MASSACHUSETTS FINANCIAL SERVICES CO /MA/
13F-HR/A, 1999-05-10
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<PAGE>

                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 1999

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

Institutional Investment Manager Filing this Report:

Name:    Massachusetts Financial Services Company
Address: 500 Boylston Street
         Boston, MA 02116

13F File Number: 28-4968

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

Person Signing this report on Behalf of Reporting Manager:

Name:  W. Thomas London
Title: Senior Vice President
Phone: 617-954-5000
Signature, Place, and Date of Signing:

/s/ W. Thomas London    Boston, Massachusetts    May 6, 1999

Report Type (Check only one.):

[X]       13F HOLDINGS REPORT.

[ ]       13F NOTICE.

[ ]       13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

                    MFS Institutional Advisors, Inc.
                    Vertex Investment Management, Inc.

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

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:           2

Form 13F Information Table Entry Total:      986

Form 13F Information Table Value Total:      $70,469,133,037

List of Other Included Managers:

NONE
<PAGE>
<TABLE>
<CAPTION>
                                                               MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   1
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
3COM CORP                        COM        885535104    118848935  5098187   5098187    0       0           5079587     0    18600
A CONSULTING TEAM INC            COM        000881102       140000    20000     20000    0       0             20000     0        0
A D C TELECOMMUNICATIONS         COM        000886101     10327574   216570    216570    0       0            216570     0        0
ABACUS DIRECT CORP               COM        002553105       245016     2988      2988    0       0              2988     0        0
ABBOTT LABS                      COM        002824100       978839    20910     20910    0       0             20910     0        0
ABERCROMBIE & FITCH CO           CL A       002896207       303872     3294      3294    0       0              3294     0        0
ABR INFORMATION SVCS INC         COM        00077R108     11400120   656122    656122    0       0            479522     0   176600
ACE LTD                          ORD        G0070K103     57373352  1839656   1839656    0       0           1839656     0        0
ACSYS INC                        COM        00087X103       539200   134800    134800    0       0            134800     0        0
ACXIOM CORP                      COM        005125109     14857967   560678    560678    0       0            400548     0   160130
ADELPHIA COMMUNICATIONS CORP     CL A       006848105      1769103    28081     28081    0       0             28081     0        0
ADMINISTRADORA FONDOS PENSIONE   SPNS ADR   00709P108       486694    25957     25957    0       0             25957     0        0
ADVANCED FIBRE COMMUNICATIONS    COM        00754A105      5012117   522422    522422    0       0            383222     0   139200
AERIAL COMMUNICATIONS INC        COM        007655103      8211435  1059540   1059540    0       0           1017940     0    41600
AES CORP                         COM        00130H105     35622175   956300    956300    0       0            956300     0        0
AFC CABLE SYS INC                COM        000950105     11848175   398258    398258    0       0            308658     0    89600
AFFILIATED COMPUTER SERVICES     CL A       008190100    256751379  5612052   5612052    0       0           5207820     0   404232
AFLAC INC                        COM        001055102     45656149   838697    838697    0       0            831677     0     7020
AGL RES INC                      COM        001204106       421400    23995     23995    0       0             23995     0        0
AGOURON PHARMACEUTICALS INC      COM        008488108       228228     4035      4035    0       0              4035     0        0
                                                       -----------
                                           PAGE TOTAL    581021728
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   2
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
AIR PRODS & CHEMS INC            COM        009158106     19018032   555271    555271    0       0            537001     0    18270
AIRNET SYS INC                   COM        009417106       770000   110000    110000    0       0            110000     0        0
AIRTOUCH COMMUNICATIONS INC      COM        00949T100     86469133   894894    894894    0       0            894894     0        0
ALBERTSONS INC                   COM        013104104     64188681  1179137   1179137    0       0           1168267     0    10870
ALCOA INC                        COM        013817101     47310683  1148680   1148680    0       0           1148680     0        0
ALKERMES INC                     COM        01642T108      2352220    86320     86320    0       0             86320     0        0
ALKERMES INC                     PFD CV     
                                  EX$3.25   01642T405      4966500    90300     90300    0       0             90300     0        0
ALLEGHENY ENERGY INC             COM        017361106      5605000   190000    190000    0       0            190000     0        0
ALLEGIANCE TELECOM INC           COM        01747T102      4975550   199022    199022    0       0            153422     0    45600
ALLERGAN INC                     COM        018490102      2013216    22910     22910    0       0             22910     0        0
ALLIANCE CAP MGMT L P            UNIT LTD   
                                  PARTN     018548107      1374442    54300     54300    0       0             54300     0        0
ALLIED WASTE INDS INC            COM PAR    
                                  $.01NEW   019589308     11354267   786470    786470    0       0            786470     0        0
ALLIEDSIGNAL INC                 COM        019512102    313392954  6371459   6371459    0       0           6317659     0    53800
ALLSTATE CORP                    COM        020002101    211403056  5704038   5704038    0       0           5626858     0    77180
ALLTEL CORP                      COM        020039103    264882673  4246616   4246616    0       0           4191236     0    55380
ALPHANET SOLUTIONS INC           COM        020787107       580000   160000    160000    0       0            160000     0        0
ALPHARMA INC                     CL A       020813101       231065     5887      5887    0       0              5887     0        0
ALTERA CORP                      COM        021441100    298886053  5023295   5023295    0       0           5023295     0        0
ALTERNATIVE RESOURCES CORP       COM        02145R102      5579617   875234    875234    0       0            653934     0   221300
AMDOCS LTD                       ORD        G02602103      5466822   252801    252801    0       0            252801     0        0
AMERICA ONLINE INC DEL           COM        02364J104     41101200   279600    279600    0       0            279600     0        0
                                                       -----------
                                           PAGE TOTAL   1391921163
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   3
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
AMERICAN EXPRESS CO              COM        025816109    193446647  1642859   1642859    0       0           1638139     0     4720
AMERICAN HOME PRODS CORP         COM        026609107    905185454 13872574  13872574    0       0          13759864     0   112710
AMERICAN INTL GROUP INC          COM        026874107    323046657  2678107   2678107    0       0           2669637     0     8470
AMERICAN STORES CO NEW           COM        030096101    195193977  5914969   5914969    0       0           5750479     0   164490
AMERICAN TOWER CORP              CL A       029912201     41518680  1694640   1694640    0       0           1528160     0   166480
AMERIHOST PPTYS INC              COM NEW    03070D209      1696413   527000    527000    0       0            527000     0        0
AMERISOURCE HEALTH CORP          CL A       03071P102      7809542   228436    228436    0       0            162036     0    66400
AMERITECH CORP NEW               COM        030954101     81193452  1408997   1408997    0       0           1398897     0    10100
AMGEN INC                        COM        031162100     80221824  1071410   1071410    0       0           1071410     0        0
AMKOR TECHNOLOGY INC             COM        031652100      1926217   244599    244599    0       0            244599     0        0
AMP INC                          COM        031897101    120523035  2252767   2252767    0       0           2252767     0        0
AMR CORP                         COM        001765106     35714211   609853    609853    0       0            607453     0     2400
ANACOMP INC DEL                  COM        032371106      1745345   108663    108663    0       0            108663     0        0
ANALOG DEVICES INC               COM        032654105    332099012 11162992  11162992    0       0          10885061     0   277931
ANDRX CORP                       COM        034551101       263169     2888      2888    0       0              2888     0        0
ANHEUSER BUSCH COS INC           COM        035229103    457308453  6007336   6007336    0       0           5977286     0    30050
ANNTAYLOR STORES CORP            COM        036115103       247315     5597      5597    0       0              5597     0        0
