LABORATORIES           Common Stock  628530107   12,829   466,505SH    DEFINED    01 02   0 466,5050
NABISCO GROUP HOLDINGS       Common Stock 62952P102     1,365   113,200SH    DEFINED    01 02   0 113,2000
NACCO INDUSTRIES  -CL A      Common Stock   62957910       24       500SH    DEFINED    01 02   0     5000
NATIONAL CITY CORP           Common Stock  635405103   10,794   523,340SH    DEFINED    01 02   0 523,3400
NATIONAL COMPUTER SYSTE      Common Stock  635519101      499     9,830SH    DEFINED    01 02   0   9,8300
NATIONAL HEALTH INVESTO      Common Stock 63633D104        19     1,600SH    DEFINED    01 02   0   1,6000
NATIONAL R V HLDGS INC       Common Stock  637277104      168    10,620SH    DEFINED    01 02   0  10,6200
NATIONAL SEMICONDUCTOR       Common Stock  637640103   24,793   408,120SH    DEFINED    01 02   0 408,1200
NATIONAL SERVICE INDS I      Common Stock  637657107    4,063   192,900SH    DEFINED    01 02   0 192,9000
NATIONAL STEEL CORP CL       Common Stock  637844309       51     6,900SH    DEFINED    01 02   0   6,9000
NAVIGANT CONSULTING INC      Common Stock 63935N107       226    20,500SH    DEFINED    01 02   0  20,5000
NAVISTAR INTERNATIONAL       Common Stock  6.39E+112   17,163   427,750SH    DEFINED    01 02   0 427,7500
NBTY INC                     Common Stock  628782104      307    22,400SH    DEFINED    01 02   0  22,4000
NCR CORPORATION              Common Stock  6.29E+112    2,087    52,000SH    DEFINED    01 02   0  52,0000
NELSON (THOMAS)              Common Stock  640376109       34     4,300SH    DEFINED    01 02   0   4,3000
NETWORK APPLIANCE INC        Common Stock 64120L104     4,134    49,960SH    DEFINED    01 02   0  49,9600
NEW PLAN EXCEL REALTY        Common Stock  648053106    3,708   269,700SH    DEFINED    01 02   0 269,7000
NEW YORK TIMES CO  -CL       Common Stock  650111107   64,074 1,492,265SH    DEFINED    01 02   01,492,260
NEWELL RUBBERMAID INC        Common Stock  651229106      295    11,903SH    DEFINED    01 02   0  11,9030
NEWMONT MINING CORP          Common Stock   65163910      478    21,300SH    DEFINED    01 02   0  21,3000
NEXTEL COMMUNICATIONS        Common Stock 65332V103     1,059     7,140SH    DEFINED    01 02   0   7,1400
NEXTLINK COMMUNICATION       Common Stock 65333H707     2,523    20,400SH    DEFINED    01 02   0  20,4000
NL INDUSTRIES                Common Stock  629156407       26     2,000SH    DEFINED    01 02   0   2,0000
NOBLE DRILLING CORP          Common Stock  655042109      971    23,475SH    DEFINED    01 02   0  23,4750
NORTEK INC                   Common Stock  656559101      315    14,230SH    DEFINED    01 02   0  14,2300
NORTEL NETWORKS CORP         Common Stock  656569100   29,656   235,135SH    DEFINED    01 02   0 235,1350
NORTH FORK BANCORPORATI      Common Stock  659424105       95     5,320SH    DEFINED    01 02   0   5,3200
NORTHROP CORP                Common Stock   66680710    5,373   101,500SH    DEFINED    01 02   0 101,5000
NORTHWEST NATURAL GAS C      Common Stock  667655104      550    28,200SH    DEFINED    01 02   0  28,2000
NORTHWESTERN CORP            Common Stock  668074107      433    21,000SH    DEFINED    01 02   0  21,0000
NOVELLUS SYSTEMS INC         Common Stock   67000810    9,547   170,100SH    DEFINED    01 02   0 170,1000
NUCOR CORP                   Common Stock  670346105      810    16,200SH    DEFINED    01 02   0  16,2000
NVIDIA CORP                  Common Stock 67066G104       246     2,910SH    DEFINED    01 02   0   2,9100
NVR INC                      Common Stock 62944T105       680    12,600SH    DEFINED    01 02   0  12,6000
OCCIDENTAL PETROLEUM CO      Common Stock  674599105   38,505 1,855,650SH    DEFINED    01 02   01,855,650
OCULAR SCIENCES INC          Common Stock  675744106      197    12,500SH    DEFINED    01 02   0  12,5000
OFFSHORE LOGISTICS INC       Common Stock  676255102       54     3,900SH    DEFINED    01 02   0   3,9000
OGE ENERGY CORP              Common Stock  670837103      970    50,570SH    DEFINED    01 02   0  50,5700
OHIO CASUALTY CORP           Common Stock  677240103       63     3,500SH    DEFINED    01 02   0   3,5000
OLD KENT FINANCIAL CORP      Common Stock  679833103      761    23,790SH    DEFINED    01 02   0  23,7900
OLD REPUBLIC INTL CORP       Common Stock  680223104    4,390   319,260SH    DEFINED    01 02   0 319,2600
OLSTEN CORP                  Common Stock   68138510       22     2,200SH    DEFINED    01 02   0   2,2000
OMNICOM GROUP                Common Stock  681919106   59,589   636,465SH    DEFINED    01 02   0 636,4650
OMNOVA SOLUTIONS INC         Common Stock  682129101      191    34,000SH    DEFINED    01 02   0  34,0000
ONE VALLEY BNCRP OF WV       Common Stock  682419106       38     1,100SH    DEFINED    01 02   0   1,1000
ONEOK INC                    Common Stock  682680103       95     3,800SH    DEFINED    01 02   0   3,8000
OPEN MARKET INC              Common Stock 68370M100        62     2,420SH    DEFINED    01 02   0   2,4200
ORACLE SYSTEMS CORP          Common Stock 68389X105   135,873 1,740,569SH    DEFINED    01 02   01,740,560
OTTER TAIL POWER CO          Common Stock   68964810      690    34,600SH    DEFINED    01 02   0  34,6000