ANNUITY AND LIFE RE HLDGS        ORD        G03910109     12825486   560677    560677    0       0            557877     0     2800
ANTENNA TV SA                    SPNS ADR   03672N100      1547000   119000    119000    0       0             98200     0    20800
APAC TELESERVICES INC            COM        00185E106      1504800   450000    450000    0       0            450000     0        0
APACHE MED SYS INC               COM        03746E102       256267   186376    186376    0       0            141976     0    44400
                                                       -----------
                                           PAGE TOTAL   2795272955
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   4
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
APPLEBEES INTL INC               COM        037899101     98388215  3965348   3965348    0       0           3809748     0   155600
APPLIED GRAPHICS TECHNOLOGIES    COM        037937109      1115250   148700    148700    0       0            148700     0        0
APPLIED MATLS INC                COM        038222105     58780925   952890    952890    0       0            952890     0        0
APPLIED MICRO CIRCUITS CORP      COM        03822W109      7201665   168460    168460    0       0            168460     0        0
APPLIED SCIENCE & TECHNOLOGY     COM        038236105      4576060   364278    364278    0       0            336678     0     6300
AQUARION CO                      COM        03838W101      1041755    37882     37882    0       0             37882     0        0
ARCHER DANIELS MIDLAND CO        COM        039483102     57447114  3911426   3911426    0       0           3910396     0     1030
ARDEN RLTY GROUP INC             COM        039793104      8103450   364200    364200    0       0            364200     0        0
ARDENT SOFTWARE INC              COM        039794102      9446062   588100    588100    0       0            566200     0    21900
ARM FINL GROUP INC               CL A       001944107      5392257   361000    361000    0       0            361000     0        0
ARM HLDGS PLC                    SPNS ADR   042068106     20258587   152895    152895    0       0            152895     0        0
ASCEND COMMUNICATIONS INC        COM        043491109     34228401   409005    409005    0       0            409005     0        0
ASPECT TELECOMMUNICATIONS CORP   COM        045237104     22204628  3351642   3351642    0       0           2505642     0   846000
ASPEN TECHNOLOGY INC             COM        045327103     28915660  2038180   2038180    0       0           1717684     0   320496
ASSOCIATED MATLS INC             COM        045709102       743750    70000     70000    0       0             70000     0        0
ASSOCIATES FIRST CAP CORP        CL A       046008108    857981385 19066253  19066253    0       0          18983065     0    83188
AT&T CORP                        COM        001957109     85987533  1077376   1077376    0       0           1077376     0        0
AT&T CORP                        COM LIB
                                  GRP A     001957208     99230756  1886875   1886875    0       0           1886875     0        0
ATLANTIS PLASTICS INC            COM        049156102      1005244   116550    116550    0       0            116550     0        0
ATLAS AIR INC                    COM        049164106     32269728  1120010   1120010    0       0            920975     0   199035
ATMEL CORP                       COM        049513104     13076007   861000    861000    0       0            861000     0        0
                                                      ------------
                                           PAGE TOTAL   1447394433
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   5
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
ATMOS ENERGY CORP                COM        049560105     19253161   800148    800148    0       0            800148     0        0
ATWOOD OCEANICS INC              COM        050095108       226950     7565      7565    0       0              7565     0        0
AUTODESK INC                     COM        052769106     97857217  2419992   2419992    0       0           2409992     0    10000
AUTOZONE INC                     COM        053332102     18607725   612600    612600    0       0            467200     0   145400
AVADO BRANDS INC                 COM        05336P108      2196690   370000    370000    0       0            370000     0        0
AVIATION SALES CO                COM        053672101      1290500    29000     29000    0       0             29000     0        0
AVIS RENT A CAR INC              COM        053790101      3100944   112000    112000    0       0            112000     0        0
AVT CORP                         COM        002420107      1936263    81100     81100    0       0             81100     0        0
AWARE INC MASS                   COM        05453N100       245105     5215      5215    0       0              5215     0        0
AZTEC TECHNOLOGY PARTNERS INC    COM        05480L101      1672363  1009881   1009881    0       0           1009881     0        0
BA MERCHANT SVCS INC             CL A       055239107     13933831   683869    683869    0       0            547569     0   136300
BAKER HUGHES INC                 COM        057224107     16750968   689000    689000    0       0            689000     0        0
BALANCED CARE CORP               COM        057630105      1050500   382000    382000    0       0            382000     0        0
BALLANTYNE OMAHA INC             COM        058516105      1027688   137025    137025    0       0            137025     0        0
BANCO DE GALICIA Y BUENOS AIRE   SPNS ADR
                                  B NEW     059538207       491883    30624     30624    0       0             30624     0        0
BANCO FRANCES DEL RIO DE LA PL   SPNS ADR   059591107       452625    25500     25500    0       0             25500     0        0
BANK NEW YORK INC                COM        064057102    219799892  6116256   6116256    0       0           6097156     0    19100
BANK ONE CORP                    COM        06423A103       339733     6170      6170    0       0              6170     0        0
BANK TOKYO-MITSUBISHI LTD        SPNS ADR   065379109      4261600   304400    304400    0       0            304400     0        0
BANKAMERICA CORP NEW             COM        06605F102    122887924  1740006   1740006    0       0           1728476     0    11530
BANKBOSTON CORP                  COM        06605R106      4370830   100915    100915    0       0            100915     0        0
                                                      ------------
                                           PAGE TOTAL    531754390
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   6
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
BANKERS TR CORP                  COM        066365107      4643715    52620     52620    0       0             52620     0        0
BARD C R INC                     COM        067383109       207145     4107      4107    0       0              4107     0        0
BARNETT INC                      COM        068062108      5009594   572525    572525    0       0            449925     0   122600
BAXTER INTL INC                  COM        071813109     10901880   165180    165180    0       0            165180     0        0
BCE INC                          COM        05534B109     10313618   232750    232750    0       0            232750     0        0
BE AEROSPACE INC                 COM        073302101      1182950    80200     80200    0       0             80200     0        0
BEAR STEARNS COS INC             COM        073902108     10018870   224201    224201    0       0            224201     0        0
BEBE STORES INC                  COM        075571109       271215     6615      6615    0       0              6615     0        0
BEC ENERGY                       COM        05538M101     22245951   605332    605332    0       0            605332     0        0
BECTON DICKINSON & CO            COM        075887109    147294085  3844594   3844594    0       0           3740694     0   103900
BELDEN INC                       COM        077459105      8474201   496671    496671    0       0            365171     0   131500
BELL ATLANTIC CORP               COM        077853109    463856608  8974338   8974338    0       0           8890738     0    83600
BELLSOUTH CORP                   COM        079860102     55798073  1392793   1392793    0       0           1346273     0    46520
BENTON OIL & GAS CO              COM        083288100       844625   233000    233000    0       0            233000     0        0
BERKSHIRE ENERGY RES             COM        084644103       370834    19390     19390    0       0             19390     0        0
BESTFOODS                        COM        08658U101    164935737  3509271   3509271    0       0           3458251     0    51020
BIG FLOWER HLDGS INC             COM        089159107       228613     7345      7345    0       0              7345     0        0
BIOGEN INC                       COM        090597105     66287814   579885    579885    0       0            579885     0        0
BIOMATRIX INC                    COM        09060P102       255684     3278      3278    0       0              3278     0        0
BISYS GROUP INC                  COM        055472104     93441600  1661184   1661184    0       0           1387584     0   273600
BJ SVCS CO                       COM        055482103      3036450   130600    130600    0       0            130600     0        0
                                                      ------------
                                          PAGE TOTAL    1069619262
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   7
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
BJS WHOLESALE CLUB INC           COM        05548J106     65524168  2490277   2490277    0       0           2284677     0   205600
BLACK & DECKER CORP              COM        091797100    211021162  3806504   3806504    0       0           3776764     0    29740
BLACK BOX CORP DEL               COM        091826107     13075490   421790    421790    0       0            309190     0   112600
BLOCK H & R INC                  COM        093671105     13275233   280216    280216    0       0            212216     0    68000
BLYTH INDS INC                   COM        09643P108     20009430   846960    846960    0       0            705460     0   141500
BMC SOFTWARE INC                 COM        055921100   1028148950 27741324  27741324    0       0          27370762     0   370562
BOISE CASCADE OFFICE PRODS       COM        097403109      3859374   346910    346910    0       0            346910     0        0
BORDERS GROUP INC                COM        099709107     15957923  1134826   1134826    0       0           1118026     0    16800
BORON LEPORE & ASSOCS INC        COM        10001P102     11199927  1079511   1079511    0       0            795411     0   284100
BOSTON BEER INC                  CL A       100557107       775000   100000    100000    0       0            100000     0        0
BOSTON PROPERTIES INC            COM        101121101      4102711   129730    129730    0       0            129730     0        0
BOSTON SCIENTIFIC CORP           COM        101137107    135676531  3339730   3339730    0       0           3339730     0        0
BOWATER INC                      COM        102183100    113013908  2852086   2852086    0       0           2841786     0    10300
BP AMOCO P L C                   SPNS ADR   055622104    862335273  8537973   8537973    0       0           8518983     0    18990
BRIDGESTREET ACCOMODATIONS INC   COM        108452103       131600    37600     37600    0       0             37600     0        0
BRIGHT HORIZON FAMILY SOLUTION   COM        109195107      7159469   327290    327290    0       0            269590     0    57700
BRINKER INTL INC                 COM        109641100      1245235    48010     48010    0       0             48010     0        0
BRISTOL MYERS SQUIBB CO          COM        110122108    616585601  9615370   9615370    0       0           9500090     0   115280
BROADVISION INC                  COM        111412102       214383     3588      3588    0       0              3588     0        0
BROWNING FERRIS INDS             COM        115885105     77203052  2002050   2002050    0       0           1991750     0    10300
BUDGET GROUP INC                 CL A       119003101      3708075   302700    302700    0       0            302700     0        0
                                                     ------------
                                           PAGE TOTAL  3204222496
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   8
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
BUFFETS INC                      COM        119882108     49144419  4976650   4976650    0       0           4530059     0   446591
BUILDING ONE SVCS CORP           COM        120114103     40654508  2365422   2365422    0       0           2365422     0        0
BURLINGTON NORTHN SANTA FE CP    COM        12189T104     76831768  2337088   2337088    0       0           2296648     0    40440
BURR BROWN CORP                  COM        122574106     55184862  2348292   2348292    0       0           2033342     0   314950
BUSINESS OBJECTS S A             SPNS ADR   12328X107       215528     7260      7260    0       0              7260     0        0
C P CLARE CORP                   COM        12615K107       184875    51000     51000    0       0             51000     0        0
CABLE DESIGN TECHNOLOGIES CORP   COM        126924109     41251562  3750142   3750142    0       0           3392592     0   357550
CABLEVISION SYS CORP             CL A       12686C109      5892938    79500     79500    0       0             79500     0        0
CADENCE DESIGN SYSTEM INC        COM        127387108    740928543 28773924  28773924    0       0          28031764     0   742160
CALIBER LEARNING NETWORK INC     COM        129914107      2128400   532100    532100    0       0            413000     0   119100
CALPINE CORP                     COM        131347106     11186159   307000    307000    0       0            307000     0        0
CAMBREX CORP                     COM        132011107     28295486  1278892   1278892    0       0           1262292     0    16600
CAMBRIDGE TECH PARTNERS MASS     COM        132524109     34004156  2450750   2450750    0       0           2450750     0        0
CAMDEN PPTY TR                   SH BEN INT 133131102      6764175   273300    273300    0       0            273300     0        0
CANADIAN NATL RY CO              COM        136375102    205973201  3702889   3702889    0       0           3604869     0    98020
CANDLEWOOD HOTEL COMPANY INC     COM        13741M108       840000   210000    210000    0       0            210000     0        0
CAPITAL ONE FINL CORP            COM        14040H105     34210560   226560    226560    0       0            226560     0        0
CAPITAL SR LIVING CORP           COM        140475104      3862914   547000    547000    0       0            547000     0        0
CARDINAL HEALTH INC              COM        14149Y108    152601702  2312147   2312147    0       0           2303647     0     8500
CAREMATRIX CORP                  COM        141706101      6878000   362000    362000    0       0            362000     0        0
CAREY INTERNATIONAL INC          COM        141750109      2593598   159606    159606    0       0            159606     0        0
                                                      ------------
                                           PAGE TOTAL   1499627352
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :   9
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
CARIBINER INTL INC               COM        141888107       514650    56400     56400    0       0             56400     0        0
CARNIVAL CORP                    COM        143658102      4856200   100000    100000    0       0            100000     0        0
CAROLINA PWR & LT CO             COM        144141108     54913158  1452268   1452268    0       0           1452268     0        0
CARRAMERICA RLTY CORP            COM        144418100     14409156   653121    653121    0       0            653121     0        0
CARSON INC                       CL A       145845103      1360844   311050    311050    0       0            311050     0        0
CASELLA WASTE SYS INC            CL A       147448104      1380794    61200     61200    0       0             61200     0        0
CASTLE DENTAL CTRS INC           COM        14844P105       134409    20100     20100    0       0             20100     0        0
CATALINA MARKETING CORP          COM        148867104     19866752   231345    231345    0       0            167045     0    64300
CAVANAUGHS HOSPITALITY CORP      COM        149564106       323387    39500     39500    0       0             39500     0        0
CBS CORP                         COM        12490K107    436499073 10695361  10695361    0       0          10654661     0    40700
CBT GROUP PUB LTD                SPNSRD  
                                  ADR NEW   124853300     43349387  3790276   3790276    0       0           3694576     0    95700
CCC INFORMATION SVCS GROUP INC   COM        12487Q109      1778625   153000    153000    0       0            153000     0        0
CEC ENTMT INC                    COM        125137109     39053704  1088605   1088605    0       0           1088605     0        0
CENDANT CORP                     COM        151313103    870314996 54609713  54609713    0       0          54590513     0    19200
CENTENNIAL CELLULAR CORP         CL A NEW   15133V208       299187     6332      6332    0       0              6332     0        0
CENTRAL PKG CORP                 COM        154785109      7886700   228600    228600    0       0            228600     0        0
CENTURY TEL ENTERPRISES INC      COM        156686107    106454672  1515369   1515369    0       0           1515369     0        0
CERIDIAN CORP                    COM        15677T106     86256851  2359194   2359194    0       0           2173094     0   186100
CHAMPION INTL CORP               COM        158525105     66768660  1626045   1626045    0       0           1626045     0        0
CHANCELLOR MEDIA CORP            COM        158915108     15103563   320500    320500    0       0            320500     0        0
CHARTWELL RE CORP                COM        16139W109      2651463   153708    153708    0       0            153708     0        0
                                                      ------------
                                           PAGE TOTAL   1774176229
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  10
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
CHASE MANHATTAN CORP NEW         COM        16161A108     76490791   939979    939979    0       0            932579     0     7400
CHECKFREE HLDGS CORP             COM        162816102     12867259   302318    302318    0       0            232618     0    69700
CHEVRON CORPORATION              COM        166751107     98631958  1111346   1111346    0       0           1092396     0    18950
CHS ELECTRONICS INC              COM NEW    12542A206      2235521   701450    701450    0       0            701450     0        0