OUTBACK STEAKHOUSE INC       Common Stock  689899102      460    14,350SH    DEFINED    01 02   0  14,3500
OWENS & MINOR INC HLDG       Common Stock  690732102        4       420SH    DEFINED    01 02   0     4200
OXFORD HEALTH PLANS          Common Stock  691471106    3,431   225,000SH    DEFINED    01 02   0 225,0000
PACCAR INC                   Common Stock  693718108      288     5,750SH    DEFINED    01 02   0   5,7500
PACIFIC CENTURY FINANCI      Common Stock  694058108    5,448   268,200SH    DEFINED    01 02   0 268,2000
PACIFICARE HEALTH SYSTE      Common Stock  695112102    1,341    26,880SH    DEFINED    01 02   0  26,8800
PAC-WEST TELECOMM INC        Common Stock 69371Y101     0.625        20SH    DEFINED    01 02   0      200
PAINE WEBBER GROUP           Common Stock  695629105   57,639 1,309,977SH    DEFINED    01 02   01,309,970
PAREXEL INTERNATIONAL C      Common Stock  699462107       19     2,000SH    DEFINED    01 02   0   2,0000
PATTERSON DENTAL COMPAN      Common Stock  703412106       73     1,900SH    DEFINED    01 02   0   1,9000
PATTERSON ENERGY INC         Common Stock  703414102        1        40SH    DEFINED    01 02   0      400
PAYCHEX INC                  Common Stock   70432610    6,808   129,990SH    DEFINED    01 02   0 129,9900
PBOC HOLDINGS INC            Common Stock 69316G108        44     4,900SH    DEFINED    01 02   0   4,9000
P-COM INC                    Common Stock  693262107      104     5,640SH    DEFINED    01 02   0   5,6400
PE CORP                      Common Stock 69332S102     3,242    33,600SH    DEFINED    01 02   0  33,6000
PE CORP-CELERA GENOMICS      Common Stock 69332S201       453     4,920SH    DEFINED    01 02   0   4,9200
PEGASUS COMMUNICATIONS       Common Stock  705904100      128       910SH    DEFINED    01 02   0     9100
PENNZOIL CO                  Common Stock  709323109      202    19,400SH    DEFINED    01 02   0  19,4000
PENTAIR INC                  Common Stock  709631105        4       100SH    DEFINED    01 02   0     1000
PEP BOYS-MANNY MOE & JA      Common Stock   71327810       17     2,800SH    DEFINED    01 02   0   2,8000
PEPSICO INC                  Common Stock  713448108       48     1,380SH    DEFINED    01 02   0   1,3800
PEREGRINE SYSTEMS INC        Common Stock 71366Q101       223     3,320SH    DEFINED    01 02   0   3,3200
PERKIN ELMER INC             Common Stock  714046109    7,732   116,270SH    DEFINED    01 02   0 116,2700
PETCO ANIMAL SUPPLIES        Common Stock  716016100      132    11,100SH    DEFINED    01 02   0  11,1000
PFIZER INC                   Common Stock  717081103   72,747 1,989,670SH    DEFINED    01 02   01,989,670
PHARMACIA & UPJOHN INC.      Common Stock  716941109    5,896    99,100SH    DEFINED    01 02   0  99,1000
PHARMACYCLICS INC            Common Stock  716933106      100     1,800SH    DEFINED    01 02   0   1,8000
PHILIP MORRIS COS INC        Common Stock  718154107   43,993 2,082,500SH    DEFINED    01 02   02,082,500
PHILLIPS PETROLEUM CO        Common Stock  718507106   13,766   297,650SH    DEFINED    01 02   0 297,6500
PHILLIPS-VAN HEUSEN          Common Stock   71859210      154    20,000SH    DEFINED    01 02   0  20,0000
PILGRIMS PRIDE CORP - C      Common Stock  721467108       18     2,900SH    DEFINED    01 02   0   2,9000
PINNACLE HOLDINGS IN         Common Stock 72346N101        65     1,200SH    DEFINED    01 02   0   1,2000
PINNACLE MICRO               Common Stock  723469102    0.222     2,334SH    DEFINED    01 02   0   2,3340
PINNACLE WEST CAPITAL        Common Stock   72348410      156     5,550SH    DEFINED    01 02   0   5,5500
PIONEER NATURAL RESOURC      Common Stock  723787107      377    35,900SH    DEFINED    01 02   0  35,9000
PIONEER STANDARD ELECTR      Common Stock  723877106       41     2,600SH    DEFINED    01 02   0   2,6000
PITNEY BOWES INC             Common Stock  724479100   12,914   288,980SH    DEFINED    01 02   0 288,9800
PITTSTON BRINKS GROUP        Common Stock  725701106       27     1,580SH    DEFINED    01 02   0   1,5800
PLANTRONICS INC              Common Stock  727493108      391     4,200SH    DEFINED    01 02   0   4,2000
PLEXUS CORP                  Common Stock  729132100      133     2,000SH    DEFINED    01 02   0   2,0000
PMC-SIERRA INC               Common Stock 69344F106     5,438    26,700SH    DEFINED    01 02   0  26,7000
PMI GROUP INC                Common Stock 69344M101     7,768   163,750SH    DEFINED    01 02   0 163,7500
PNC FINANCIAL SERVICES       Common Stock  693475105   15,330   340,195SH    DEFINED    01 02   0 340,1950
POGO PRODUCING CO            Common Stock  730448107      334    11,700SH    DEFINED    01 02   0  11,7000
POLARIS INDUSTRIES INC       Common Stock  731068102      214     7,100SH    DEFINED    01 02   0   7,1000
POLAROID CORP                Common Stock   73109510      219     9,200SH    DEFINED    01 02   0   9,2000
POMEROY COMPUTER RESOUR      Common Stock  731822102       20     1,100SH    DEFINED    01 02   0   1,1000
POWERTEL INC                 Common Stock 73936C109       468     6,760SH    DEFINED    01 02   0   6,7600
POWERWAVE TECHNOLOGIES       Common Stock  739363109      151     1,210SH    DEFINED    01 02   0   1,2100