CHUBB CORP                       COM        171232101     53195378   908360    908360    0       0            908360     0        0
CIENA CORP                       COM        171779101     14430983   641377    641377    0       0            576177     0    65200
CIGNA CORP                       COM        125509109    539266523  6434240   6434240    0       0           6328720     0   105520
CINCINNATI BELL INC              COM        171870108     44528089  1984583   1984583    0       0           1984583     0        0
CISCO SYS INC                    COM        17275R102   1976559944 18040561  18040561    0       0          18028176     0    12385
CIT GROUP INC                    CL A       125577106     87831429  2873877   2873877    0       0           2859077     0    14800
CITADEL COMMUNICATIONS CORP      COM        172853202     16766080   504243    504243    0       0            504243     0        0
CITATION CORP ALA                COM        172895104      5278750   515000    515000    0       0            515000     0        0
CITIGROUP INC                    COM        172967101    482719791  7557257   7557257    0       0           7537077     0    20180
CITRIX SYS INC                   COM        177376100     13645243   357908    357908    0       0            346508     0    11400
CKE RESTAURANTS INC              COM        12561E105     47821307  2421332   2421332    0       0           2404282     0    17050
CLARIFY INC                      COM        180492100      9939733   372456    372456    0       0            267756     0   104700
CLEAR CHANNEL COMMUNICATIONS     COM        184502102    198590768  2961301   2961301    0       0           2961301     0        0
CLINTRIALS RESEARCH INC          COM        188767107        88125    15000     15000    0       0             15000     0        0
CLOROX CO DEL                    COM        189054109    206187831  1759477   1759477    0       0           1738477     0    21000
CMP MEDIA INC                    CL A       125891101       621212    20202     20202    0       0             20202     0        0
CMS ENERGY CORP                  COM        125896100     90194092  2240847   2240847    0       0           2201687     0    39160
                                                      ------------
                                           PAGE TOTAL   3977890805
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  11
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
CMS ENERGY CORP                  COM CL G   125896209      5738538   274900    274900    0       0            274900     0        0
COACH USA INC                    COM        18975L106     10200190   370916    370916    0       0            370916     0        0
COAST DENTAL SVCS INC            COM        19034H102       422267    65600     65600    0       0             65600     0        0
COASTAL CORP                     COM        190441105    167168628  5065716   5065716    0       0           5054316     0    11400
COCA COLA BOTTLING CO CONS       COM        191098102       714106    12925     12925    0       0             12925     0        0
COCA COLA CO                     COM        191216100     17972134   292825    292825    0       0            280975     0    11850
COCA COLA ENTERPRISES INC        COM        191219104      3209525   106100    106100    0       0            106100     0        0
COCA-COLA FEMSA S A DE C V       SPON ADR
                                  REP L     191241108       220212    13500     13500    0       0             13500     0        0
COGNEX CORP                      COM        192422103      4097851   173000    173000    0       0            173000     0        0
COLDWATER CREEK INC              COM        193068103      2001000   174000    174000    0       0            174000     0        0
COLE NATIONAL CORP NEW           CL A       193290103       859575    47100     47100    0       0             47100     0        0
COLGATE PALMOLIVE CO             COM        194162103    246027320  2674210   2674210    0       0           2647250     0    26960
COLONIAL GAS CO                  COM        195674106       718704    20832     20832    0       0             20832     0        0
COLUMBIA ENERGY GROUP            COM        197648108    258390671  4945276   4945276    0       0           4895461     0    49815
COLUMBIA/HCA HEALTHCARE CORP     COM        197677107     32420523  1712020   1712020    0       0           1712020     0        0
COLUMBUS MCKINNON CORP N Y       COM        199333105      1678425    83400     83400    0       0             83400     0        0
COMCAST CORP                     CL A SPL   200300200     98771817  1569376   1569376    0       0           1569376     0        0
COMERICA INC                     COM        200340107     27288216   437052    437052    0       0            431632     0     5420
COMMAND SYS INC                  COM        200903102        81767    42900     42900    0       0             42900     0        0
COMMONWEALTH TEL ENTERPRISES     COM        203349105      1293316    35133     35133    0       0             35133     0        0
COMPAQ COMPUTER CORP             COM        204493100      6182134   195100    195100    0       0            195100     0        0
                                                      ------------
                                           PAGE TOTAL    885456919
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  12
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
COMPASS BANCSHARES INC           COM        20449H109      3115246    90297     90297    0       0             86997     0     3300
COMPASS INTL SERVICES            COM        20450K108      1725000   230000    230000    0       0            230000     0        0
COMPDENT CORP                    COM        20449F103      3510000   280800    280800    0       0            280800     0        0
COMPLETE BUSINESS SOLUTIONS      COM        20452F107     12348129   629204    629204    0       0            549904     0    79300
COMPUSA INC                      COM        204932107     46074707  6582101   6582101    0       0           6481301     0   100800
COMPUTER ASSOC INTL INC          COM        204912109    968053508 27221571  27221571    0       0          26859441     0   362130
COMPUTER HORIZONS CORP           COM        205908106      4614112   421881    421881    0       0            304881     0   117000
COMPUTER SCIENCES CORP           COM        205363104    185741948  3365683   3365683    0       0           3319463     0    46220
COMPUWARE CORP                   COM        205638109    788352309 33019992  33019992    0       0          32777792     0   242200
CONCENTRA MANAGED CARE INC       COM        20589T103     84654756  5838259   5838259    0       0           4806607     0  1031652
CONCENTRIC NETWORK CORP          COM        20589R107      1121250    15000     15000    0       0             15000     0        0
CONCORD EFS INC                  COM        206197105      7951637   288500    288500    0       0            288500     0        0
CONNECTICUT ENERGY CORP          COM        207567108      3730935   153853    153853    0       0            153853     0        0
CONNING CORP                     COM        208215103      4769280   319293    319293    0       0            237993     0    81300
CONOCO INC                       CL A       208251306     66836272  2721125   2721125    0       0           2623125     0    98000
CONSECO INC                      COM        208464107     66554428  2155609   2155609    0       0           2143527     0    12082
CONSOLIDATED GRAPHICS INC        COM        209341106      6641250   115000    115000    0       0            115000     0        0
CONSOLIDATED NAT GAS CO          COM        209615103      9823284   201764    201764    0       0            201764     0        0
CONSOLIDATED STORES CORP         COM        210149100     39826937  1313900   1313900    0       0           1313900     0        0
COOPER CAMERON CORP              COM        216640102     23461825   692600    692600    0       0            674000     0    18600
COOPER INDS INC                  COM        216669101     87732864  2058249   2058249    0       0           2048249     0    10000
                                                      ------------
                                           PAGE TOTAL   2416639676
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  13
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
COORS ADOLPH CO                  CL B       217016104       227340     4210      4210    0       0              4210     0        0
COPART INC                       COM        217204106      4141161   199574    199574    0       0            199574     0        0
CORNELL CORRECTIONS INC          COM        219141108      4702250   268700    268700    0       0            268700     0        0
CORNING INC                      COM        219350105     22809000   380150    380150    0       0            380150     0        0
CORPORATE EXPRESS INC            COM        219888104     21142264  4076010   4076010    0       0           4076010     0        0
COSTCO COMPANIES INC             COM        22160Q102      9787978   106900    106900    0       0            106900     0        0
COTELLIGENT INC                  COM        221630106      5475875   617000    617000    0       0            617000     0        0
COVAD COMMUNICATIONS GROUP INC   COM        222814204     15543629   236405    236405    0       0            236405     0        0
COX COMMUNICATIONS INC NEW       CL A       224044107      9502659   125655    125655    0       0            125655     0        0
COX RADIO INC                    CL A       224051102     56100864  1094651   1094651    0       0           1094651     0        0
CREDENCE SYS CORP                COM        225302108     13384748   624376    624376    0       0            503911     0   120465
CREDICORP LTD                    COM        G2519Y108       810547    83133     83133    0       0             83133     0        0
CSG SYS INTL INC                 COM        126349109       220374     5588      5588    0       0              5588     0        0
CSK AUTO CORP                    COM        125965103     36970129  1234931   1234931    0       0           1032231     0   202700
CVS CORP                         COM        126650100    572798605 12058918  12058918    0       0          11983658     0    75260
CYBERONICS INC                   COM        23251P102      1420250   149500    149500    0       0            144000     0     5500
CYMER INC                        COM        232572107      3438375   173000    173000    0       0            173000     0        0
CYTOCLONAL PHARMACAUTICALS INC   COM        23282G105       973799   115420    115420    0       0            110920     0     4500
CYTYC CORP                       COM        232946103     31834245  2294360   2294360    0       0           1996760     0   297600
DANKA BUSINESS SYS PLC           SPNS ADR   236277109     22420500  4484100   4484100    0       0           4484100     0        0
DARLING INTL INC                 COM        237266101       120860    66700     66700    0       0             66700     0        0
                                                      ------------
                                           PAGE TOTAL    833825451
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  14
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
DATA PROCESSING RES CORP         COM        237823109      3134323   229000    229000    0       0            229000     0        0
DAYTON HUDSON CORP               COM        239753106    387606928  5817740   5817740    0       0           5787690     0    30050
DE BEERS CONS MINES LTD          ADR DEFD   240253302      1168413    61700     61700    0       0             61700     0        0
DEL MONTE FOODS CO               COM        24522P103     22689935  1720629   1720629    0       0           1467429     0   253200
DELIA*S INC                      COM        246885107     11450250   363500    363500    0       0            363500     0        0
DELL COMPUTER CORP               COM        247025109     18802500   460000    460000    0       0            460000     0        0
DELPHI AUTOMOTIVE SYS CORP       COM        247126105     12718674   716545    716545    0       0            716545     0        0
DELTA AIR LINES INC DEL          COM        247361108      6720650    96700     96700    0       0             96700     0        0
DENDRITE INTL INC                COM        248239105     17344055   777342    777342    0       0            572212     0   205130
DEVON ENERGY CORP                COM        251799102      7866195   285400    285400    0       0            285400     0        0
DIAL CORP NEW                    COM        25247D101    166402191  4840791   4840791    0       0           4769911     0    70880
DIAMOND OFFSHORE DRILLING INC    COM        25271C102     19678973   622260    622260    0       0            613260     0     9000
DII GROUP INC                    COM        232949107       278314     9515      9515    0       0              9515     0        0
DISNEY WALT CO                   COM        254687106    439136680 14108809  14108809    0       0          13837749     0   271060
DISPATCH MGMT SVCS CORP          COM        254927106       606267   215600    215600    0       0            215600     0        0
DOLLAR THRIFTY AUTOMOTIVE GP     COM        256743105      9416775   545900    545900    0       0            545900     0        0
DOLLAR TREE STORES INC           COM        256747106      6295680   203500    203500    0       0            203500     0        0
DONALDSON LUFKIN & JENRETTE NW   COM        257661108     55440090   794840    794840    0       0            794840     0        0
DOW CHEM CO                      COM        260543103     19996160   214581    214581    0       0            214581     0        0
DQE INC                          COM        23329J104     18524841   482732    482732    0       0            482732     0        0
DRIL-QUIP INC                    COM        262037104      5361441   243017    243017    0       0            179517     0    63500
                                                      ------------
                                           PAGE TOTAL   1230639331
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  15
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
DSP COMMUNICATIONS INC           COM        23332K106       217773    13718     13718    0       0             13718     0        0
DST SYS INC DEL                  COM        233326107    351508110  5852421   5852421    0       0           5479615     0   372806
DTE ENERGY CO                    COM        233331107     10839234   282000    282000    0       0            282000     0        0
DU PONT E I DE NEMOURS & CO      COM        263534109     35395466   609615    609615    0       0            591555     0    18060
DUANE READE INC                  COM        263578106      1116366    40049     40049    0       0             32149     0     7900
DUKE ENERGY CORP                 COM        264399106     21256094   387800    387800    0       0            387800     0        0
DUPONT PHOTOMASKS INC            COM        26613X101      9239956   233185    233185    0       0            172185     0    61000
DURA AUTOMOTIVE SYSTEMS CORP     CL A       265903104      1486685    52626     52626    0       0             52626     0        0
DYNAMEX INC                      COM        26784F103       230375    97000     97000    0       0             97000     0        0
DYNEGY INC                       COM        26816L102      1437136   102200    102200    0       0            102200     0        0
E M C CORP MASS                  COM        268648102    277420112  2171586   2171586    0       0           2166186     0     5400
E SPIRE COMMUNICATIONS INC       COM        269153102       275688    20050     20050    0       0             20050     0        0
EAGLE HARDWARE & GARDEN INC      COM        26959B101      1060529    27772     27772    0       0             27772     0        0
EASTERN ENTERPRISES              COM        27637F100     43972828  1208875   1208875    0       0           1208875     0        0
EASTMAN KODAK CO                 COM        277461109     13374148   209380    209380    0       0            209380     0        0
EATON CORP                       COM        278058102      5729295    80130     80130    0       0             80130     0        0
ECHOSTAR COMMUNICATIONS NEW      CL A       278762109      2450138    30017     30017    0       0             30017     0        0
ECI TELECOM LTD                  ORD        268258100      1197840    34224     34224    0       0             34224     0        0
EDIFY CORP                       COM        280599101     12172910  2238902   2238902    0       0           2010902     0   228000
EDUTREK INTL INC                 CL A       28164K108       540712    78649     78649    0       0             78649     0        0
EDWARDS AG INC                   COM        281760108     53425790  1634466   1634466    0       0           1606666     0    27800
                                                      ------------
                                           PAGE TOTAL    844347183
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  16
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
EL PASO ELEC CO                  COM NEW    283677854      7581538   994300    994300    0       0            994300    0         0
EL PASO ENERGY CAP TR I          PFD CVS  
                                  TR SECS   283678209     29784563   618900    618900    0       0            618900     0        0
EL PASO ENERGY CORP DEL          COM        283905107     37955981  1161195   1161195    0       0           1161195     0        0
ELAN PLC                         ADR        284131208     64040474   918143    918143    0       0            918143     0        0
ELECTRO SCIENTIFIC INDS          COM        285229100       255657     5498      5498    0       0              5498     0        0
ELECTRONIC ARTS INC              COM        285512109      3631233    76447     76447    0       0             74247     0     2200
ELECTRONICS FOR IMAGING INC      COM        286082102       258492     6628      6628    0       0              6628     0        0
EMBOTELLADORA ANDINA S A         SPNS ADR B 29081P303       150975    12200     12200    0       0             12200     0        0
EMERSON ELEC CO                  COM        291011104    216290100  4085802   4085802    0       0           4062252     0    23550
EMPLOYEE SOLUTIONS INC           COM        292166105       773200   773200    773200    0       0            773200     0        0
ENDESA S A                       SPNS ADR   29258N107     14024525   563800    563800    0       0            563800     0        0
ENERGEN CORP                     COM        29265N108      4407909   295100    295100    0       0            295100     0        0
ENERGY EAST CORP                 COM        29266M109      1177389    22400     22400    0       0             22400     0        0
ENI S P A                        SPNS ADR   26874R108      4369197    69215     69215    0       0             69215     0        0