PPG INDUSTRIES INC           Common Stock  693506107      743    14,200SH    DEFINED    01 02   0  14,2000
PRAXAIR INC                  Common Stock 74005P10        841    20,200SH    DEFINED    01 02   0  20,2000
PRECISION CASTPARTS COR      Common Stock   74018910       37     1,000SH    DEFINED    01 02   0   1,0000
PRENTISS PROPERTIES TRU      Common Stock  740706106       31     1,400SH    DEFINED    01 02   0   1,4000
PRI AUTOMATION INC           Common Stock 69357H106       202     3,300SH    DEFINED    01 02   0   3,3000
PRICE (T. ROWE) ASSOCIA      Common Stock  741477103    9,786   247,740SH    DEFINED    01 02   0 247,7400
PRIDE INTERNATIONAL INC      Common Stock  741932107       37     1,600SH    DEFINED    01 02   0   1,6000
PRIME MED SERVICES INC       Common Stock 74156D108       183    20,600SH    DEFINED    01 02   0  20,6000
PRIMEX TECHNOLOGIES          Common Stock  741597108    0.725        34SH    DEFINED    01 02   0      340
PRIMUS TELECOMMUNICATIO      Common Stock  741929103      141     2,720SH    DEFINED    01 02   0   2,7200
PRIORITY HEALTHCARE COR      Common Stock 74264T102       121     2,400SH    DEFINED    01 02   0   2,4000
PROCTER & GAMBLE CO          Common Stock  742718109   20,080   355,402SH    DEFINED    01 02   0 355,4020
PROFIT RECOVERY GRP          Common Stock  743168106      113     6,100SH    DEFINED    01 02   0   6,1000
PROGRESS SOFTWARE CORP       Common Stock  743312100      206     8,800SH    DEFINED    01 02   0   8,8000
PROTEIN DESIGN LABS INC      Common Stock 74369L103       160     2,010SH    DEFINED    01 02   0   2,0100
PROVIDENT BANKSHARES         Common Stock  743859100      202    12,800SH    DEFINED    01 02   0  12,8000
PROVIDENT FINANCIAL COR      Common Stock  743866105    1,182    34,700SH    DEFINED    01 02   0  34,7000
PROXIM INC                   Common Stock  744284100      227     1,900SH    DEFINED    01 02   0   1,9000
PTEK HOLDINGS, INC           Common Stock 69366M104        94    14,200SH    DEFINED    01 02   0  14,2000
PUBLIC SERVICE CO OF NE      Common Stock  744499104      490    31,100SH    DEFINED    01 02   0  31,1000
PUBLIC SERVICE ENTRP         Common Stock   74457310   14,441   487,465SH    DEFINED    01 02   0 487,4650
PUBLIC STORAGE INC           Common Stock 74460D109     2,604   124,000SH    DEFINED    01 02   0 124,0000
PUGET SOUND POWER & LIG      Common Stock  745332106    1,776    80,030SH    DEFINED    01 02   0  80,0300
PULTE CORP                   Common Stock  745867101    2,843   136,200SH    DEFINED    01 02   0 136,2000
QUAKER CHEMICAL CORP         Common Stock  747316107      449    26,440SH    DEFINED    01 02   0  26,4400
QUAKER OATS CO               Common Stock  747402105   25,736   424,510SH    DEFINED    01 02   0 424,5100
QUALCOMM INC                 Common Stock  747525103   54,218   363,120SH    DEFINED    01 02   0 363,1200
QUANTUM CORP DSSG            Common Stock  747906204      481    40,300SH    DEFINED    01 02   0  40,3000
QUANTUM CORP HDD             Common Stock  747906303    2,759   245,200SH    DEFINED    01 02   0 245,2000
QUEENS COUNTY BANCORP I      Common Stock  748242104      428    23,700SH    DEFINED    01 02   0  23,7000
QUESTAR CORP                 Common Stock  748356102    7,444   401,000SH    DEFINED    01 02   0 401,0000
R & B FALCON DRILLING I      Common Stock  7.49E+105      585    29,700SH    DEFINED    01 02   0  29,7000
R.H. DONNELLEY CORP          Common Stock 74955W307     2,139   125,808SH    DEFINED    01 02   0 125,8080
RADIAN GROUP INC.            Common Stock  750236101       48     1,000SH    DEFINED    01 02   0   1,0000
RAILAMERICA INC              Common Stock  750753105       19     2,800SH    DEFINED    01 02   0   2,8000
RALCORP HOLDINGS INC         Common Stock  751028101      225    15,550SH    DEFINED    01 02   0  15,5500
RALSTON PURINA CO            Common Stock  751277302    6,148   223,570SH    DEFINED    01 02   0 223,5700
RARE MEDIUM GROUP            Common Stock 75382N109       120     2,710SH    DEFINED    01 02   0   2,7100
RAYMOND JAMES FINANICAL      Common Stock  754730109      457    22,000SH    DEFINED    01 02   0  22,0000
RAYTEL MEDICAL CORP          Common Stock  755107109       24     7,600SH    DEFINED    01 02   0   7,6000
RAYTHEON CO-CLASS A          Common Stock  755111309    0.677        36SH    DEFINED    01 02   0      360
READERS DIGEST ASSN  -C      Common Stock   75526710    1,486    42,000SH    DEFINED    01 02   0  42,0000
RECKSON ASSOCS REALTY C      Common Stock 75621K106        45     2,400SH    DEFINED    01 02   0   2,4000
REGENCY REALTY CORP          Common Stock  758939102       26     1,300SH    DEFINED    01 02   0   1,3000
REGENERON PHARMACEUT         Common Stock 75886F10         15       500SH    DEFINED    01 02   0     5000
RELIANT ENERGY               Common Stock 75952J108     1,779    75,500SH    DEFINED    01 02   0  75,5000
REMEC INC                    Common Stock  759543101       25       500SH    DEFINED    01 02   0     5000
REMEDY CORP                  Common Stock  759548100      174     4,120SH    DEFINED    01 02   0   4,1200
REMINGTON OIL & GAS CP       Common Stock  759594302        2       550SH    DEFINED    01 02   0     5500