ENRON CORP                       COM        293561106     14655425   228100    228100    0       0            228100     0        0
ENSCO INTL INC                   COM        26874Q100      2209925   166010    166010    0       0            166010     0        0
ENTERCOM COMMUNICATIONS CORP     CL A       293639100      2700704    76345     76345    0       0             73345     0     3000
ENTRUST TECHNOLOGIES INC         COM        293848107       556875    16500     16500    0       0             16500     0        0
ENZON INC                        COM        293904108       252963    17150     17150    0       0             17150     0        0
EQUANT N V                       NY RG SHS  294409107     52904814   703054    703054    0       0            703054     0        0
EQUITABLE COS INC                COM        29444G107    473524380  6764634   6764634    0       0           6731954     0    32680
                                                      ------------
                                           PAGE TOTAL    931506317
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  17
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT 29476L107     18181350   440760    440760    0       0            440760     0        0
ERICSSON L M TEL CO              ADR CL B
                                  SEK10     294821400     48517855  2037538   2037538    0       0           2033448     0     4090
ETEC SYS INC                     COM        26922C103      5288563   179657    179657    0       0            179657     0        0
EXCHANGE APPLICATIONS            COM        300867108      2074973    82586     82586    0       0             82586     0        0
EXECUTIVE RISK INC               COM        301586103     15650885   220435    220435    0       0            163235     0    57200
EXPRESS SCRIPTS INC              CL A       302182100       309803     3605      3605    0       0              3605     0        0
EXTENDED STAY AMER INC           COM        30224P101      4112533   403704    403704    0       0            403704     0        0
EXXON CORP                       COM        302290101    341566298  4840655   4840655    0       0           4765035     0    75620
F Y I INC                        COM        302712104     12972800   405400    405400    0       0            405400     0        0
FAIR ISAAC & CO INC              COM        303250104     13247145   357432    357432    0       0            259232     0    98200
FALL RIVER GAS CO                COM        306279100       345103    20152     20152    0       0             20152     0        0
FDX CORP                         COM        31304N107      8119365    87305     87305    0       0             87305     0        0
FEDERAL HOME LN MTG CORP         COM        313400301    539838692  9419296   9419296    0       0           9351386     0    67910
FEDERAL MOGUL CORP               COM        313549107    216107705  5055151   5055151    0       0           5015821     0    39330
FEDERAL NATL MTG ASSN            COM        313586109    201963470  2916440   2916440    0       0           2905540     0    10900
FEDERAL REALTY INVT TR           SH BEN  
                                  INT NEW   313747206      4639953   219000    219000    0       0            219000     0        0
FEDERATED DEPT STORES INC DEL    COM        31410H101      9776456   243650    243650    0       0            184650     0    59000
FEDERATED INVS INC PA            CL B       314211103     23924562  1315476   1315476    0       0           1103576     0   211900
FERRO CORP                       COM        315405100       740025    29900     29900    0       0             29900     0        0
FINANCIAL FED CORP               COM        317492106     16753174   881746    881746    0       0            795546     0    86200
FINET HLDGS CORP                 COM PAR    317922300      1489952   303700    303700    0       0            303700     0        0
                                  $0.01
                                                      ------------
                                           PAGE TOTAL   1485620663
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  18
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
FINOVA FIN TR                    TOPRS CV
                                  9.16%     31808E207      4334400    60200     60200    0       0             60200     0        0
FINOVA GROUP INC                 COM        317928109     87596125  1688600   1688600    0       0           1683900     0     4700
FIRST DATA CORP                  COM        319963104    365240738  8543643   8543643    0       0           8527943     0    15700
FIRST INDUSTRIAL REALTY TRUST    COM        32054K103      5692243   237801    237801    0       0            237801     0        0
FIRST SEC CORP DEL               COM        336294103      5051266   261561    261561    0       0            253261     0     8300
FIRST TENN NATL CORP             COM        337162101       220116     6010      6010    0       0              6010     0        0
FIRSTENERGY CORP                 COM        337932107     78007888  2785996   2785996    0       0           2770256     0    15740
FISERV INC                       COM        337738108     78985818  1472929   1472929    0       0           1378979     0    93950
FLANDERS CORP                    COM        338494107       299754   117000    117000    0       0            117000     0        0
FLEET FINL GROUP INC NEW         COM        338915101     31940201   848909    848909    0       0            843689     0     5220
FLEXTRONICS INTL LTD             ORD        Y2573F102     12069252   236652    236652    0       0            236652     0        0
FLORIDA PROGRESS CORP            COM        341109106     11367167   301117    301117    0       0            301117     0        0
FOMENTO ECONOMICO MEXICANO SA    SPND ADR
                                  FEMSA     344419106      1049847    33935     33935    0       0             33935     0        0
FORD MTR CO DEL                  COM        345370100    131701531  2323311   2323311    0       0           2290591     0    32720
FORE SYSTEMS INC                 COM        345449102      1890600   100000    100000    0       0            100000     0        0
FORRESTER RESH INC               COM        346563109       394875    13000     13000    0       0             13000     0        0
FORTUNE BRANDS INC               COM        349631101     35237972   915272    915272    0       0            915272     0        0
FOUNDATION HEALTH SYS INC        COM        350404109     13411903  1100509   1100509    0       0           1100509     0        0
FOUR SEASONS HOTEL INC           LTD VTG SH 35100E104     18294474   438191    438191    0       0            356091     0    82100
FOX ENTMT GROUP INC              CL A       35138T107      5743936   211758    211758    0       0            211758     0        0
FPL GROUP INC                    COM        302571104     11816175   221900    221900    0       0            221900     0        0
                                                      ------------
                                           PAGE TOTAL    900346281
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  19
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
FRANKLIN COVEY CO                COM        353469109      2345346   260594    260594    0       0            182594     0    78000
FRANKLIN RES INC                 COM        354613101     53777953  1912105   1912105    0       0           1912105     0        0
FRIEDMANS INC                    CL A       358438109      1170000   130000    130000    0       0            130000     0        0
FRIENDLY ICE CREAM CORP NEW      COM        358497105      2174988   355100    355100    0       0            355100     0        0
FRONTIER CORPORATION             COM        35906P105    206644426  3983507   3983507    0       0           3983507     0        0
FRONTIER INS GROUP INC NEW       COM        359081106      1175625    99000     99000    0       0             99000     0        0
GALILEO INTERNATIONAL INC        COM        363547100    161763581  3343950   3343950    0       0           3027800     0   316150
GALILEO TECHNOLOGY LTD           ORD        M47298100      5578706   190725    190725    0       0            190725     0        0
GAMETECH INTERNATIONAL INC       COM        36466D102      1324360   565000    565000    0       0            565000     0        0
GANNETT INC                      COM        364730101    130434066  2070382   2070382    0       0           2061242     0     9140
GARTNER GROUP INC NEW            COM        366651107     13101460   580687    580687    0       0            455187     0   125500
GASONICS INTL CORP               COM        367278108      3337400   303400    303400    0       0            303400     0        0
GAYLORD CONTAINER CORP           CL A       368145108      3483015   464402    464402    0       0            464402     0        0
GEMSTAR INTL GROUP LTD           ORD        G3788V106    207769915  2761062   2761062    0       0           2390952     0   370110
GENERAL DYNAMICS CORP            COM        369550108    122585466  1907945   1907945    0       0           1857555     0    50390
GENERAL ELEC CO                  COM        369604103    462961200  4184960   4184960    0       0           4123670     0    61290
GENERAL INSTR CORP DEL           COM        370120107     18058465   595753    595753    0       0            595753     0        0
GENERAL MLS INC                  COM        370334104     42673639   564750    564750    0       0            564750     0        0