RENAISSANCERE HOLDINGS       Common Stock G7496G103       760    18,600SH    DEFINED    01 02   0  18,6000
RENT-WAY INC                 Common Stock 76009U104       146     7,500SH    DEFINED    01 02   0   7,5000
REXALL SUNDOWN INC           Common Stock  761648104    1,326    93,900SH    DEFINED    01 02   0  93,9000
REYNOLDS & REYNOLDS  -C      Common Stock  761695105   17,417   645,080SH    DEFINED    01 02   0 645,0800
RGS ENERGY GROUP             Common Stock 74956K104     3,066   144,300SH    DEFINED    01 02   0 144,3000
RICHARDSON ELEC LTD          Common Stock  763165107       23     2,100SH    DEFINED    01 02   0   2,1000
RJ REYNOLDS TOBACCO HOL      Common Stock 76182K105     9,164   539,066SH    DEFINED    01 02   0 539,0660
ROCK-TENN COMPANY            Common Stock  772739207       45     4,600SH    DEFINED    01 02   0   4,6000
ROCKWELL INTL CORP           Common Stock  773903109      794    19,000SH    DEFINED    01 02   0  19,0000
ROLLINS TRUCK LEASING        Common Stock  775741101       23     2,700SH    DEFINED    01 02   0   2,7000
ROSLYN BANKCORP INC          Common Stock  778162107    2,424   136,075SH    DEFINED    01 02   0 136,0750
ROSS STORES INC              Common Stock  778296103   20,757   862,640SH    DEFINED    01 02   0 862,6400
ROWAN COS INC                Common Stock   77938210      556    18,900SH    DEFINED    01 02   0  18,9000
ROYAL CARIBBEAN CRUISE       Common Stock V7780T103     1,736    62,000SH    DEFINED    01 02   0  62,0000
ROYAL DUTCH PET  -NY RE      Common Stock  780257804   37,431   647,460SH    DEFINED    01 02   0 647,4600
RPM INC/OHIO                 Common Stock  749685103    2,345   213,200SH    DEFINED    01 02   0 213,2000
RSA SEC INC                  Common Stock  749719100      171     3,310SH    DEFINED    01 02   0   3,3100
RUDDICK CORP                 Common Stock  781258108       60     5,500SH    DEFINED    01 02   0   5,5000
RUSS BERRIE & CO INC         Common Stock  782233100      437    23,605SH    DEFINED    01 02   0  23,6050
RUSSELL CORP                 Common Stock   78235210       46     3,200SH    DEFINED    01 02   0   3,2000
RYAN'S FAMILY STEAK HOU      Common Stock  783519101      315    32,900SH    DEFINED    01 02   0  32,9000
RYDER SYSTEM INC             Common Stock   78354910    3,129   137,900SH    DEFINED    01 02   0 137,9000
RYLAND GROUP INC             Common Stock   78376410       54     2,900SH    DEFINED    01 02   0   2,9000
S & P 500 DEPOSITARY RE      Common Stock 78462F103       326     2,165SH    DEFINED    01 02   0   2,1650
S1 CORPORATION               Common Stock 78463B101       242     2,820SH    DEFINED    01 02   0   2,8200
S3 INCORPORATED              Common Stock  784849101       29     1,400SH    DEFINED    01 02   0   1,4000
SAFEGUARD SCIENTIFICS I      Common Stock  786449108      166     2,400SH    DEFINED    01 02   0   2,4000
SAFEWAY INC                  Common Stock  786514208   49,877 1,102,264SH    DEFINED    01 02   01,102,260
SALTON INC                   Common Stock  795757103      215     4,960SH    DEFINED    01 02   0   4,9600
SANDERSON FARMS INC          Common Stock  800013104       19     2,300SH    DEFINED    01 02   0   2,3000
SANDISK CORP                 Common Stock 80004C101       505     4,120SH    DEFINED    01 02   0   4,1200
SANMINA CORP                 Common Stock  800907107   14,757   218,420SH    DEFINED    01 02   0 218,4200
SAWTEK INC                   Common Stock  805468105      294     5,600SH    DEFINED    01 02   0   5,6000
SBC COMMUNICATIONS INC.      Common Stock 78387G103   140,357 3,331,921SH    DEFINED    01 02   03,331,920
SCHERING-PLOUGH              Common Stock  806605101   67,345 1,814,020SH    DEFINED    01 02   01,814,020
SCHLUMBERGER LTD             Common Stock  806857108       38       500SH    DEFINED    01 02   0     5000
SCHOLASTIC CORP              Common Stock  807066105      387     7,170SH    DEFINED    01 02   0   7,1700
SCHULMAN (A.) INC            Common Stock   80819410        4       300SH    DEFINED    01 02   0     3000
SCHWAB (CHARLES) CORP        Common Stock   80851310       57     1,000SH    DEFINED    01 02   0   1,0000
SCHWEITZER-MAUDUIT INT       Common Stock  808541106      615    47,500SH    DEFINED    01 02   0  47,5000
SCI SYSTEMS INC              Common Stock  783890106    4,451    82,800SH    DEFINED    01 02   0  82,8000
SCIENTIFIC-ATLANTA INC       Common Stock   80865510    6,289    99,430SH    DEFINED    01 02   0  99,4300
SDL INC                      Common Stock  784076101    6,195    29,100SH    DEFINED    01 02   0  29,1000
SEAGATE TECHNOLOGY INC       Common Stock  811804103    2,470    40,000SH    DEFINED    01 02   0  40,0000
SEALED AIR CORP              Common Stock 81211K100         4        80SH    DEFINED    01 02   0      800
SEARS ROEBUCK & CO           Common Stock  812387108   12,726   415,533SH    DEFINED    01 02   0 415,5330
SECURITY CAP GROUP INC       Common Stock 81413P204       498    34,500SH    DEFINED    01 02   0  34,5000
SEI INVESTMENTS COMPANU      Common Stock  784117103    5,865    51,700SH    DEFINED    01 02   0  51,7000
SEITEL INC                   Common Stock  816074306       37     4,700SH    DEFINED    01 02   0   4,7000
SELECTIVE INSURANCE GRO      Common Stock  816300107       72     4,200SH    DEFINED    01 02   0   4,2000
SENSORMATIC ELECTRONICS      Common Stock   81726510      347    15,460SH    DEFINED    01 02   0  15,4600
SEQUA CORP  -CL A            Common Stock   81732010       24       600SH    DEFINED    01 02   0     6000
SERVICEMASTER  -LP           Common Stock 81760N109     1,069    95,000SH    DEFINED    01 02   0  95,0000
SHARED MEDICAL SYSTEMS       Common Stock  819486101    1,006    19,400SH    DEFINED    01 02   0  19,4000
SHAW INDUSTRIES INC          Common Stock  820286102      168    11,040SH    DEFINED    01 02   0  11,0400
SHERWIN-WILLIAMS CO          Common Stock  824348106    7,666   346,500SH    DEFINED    01 02   0 346,5000
SHOPKO STORES INC            Common Stock  824911101       30     1,700SH    DEFINED    01 02   0   1,7000
SICOR INC                    Common Stock  825846108       22     2,100SH    DEFINED    01 02   0   2,1000
SIEBEL SYSTEMS INC           Common Stock  826170102   15,539   130,100SH    DEFINED    01 02   0 130,1000
SIERRA PACIFIC RESOURCE      Common Stock  826428104      168    13,400SH    DEFINED    01 02   0  13,4000
SILICON VALLEY GROUP IN      Common Stock  827066101       22       800SH    DEFINED    01 02   0     8000
SIMPSON INDUSTRIES INC       Common Stock  829060102       51     5,200SH    DEFINED    01 02   0   5,2000
SIRIUS SATELLITE RADIO       Common Stock 82966U103       188     3,300SH    DEFINED    01 02   0   3,3000
SLM HOLDING CORPORATION      Common Stock 78442A109    33,665 1,010,584SH    DEFINED    01 02   01,010,580
SMITH (A.O.) CORP            Common Stock  831865209      445    24,700SH    DEFINED    01 02   0  24,7000
SMITH INTERNATIONAL INC      Common Stock  832110100      581     7,500SH    DEFINED    01 02   0   7,5000
SMITHS FOOD & DRUG - CL      Common Stock  832248108       24     1,200SH    DEFINED    01 02   0   1,2000
SNAP-ON TOOLS CORP           Common Stock  833034101        3       125SH    DEFINED    01 02   0     1250
SNYDER COMMUNICATIONS I      Common Stock  832914105      353    15,700SH    DEFINED    01 02   0  15,7000
SOLECTRON CORP               Common Stock  834182107    2,042    50,900SH    DEFINED    01 02   0  50,9000
SOLUTIA INC                  Common Stock  834376105    0.615        46SH    DEFINED    01 02   0      460
SOTHEBY'S HOLDINGS  -CL      Common Stock   83589810    1,489    79,400SH    DEFINED    01 02   0  79,4000
SOUTHTRUST CORP              Common Stock   84473010    6,476   254,600SH    DEFINED    01 02   0 254,6000
SOUTHWEST AIRLINES           Common Stock   84474110    1,829    87,900SH    DEFINED    01 02   0  87,9000
SOUTHWEST GAS CORP           Common Stock  844895102       21     1,100SH    DEFINED    01 02   0   1,1000
SOUTHWEST SECS GROUP I       Common Stock  845224104    0.869        20SH    DEFINED    01 02   0      200
SPACELABS MEDICAL INC        Common Stock  846247104      139     8,700SH    DEFINED    01 02   0   8,7000
SPRINGS INDUSTRIES  -CL      Common Stock   85178310      122     3,200SH    DEFINED    01 02   0   3,2000
SPRINT CORP                  Common Stock  852061100   28,913   457,120SH    DEFINED    01 02   0 457,1200
ST PAUL COS                  Common Stock  792860108   13,648   399,945SH    DEFINED    01 02   0 399,9450
STAFF LEASING INC            Common Stock  852381102       19     3,300SH    DEFINED    01 02   0   3,3000
STANDARD PACIFIC CORP        Common Stock 85375C101       553    55,250SH    DEFINED    01 02   0  55,2500
STANDEX INTERNATIONAL C      Common Stock  854231107       48     3,100SH    DEFINED    01 02   0   3,1000
STAPLES INC                  Common Stock  855030102   22,219 1,110,955SH    DEFINED    01 02   01,110,950
STARWOOD FINANCIAL INC       Common Stock 85569R104         4       250SH    DEFINED    01 02   0     2500
STEEL TECHNOLOGIES INC       Common Stock  858147101        2       240SH    DEFINED    01 02   0     2400
STERLING SOFTWARE INC        Common Stock  859547101    4,582   139,900SH    DEFINED    01 02   0 139,9000
STONE ENERGY CORP            Common Stock  861642106      428     8,700SH    DEFINED    01 02   0   8,7000
STORAGE TECHNOLOGY CP        Common Stock  862111200        6       380SH    DEFINED    01 02   0     3800
SUIZA FOODS CORP             Common Stock  865077101   10,335   256,765SH    DEFINED    01 02   0 256,7650
SUMMIT BANCORP               Common Stock  866005101      596    22,700SH    DEFINED    01 02   0  22,7000
SUN MICROSYSTEMS INC         Common Stock  866810104   87,447   933,235SH    DEFINED    01 02   0 933,2350
SUNGARD DATA SYSTEMS         Common Stock  867363103      162     4,300SH    DEFINED    01 02   0   4,3000
SUNQUEST INFORMATION SY      Common Stock  867654105      264    23,500SH    DEFINED    01 02   0  23,5000
SUPERVALUE INC               Common Stock  868536103    4,907   259,140SH    DEFINED    01 02   0 259,1400
SUSQUEHANNA BANCSHAR         Common Stock  869099101      133     9,600SH    DEFINED    01 02   0   9,6000
SYBASE INC                   Common Stock  871130100      538    26,500SH    DEFINED    01 02   0  26,5000
SYMANTEC CORP                Common Stock  871503108   19,674   261,890SH    DEFINED    01 02   0 261,8900