GENERAL MTRS CORP                COM        370442105    123426639  1418697   1418697    0       0           1392667     0    26030
GENERAL NUTRITION COS INC        COM        37047F103     22729532  1623538   1623538    0       0           1623538     0        0
GENESIS HEALTH VENTURES INC      COM        371912106      1305769   267850    267850    0       0            267850     0        0
                                                      ------------
                                           PAGE TOTAL   1587821552
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  20
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
GENTEX CORP                      COM        371901109       233603    10834     10834    0       0             10834     0        0
GENZYME CORP                     COM GENL
                                  DIV       372917104       239576     4750      4750    0       0              4750     0        0
GILAT SATELLITE NETWORKS LTD     ORD        M51474100       227100     3785      3785    0       0              3785     0        0
GILLETTE CO                      COM        375766102    423032565  7117327   7117327    0       0           7072082     0    45245
GLAXO WELLCOME PLC               SPNS ADR   37733W105     42508342   635050    635050    0       0            635050     0        0
GLENAYRE TECHNOLOGIES INC        COM        377899109      4914910  1430000   1430000    0       0           1430000     0        0
GLOBAL CROSSING LTD              COM        G3921A100      2765750    59800     59800    0       0             59800     0        0
GLOBAL DIRECTMAIL CORP           COM        379321102      9753458   582296    582296    0       0            515846     0    66450
GLOBAL INDS LTD                  COM        379336100     40945419  4043992   4043992    0       0           3281592     0   762400
GLOBAL TELESYSTEMS GROUP         COM        37936U104    161617208  2889272   2889272    0       0           2889272     0        0
GPU INC                          COM        36225X100    116703018  3127761   3127761    0       0           3092031     0    35730
GRUPO TELEVISA SA DE CV          SPN ADR 
                                  REPORD    40049J206      1278531    40750     40750    0       0             40750     0        0
GTE CORP                         COM        362320103    198871547  3287133   3287133    0       0           3287133     0        0
GTECH HLDGS CORP                 COM        400518106       985969    40450     40450    0       0             40450     0        0
GUCCI GROUP N V                  COM NY
                                  REG       401566104     42262500   525000    525000    0       0            525000     0        0
GUIDANT CORP                     COM        401698105    537997944  8892528   8892528    0       0           8847008     0    45520
GULF CDA RES LTD                 ORD        40218L305       286166   106500    106500    0       0            106500     0        0
GULFSTREAM AEROSPACE CORP        COM        402734107     94594195  2180846   2180846    0       0           2178446     0     2400
GYMBOREE CORP                    COM        403777105     24462490  2737215   2737215    0       0           2239020     0   498195
HAEMONETICS CORP                 COM        405024100     11407053   727166    727166    0       0            600866     0   126300
HAGLER BAILLY INC                COM        405183104       576000    72000     72000    0       0             72000     0        0
                                                      ------------
                                           PAGE TOTAL   1715663343
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  21
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
HALL KINION ASSOCIATES INC       COM        406069104        97500    15600     15600    0       0             15600     0        0
HALLIBURTON CO                   COM        406216101     20612900   535400    535400    0       0            535400     0        0
HAMBRECHT & QUIST GROUP INC      COM        406545103       240728     6940      6940    0       0              6940     0        0
HAMMONS JOHN Q HOTELS INC        CL A       408623106       609000   168000    168000    0       0            168000     0        0
HARBINGER CORP                   COM        41145C103      7806908  1156579   1156579    0       0            849379     0   307200
HARLEY DAVIDSON INC              COM        412822108      5439150    94800     94800    0       0             94800     0        0
HARRAHS ENTMT INC                COM        413619107    116490513  6111138   6111138    0       0           6111138     0        0
HARTE-HANKS INC                  COM        416196103     10119479   368826    368826    0       0            256926     0   111900
HARTFORD FINL SVCS GROUP INC     COM        416515104    538133206  9472175   9472175    0       0           9292295     0   179880
HARTFORD LIFE INC                CL A       416592103      3888500    70700     70700    0       0             70700     0        0
HAYES LEMMERZ INTL INC           COM        420781106       681500    29000     29000    0       0             29000     0        0
HCIA INC                         COM        403908106      5706531  1268118   1268118    0       0           1084218     0   183900
HEALTH MGMT ASSOC INC NEW        CL A       421933102     51705151  4242648   4242648    0       0           4207848     0    34800
HEALTHCARE FINANCIAL PARTNERS    COM        42219W108      6068838   232300    232300    0       0            232300     0        0
HEALTHSOUTH CORP                 COM        421924101    213119463 20541635  20541635    0       0          20473531     0    68104
HEARST-ARGYLE TELEVISION INC     COM        422317107     36450664  1480230   1480230    0       0           1315530     0   164700
HEFTEL BROADCASTING CORP         CL A       422799106     47105033  1085995   1085995    0       0           1005485     0    80510
HEINZ H J CO                     COM        423074103      1727766    36470     36470    0       0             17240     0    19230
HELLER FINANCIAL INC             CL A       423328103      4822200   205200    205200    0       0            205200     0        0
HERSHEY FOODS CORP               COM        427866108     81856631  1460109   1460109    0       0           1427999     0    32110
HEWLETT PACKARD CO               COM        428236103     24016637   354165    354165    0       0            354165     0        0
                                                      ------------
                                           PAGE TOTAL   1176698297
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  22
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
HIGHWOODS PPTYS INC              COM        431284108      2107527    89446     89446    0       0             89446     0        0
HILFIGER TOMMY CORP              ORD        G8915Z102       234726     3408      3408    0       0              3408     0        0
HOLOGIC INC                      COM        436440101      8349908   921420    921420    0       0            675020     0   246400
HOME DEPOT INC                   COM        437076102    278111586  4467656   4467656    0       0           4447156     0    20500
HORMEL FOODS CORP                COM        440452100     15198017   426611    426611    0       0            426611     0        0
HOSPITALITY PPTYS TR             COM SH
                                  BEN INT   44106M102       216496     8000      8000    0       0              8000     0        0
HOUSEHOLD INTL INC               COM        441815107      6409902   140491    140491    0       0            132100     0     8391
HUANENG PWR INTL INC             SPNS ADR N 443304100       134150    13500     13500    0       0             13500     0        0
HUB GROUP INC                    CL A       443320106       593750    25000     25000    0       0             25000     0        0
HUBBELL INC                      CL B       443510201      8676000   216900    216900    0       0            216900     0        0
HYPERCOM CORP                    COM        44913M105      2015775   316200    316200    0       0            316200     0        0
HYPERION SOLUTIONS CORP          COM        44914M104     16072453  1108445   1108445    0       0            817245     0   291200
HYPERION TELECOMMUNICATIONS      CL A       44914K306     13329473  1099338   1099338    0       0            946238     0   153100
ICT GROUP INC                    COM        44929Y101       948750   330000    330000    0       0            330000     0        0
IDEC PHARMACEUTICALS CORP        COM        449370105      8577570   166960    166960    0       0            166960     0        0
IDEXX LABS INC                   COM        45168D104     92301479  3856017   3856017    0       0           3117617     0   738400
IDX SYS CORP                     COM        449491109     16465112  1135525   1135525    0       0            838985     0   296540
IHOP CORP                        COM        449623107     16610796   423205    423205    0       0            423205     0        0
IKON OFFICE SOLUTIONS INC        COM        451713101     34696177  2708100   2708100    0       0           2708100     0        0
ILLINOIS TOOL WKS INC            COM        452308109    135157461  2184363   2184363    0       0           2174173     0    10190
ILLINOVA CORP                    COM        452317100     11902857   561800    561800    0       0            561800     0        0
                                                      ------------
                                           PAGE TOTAL    668109964