SYMBOL TECHNOLOGIES          Common Stock  871508107    2,939    35,700SH    DEFINED    01 02   0  35,7000
SYNCOR INTL CORP             Common Stock 87157J106        33     1,000SH    DEFINED    01 02   0   1,0000
SYSTEMAX INC                 Common Stock  871851101        2       210SH    DEFINED    01 02   0     2100
TANDY CORP                   Common Stock  875382103    2,695    53,100SH    DEFINED    01 02   0  53,1000
TARGET CORP                  Common Stock  8.76E+110      402     5,375SH    DEFINED    01 02   0   5,3750
TECH DATA CORP               Common Stock  878237106    6,266   190,615SH    DEFINED    01 02   0 190,6150
TECHNITROL INC               Common Stock  878555101      193     3,320SH    DEFINED    01 02   0   3,3200
TECUMSEH PRODUCTS CO -       Common Stock  878895200    1,883    42,800SH    DEFINED    01 02   0  42,8000
TEKTRONIX INC                Common Stock  879131100      225     4,020SH    DEFINED    01 02   0   4,0200
TELEFLEX INC                 Common Stock   87936910    1,344    38,000SH    DEFINED    01 02   0  38,0000
TELEPHONE & DATA SYSTEM      Common Stock  879433100    2,253    20,295SH    DEFINED    01 02   0  20,2950
TELETECH HOLDINGS INC        Common Stock  879939106      141     4,100SH    DEFINED    01 02   0   4,1000
TELLABS INC                  Common Stock  879664100   44,083   699,900SH    DEFINED    01 02   0 699,9000
TEMPLE-INLAND INC            Common Stock  879868107    4,675    93,850SH    DEFINED    01 02   0  93,8500
TENET HEALTHCARE CORPOR      Common Stock 88033G100     1,721    74,000SH    DEFINED    01 02   0  74,0000
TENNECO AUTOMOTIVE INC       Common Stock  880349105        2       200SH    DEFINED    01 02   0     2000
TERADYNE INC                 Common Stock  880770102   11,331   138,185SH    DEFINED    01 02   0 138,1850
TERAYON COMMUNICATION        Common Stock  880775101      351     1,710SH    DEFINED    01 02   0   1,7100
TEREX CORP                   Common Stock  880779103      186    12,940SH    DEFINED    01 02   0  12,9400
TESORO PETROLEUM CORP        Common Stock  881609101       25     2,200SH    DEFINED    01 02   0   2,2000
TEXACO INC                   Common Stock  881694103   30,049   559,060SH    DEFINED    01 02   0 559,0600
TEXAS INSTRUMENTS INC        Common Stock  882508104   59,430   371,440SH    DEFINED    01 02   0 371,4400
TEXAS UTILITIES CO           Common Stock  882848104   25,579   861,613SH    DEFINED    01 02   0 861,6130
TEXTRON INC                  Common Stock  883203101       18       300SH    DEFINED    01 02   0     3000
THERMO ELECTRON CORP         Common Stock   88355610      687    33,700SH    DEFINED    01 02   0  33,7000
THOMAS & BETTS CORP          Common Stock  884315102    1,664    58,900SH    DEFINED    01 02   0  58,9000
THQ INC                      Common Stock  872443403      118     6,600SH    DEFINED    01 02   0   6,6000
TIDEWATER INC                Common Stock  886423102    7,100   223,170SH    DEFINED    01 02   0 223,1700
TIFFANY & CO-NEW             Common Stock  886547108   13,003   155,495SH    DEFINED    01 02   0 155,4950
TIME WARNER INC              Common Stock  887315109   17,561   175,610SH    DEFINED    01 02   0 175,6100
TIMKEN CO                    Common Stock  887389104      249    15,300SH    DEFINED    01 02   0  15,3000
TITAN CORP                   Common Stock  888266103      317     6,220SH    DEFINED    01 02   0   6,2200
TITANIUM METALS CORP         Common Stock  888339108       18     4,100SH    DEFINED    01 02   0   4,1000
TJX COS INC-NEW              Common Stock  872540109   39,215 1,767,420SH    DEFINED    01 02   01,767,420
TNP ENTERPRISES              Common Stock  872594106       48     1,100SH    DEFINED    01 02   0   1,1000
TOLL BROTHERS INC            Common Stock  889478103      582    29,100SH    DEFINED    01 02   0  29,1000
TOMMY HILFIGER CORP          Common Stock G8915Z102     5,297   365,335SH    DEFINED    01 02   0 365,3350
TOPPS CO INC                 Common Stock   89078610      333    40,000SH    DEFINED    01 02   0  40,0000
TOSCO CORP                   Common Stock   89149030      585    19,100SH    DEFINED    01 02   0  19,1000
TOWER AUTOMATIVE             Common Stock  891707101       26     1,600SH    DEFINED    01 02   0   1,6000
TOYS R US INC                Common Stock   89233510    2,360   159,300SH    DEFINED    01 02   0 159,3000
TRANS WORLD ENTERTAINME      Common Stock 89336Q100         2       200SH    DEFINED    01 02   0     2000
TRANSOCEAN SEDCO FOREX       Common Stock G90078109         5        98SH    DEFINED    01 02   0      980
TRANSWITCH CORP              Common Stock  894065101      193     2,010SH    DEFINED    01 02   0   2,0100
TRENWICK GROUP INC.          Common Stock  895290104       43     3,072SH    DEFINED    01 02   0   3,0720
TRIAD GUARANTY INC           Common Stock  895925105      297    14,600SH    DEFINED    01 02   0  14,6000
TRIBUNE CO                   Common Stock   89604710    1,704    46,600SH    DEFINED    01 02   0  46,6000
TRICON GLOBAL RESTAURAN      Common Stock  895953107       18       590SH    DEFINED    01 02   0     5900
TRINITY INDUSTRIES           Common Stock  896522109    2,485   104,900SH    DEFINED    01 02   0 104,9000
TRIQUINT SEMICONDUCT         Common Stock 89674K103       280     3,810SH    DEFINED    01 02   0   3,8100
TRUE NORTH COMMUNICATIO      Common Stock  897844106      276     7,030SH    DEFINED    01 02   0   7,0300
TRW INC                      Common Stock  872649108    1,158    19,800SH    DEFINED    01 02   0  19,8000
TUPPERWARE CORPORATION       Common Stock  899896104    7,703   487,145SH    DEFINED    01 02   0 487,1450
TYCO INTERNATIONAL LTD       Common Stock  902124106   46,748   932,620SH    DEFINED    01 02   0 932,6200
U S HOME CORP                Common Stock  911920106       38     1,000SH    DEFINED    01 02   0   1,0000
U S WEST INC                 Common Stock 91273H101    90,670 1,248,465SH    DEFINED    01 02   01,248,460
U.S. CAN CORPORATION         Common Stock 90328W105       352    18,100SH    DEFINED    01 02   0  18,1000
UAL CORP                     Common Stock  902549500    8,177   135,160SH    DEFINED    01 02   0 135,1600
UGI CORP                     Common Stock  902681105      303    14,000SH    DEFINED    01 02   0  14,0000
ULTRAMAR DIAMOND SHAMRO      Common Stock  904000106    5,270   207,700SH    DEFINED    01 02   0 207,7000
UNICOM CORPORATION           Common Stock  904911104   16,828   461,040SH    DEFINED    01 02   0 461,0400
UNION CARBIDE CORP           Common Stock  905581104      659    11,300SH    DEFINED    01 02   0  11,3000
UNION PACIFIC CORP           Common Stock  907818108    9,476   242,200SH    DEFINED    01 02   0 242,2000
UNION PACIFIC RESOURCES      Common Stock  907834105        2       169SH    DEFINED    01 02   0     1690
UNIONBANCAL CORP             Common Stock  908906100   17,034   618,025SH    DEFINED    01 02   0 618,0250
UNISYS CORP                  Common Stock   90921410    4,005   155,900SH    DEFINED    01 02   0 155,9000
UNITED HEALTHCARE CORP       Common Stock  910581107   10,079   169,035SH    DEFINED    01 02   0 169,0350
UNITED STATIONERS INC        Common Stock  913004107    4,337   121,530SH    DEFINED    01 02   0 121,5300
UNITED TECHNOLOGIES COR      Common Stock  913017109   21,523   340,625SH    DEFINED    01 02   0 340,6250
UNITEDGLOBAL COM INC         Common Stock  913247508      608     8,100SH    DEFINED    01 02   0   8,1000
UNIVERSAL CORP-VA            Common Stock  913456109      916    60,800SH    DEFINED    01 02   0  60,8000
UNIVERSAL FOODS CORP         Common Stock  913538104    7,525   352,060SH    DEFINED    01 02   0 352,0600
UNOCAL CORP                  Common Stock  915289102      890    29,900SH    DEFINED    01 02   0  29,9000
UNUMPROVIDENT CORP           Common Stock 91529Y106     3,948   233,100SH    DEFINED    01 02   0 233,1000
URS CORP                     Common Stock  903236107      328    25,000SH    DEFINED    01 02   0  25,0000
US CELLULAR CORP             Common Stock   91168410      447     6,300SH    DEFINED    01 02   0   6,3000
US INDUSTRIES INC            Common Stock  912080108       50     4,500SH    DEFINED    01 02   0   4,5000
USA NETWORKS INC             Common Stock  902984103      512    22,700SH    DEFINED    01 02   0  22,7000
USBANCORP INC-PA             Common Stock  917292104       56     5,000SH    DEFINED    01 02   0   5,0000
USEC INC                     Common Stock  9.03E+112       22     4,700SH    DEFINED    01 02   0   4,7000
USFREIGHTWAYS CO             Common Stock  916906100       31       830SH    DEFINED    01 02   0     8300
USG CORP                     Common Stock  903293405   18,615   443,875SH    DEFINED    01 02   0 443,8750
USINTERNETWORKING INC        Common Stock  917311805        2        45SH    DEFINED    01 02   0      450
USX-MARATHON GROUP           Common Stock  902905827   35,605 1,366,120SH    DEFINED    01 02   01,366,120
USX-U S STEEL GROUP          Common Stock 90337T101     1,709    68,365SH    DEFINED    01 02   0  68,3650
UTAH MEDICAL PRODUCTS        Common Stock  917488108       18     2,400SH    DEFINED    01 02   0   2,4000
UTILICORP UNITED INC         Common Stock  918005109      585    32,400SH    DEFINED    01 02   0  32,4000
VALASSIS COMMUNICATIONS      Common Stock  918866104   10,175   305,435SH    DEFINED    01 02   0 305,4350
VALERO ENERGY CORP           Common Stock 91913Y100       487    15,870SH    DEFINED    01 02   0  15,8700
VALLEY NATIONAL BANCORP      Common Stock  919794107      316    11,775SH    DEFINED    01 02   0  11,7750
VARCO INTERNATIONAL INC      Common Stock  922126107       28     2,200SH    DEFINED    01 02   0   2,2000
VARIAN                       Common Stock  922206107    0.768        20SH    DEFINED    01 02   0      200
VARIAN ASSOCIATES INC        Common Stock 92220P105       178     3,900SH    DEFINED    01 02   0   3,9000
VARIAN SEMICONDUCTOR         Common Stock  922207105      224     3,520SH    DEFINED    01 02   0   3,5200
VEECO INSTRUMENTS INC        Common Stock  922417100      133     1,800SH    DEFINED    01 02   0   1,8000
VENTIV HEALTH INC.           Common Stock  922793104    0.332        33SH    DEFINED    01 02   0      330
VERISIGN INC                 Common Stock  9.23E+106    2,048    13,700SH    DEFINED    01 02   0  13,7000
VERITAS SOFTWARE CO          Common Stock  923436109    8,096    61,800SH    DEFINED    01 02   0  61,8000
VERITY INC                   Common Stock 92343C106     0.815        20SH    DEFINED    01 02   0      200
VERTEX PHARMACEUTICALS       Common Stock 92532F100       145     3,100SH    DEFINED    01 02   0   3,1000
VERTICALNET INC              Common Stock 92532L107       384     2,820SH    DEFINED    01 02   0   2,8200
VIAD CORP                    Common Stock 92552R109        65     2,860SH    DEFINED    01 02   0   2,8600
VINTAGE PETROLEUM INC        Common Stock  927460105      213    10,600SH    DEFINED    01 02   0  10,6000
VISHAY INTERTECHNOLOGY       Common Stock  928298108   13,644   245,280SH    DEFINED    01 02   0 245,2800
VODAFONE GROUP PLC  -AD      Common Stock 92857T107     3,278    59,000SH    DEFINED    01 02   0  59,0000
VOICESTREAM WIRELESS         Common Stock  928615103    2,865    22,245SH    DEFINED    01 02   0  22,2450
VULCAN MATERIALS CO          Common Stock  929160109      385     8,400SH    DEFINED    01 02   0   8,4000
WALLACE COMPUTER SVCS I      Common Stock  932270101    1,312   111,100SH    DEFINED    01 02   0 111,1000
WAL-MART STORES              Common Stock  931142103  126,398 2,237,125SH    DEFINED    01 02   02,237,120
WARNACO GROUP INC            Common Stock  934390105        6       475SH    DEFINED    01 02   0     4750
WARNER-LAMBERT CO            Common Stock  934488107   48,645   497,970SH    DEFINED    01 02   0 497,9700
WASHINGTON FEDERAL S&L       Common Stock  938824109    3,027   158,800SH    DEFINED    01 02   0 158,8000
WASHINGTON MUTUAL INC        Common Stock  939322103   27,328 1,031,252SH    DEFINED    01 02   01,031,250
WATERS CORP                  Common Stock  941848103   15,132   158,870SH    DEFINED    01 02   0 158,8700
WAVE SYSTEMS CORP            Common Stock  943526103      132     3,300SH    DEFINED    01 02   0   3,3000
WEATHERFORD INTERNATION      Common Stock  947074100    1,457    24,900SH    DEFINED    01 02   0  24,9000
WEBB (DEL E) CORP            Common Stock  947423109       21     1,400SH    DEFINED    01 02   0   1,4000
WEBSTER FINANCIAL CORP       Common Stock  947890109       23     1,000SH    DEFINED    01 02   0   1,0000
WELLPOINT HEALTH NETWOR      Common Stock 94973H108       852    12,200SH    DEFINED    01 02   0  12,2000
WELLS FARGO COMPANY          Common Stock  949746101    1,589    38,994SH    DEFINED    01 02   0  38,9940
WEST PHARMACEUTICAL SER      Common Stock  955306105        5       190SH    DEFINED    01 02   0     1900
WESTAFF, INC.                Common Stock  957070105       18     2,000SH    DEFINED    01 02   0   2,0000
WESTERN DIGITAL CORP         Common Stock  958102105        1       140SH    DEFINED    01 02   0     1400
WESTERN WIRELESS CORP -      Common Stock  9.60E+208       15       330SH    DEFINED    01 02   0     3300
WESTPOINT STEVENS INC.       Common Stock  961238102      551    29,000SH    DEFINED    01 02   0  29,0000
WESTVACO CORP                Common Stock  961548104    1,739    52,100SH    DEFINED    01 02   0  52,1000
WEYERHAEUSER CO              Common Stock  962166104   15,219   267,000SH    DEFINED    01 02   0 267,0000
WHIRLPOOL CORP               Common Stock   96332010    4,655    79,395SH    DEFINED    01 02   0  79,3950
WHITNEY HOLDING CORP         Common Stock  966612103       88     2,700SH    DEFINED    01 02   0   2,7000
WILLIAMS-SONOMA INC          Common Stock  969904101    2,748    88,635SH    DEFINED    01 02   0  88,6350
WIND RIVER SYSTEMS INC       Common Stock  973149107       94     2,600SH    DEFINED    01 02   0   2,6000
WINDMERE-DURABLE HOLDIN      Common Stock  973411101        3       200SH    DEFINED    01 02   0     2000
WINSTAR COMMUNICATIONS       Common Stock  975515107      822    13,700SH    DEFINED    01 02   0  13,7000
WISCONSIN ENERGY CORP        Common Stock   97665710    2,105   105,600SH    DEFINED    01 02   0 105,6000
WORLD ACCESS INC             Common Stock 98141A101        92     4,800SH    DEFINED    01 02   0   4,8000
WORTHINGTON INDUSTRIES       Common Stock   98181110    4,439   358,710SH    DEFINED    01 02   0 358,7100
XEROX CORP                   Common Stock  984121103   11,285   434,050SH    DEFINED    01 02   0 434,0500
XIRCOM INC                   Common Stock  983922105      224     6,050SH    DEFINED    01 02   0   6,0500
XL CAPITAL LTD-CLASS A       Common Stock G98255105     2,215    40,000SH    DEFINED    01 02   0  40,0000
YAHOO INC                    Common Stock  984332106   25,445   148,475SH    DEFINED    01 02   0 148,4750
YELLOW FREIGHT SYSTEM-D      Common Stock  985509108       24     1,300SH    DEFINED    01 02   0   1,3000
YORK INTERNATIONAL CORP      Common Stock  986670107    2,120    90,700SH    DEFINED    01 02   0  90,7000
YOUNG & RUBICAM INC          Common Stock  987425105    9,959   211,900SH    DEFINED    01 02   0 211,9000
ZALE CORP                    Common Stock  988858106    7,804   165,390SH    DEFINED    01 02   0 165,3900
ZEBRA TECHNOLOGIES CORP      Common Stock  989207105      345     6,900SH    DEFINED    01 02   0   6,9000
ZOMAX INC                    Common Stock  989929104      127     2,100SH    DEFINED    01 02   0   2,1000

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