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  23
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
IMMUNEX CORP NEW                 COM        452528102       262071     3148      3148    0       0              3148     0       0
IMPATH INC                       COM        45255G101     12010586   490228    490228    0       0            382028     0   108200
IMRGLOBAL CORPORATION            COM        45321W106     31674982  1784506   1784506    0       0           1632806     0   151700
IMS HEALTH INC                   COM        449934108      5756463   173780    173780    0       0            121118     0    52662
INDUSTRIE NATUZZI SPA            ADR        456478106      1550918    93995     93995    0       0             93995     0        0
INFINITY BROADCASTING CP NEW     CL A       45662S102     16884275   655700    655700    0       0            655700     0        0
INFOSEEK CORP                    COM        45678M107       221260     2990      2990    0       0              2990     0        0
INFOSYS TECHNOLOGIES LTD         SPN ADR 
                                  1/4 SH    456788108       333356     7730      7730    0       0              7730     0        0
INFOUSA INC NEW                  CL B       456818103      3293933   731985    731985    0       0            537185     0   194800
INFOUSA INC NEW                  CL A       456818202      5233816  1231486   1231486    0       0            903186     0   328300
ING GROEP N V                    SPNS ADR   456837103      1488738    27099     27099    0       0             27099     0        0
INGLES MKTS INC                  CL A       457030104      1015450    88300     88300    0       0             88300     0        0
INGRAM MICRO INC                 CL A       457153104      3733184   163650    163650    0       0            163650     0        0
INKTOMI CORP                     COM        457277101      5758113    67150     67150    0       0             67150     0        0
INNOVATIVE VALVE TECHNOLOGIES    COM        45767J106        26220    60000     60000    0       0             60000     0        0
INPUT/OUTPUT INC                 COM        457652105      7513502  1190352   1190352    0       0            924252     0   266100
INSIGHT ENTERPRISES INC          COM        45765U103     13671455   552382    552382    0       0            552382     0        0
INTEGRATED HEALTH SVCS INC       COM        45812C106      6439950  1170900   1170900    0       0           1170900     0        0
INTEL CORP                       COM        458140100    319422355  2687044   2687044    0       0           2681204     0     5840
INTELLIGROUP INC                 COM        45816A106       592719    92080     92080    0       0             64574     0    27506
INTELLIQUEST INFORMATION GROUP   COM        45816H101       544725    53800     53800    0       0             53800     0        0
                                                      ------------
                                           PAGE TOTAL    437428068
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  24
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
INTERIM SVCS INC                 COM        45868P100     35588940  2372596   2372596    0       0           2077868     0   294728
INTERMEDIA COMMUNICATIONS INC    COM        458801107    159389790  5986471   5986471    0       0           5344461     0   642010
INTERNATIONAL BUSINESS MACHS     COM        459200101     66582545   375642    375642    0       0            353842     0    21800
INTERNATIONAL FLAVORS&FRAGRANC   COM        459506101     15193341   404487    404487    0       0            404487     0        0
INTERNATIONAL HOME FOODS INC     COM        459655106      2043086   127200    127200    0       0            127200     0        0
INTERNATIONAL NETWORK SVCS       COM        460053101     15288578   218605    218605    0       0            187105     0    31500
INTERNATIONAL SPEEDWAY CORP      CL A       460335201       253833     4812      4812    0       0              4812     0        0
INTERNATIONAL TELECOMMUN DATA    COM        46047F104      3276356   264756    264756    0       0            215356     0    49400
INTERPUBLIC GROUP COS INC        COM        460690100     11681250   150000    150000    0       0            150000     0        0
INTERSTATE BAKERIES CORP DEL     COM        46072H108     37148178  1722854   1722854    0       0           1673454     0    49400
INTIMATE BRANDS INC              CL A       461156101      2489266    51725     51725    0       0             51725     0        0
INTL PAPER CO                    COM        460146103      1394280    33050     33050    0       0             33050     0        0
INTUIT                           COM        461202103      6217027    61101     61101    0       0             58901     0     2200
ITC DELTACOM INC                 COM        45031T104      3833459   175750    175750    0       0            175750     0        0
ITEQ INC                         COM        450430103       609300   300000    300000    0       0            300000     0        0
ITT EDUCATIONAL SERVICES INC     COM        45068B109      1126860    30000     30000    0       0             30000     0        0
IVEX PACKAGING CORP DEL          COM        465855104      1769285   116500    116500    0       0            116500     0        0
IXC COMMUNICATIONS INC           COM        450713102     12163756   265150    265150    0       0            265150     0        0
JABIL CIRCUIT INC                COM        466313103       226395     5590      5590    0       0              5590     0        0
JACOR COMMUNUNICATIONS INC       CL A       469858401    483262644  6358719   6358719    0       0           6235299     0   123420
JDA SOFTWARE GROUP INC           COM        46612K108     10667410  1434370   1434370    0       0           1157570     0   276800
                                                      ------------
                                           PAGE TOTAL    870205578
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  25
                                                                                         ITEM 6                      ITEM
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
JEFFERSON PILOT CORP             COM        475070108     43275177   638748    638748    0       0            638748     0        0
JEFFERSON SMURFIT GROUP PLC      SPNS ADR   47508W107      8771800   438590    438590    0       0            438590     0        0
JLK DIRECT DISTRIBUTION INC      CL A       46621C105       159375    17000     17000    0       0             17000     0        0
JOHNSON & JOHNSON                COM        478160104    251219446  2686839   2686839    0       0           2625669     0    61170
JPM CO                           COM        465933109      1631250   150000    150000    0       0            150000     0        0
KANSAS CITY SOUTHN INDS INC      COM        485170104    181873320  3190760   3190760    0       0           3190760     0        0
KEANE INC                        COM        486665102      8539718   400700    400700    0       0            400700     0        0
KEEBLER FOODS CO                 COM        487256109     32326517   885658    885658    0       0            875258     0    10400
KILROY RLTY CORP                 COM        49427F108     15923970   776779    776779    0       0            693879     0    82900
KIMBERLY CLARK CORP              COM        494368103     48719667  1016327   1016327    0       0            930827     0    85500
KING PHARMACEUTICALS INC         COM        495582108       518453    18683     18683    0       0             18683     0        0
KLA-TENCORP CORP                 COM        482480100      9314192   191800    191800    0       0            191800     0        0
KN ENERGY INC                    COM        482620101     20727502  1039650   1039650    0       0           1039650     0        0
KOGER EQUITY INC                 COM        500228101      2309820   171900    171900    0       0            171900     0        0
KONINKLIJKE AHOLD N V            SPNS ADR
                                  NEW       500467303      8757031   228942    228942    0       0            228942     0        0
KOOR INDS LTD                    SPNS ADR   500507108       466863    22100     22100    0       0             22100     0        0
KOREA ELECTRIC PWR               SPNS ADR   500631106       326589    25742     25742    0       0             25742     0        0
KROGER CO                        COM        501044101    106568219  1779845   1779845    0       0           1725625     0    54220
KULICKE & SOFFA INDS INC         COM        501242101     71034613  2813252   2813252    0       0           2459452     0   353800
KUSHNER-LOCKE CO                 COM NEW    501337406      5642310   364020    364020    0       0            364020     0        0
L-3 COMMUNICATIONS HLDGS INC     COM        502424104       486458    10518     10518    0       0             10518     0        0
                                                      ------------
                                           PAGE TOTAL    818592291
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  26
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
LABOR READY INC                  COM NEW    505401208      2416563    92500     92500    0       0             92500     0        0
LADISH INC                       COM NEW    505754200       425563    61900     61900    0       0             61900     0        0
LAIDLAW INC                      COM        50730K503      2789760   480000    480000    0       0            480000     0        0
LAMAR ADVERTISING CO             CL A       512815101      4652932   137105    137105    0       0            137105     0        0
LANDRYS SEAFOOD RESTAURANTS      COM        51508L103      6849154  1069178   1069178    0       0            832838     0   236340
LANDS END INC                    COM        515086106       391955    11320     11320    0       0             11320     0        0
LATTICE SEMICONDUCTOR CORP       COM        518415104     90094709  1977409   1977409    0       0           1785509     0   191900
LAUDER ESTEE COS INC             CL A       518439104       283500     3000      3000    0       0              3000     0        0
LEARNING CO INC                  COM        522008101      4973790   171510    171510    0       0            171510     0        0
LEARNING TREE INTL INC           COM        522015106     27652310  2765231   2765231    0       0           2256231     0   509000
LEVEL 3 COMMUNICATIONS INC       COM        52729N100      1558177    21400     21400    0       0             21400     0        0
LEVEL ONE COMMUNICATIONS INC     COM        527295109       291604     5997      5997    0       0              5997     0        0
LIBERTY FINL COS INC             COM        530512102      3416490   145000    145000    0       0            145000     0        0
LIGHTBRIDGE INC                  COM        532226107      4080078   806021    806021    0       0            659721     0   146300
LILLY ELI & CO                   COM        532457108     87576232  1031826   1031826    0       0           1027396     0     4430
LINCARE HLDGS INC                COM        532791100      9980831   354874    354874    0       0            342074     0    12800
LINCOLN NATL CORP IND            COM        534187109    498541790  5042142   5042142    0       0           5000237     0    41905
LINEAR TECHNOLOGY CORP           COM        535678106     29554850   576680    576680    0       0            576680     0        0
LINENS N THINGS INC              COM        535679104      6382357   140658    140658    0       0            140658     0        0
LIPOSOME CO INC                  COM        536310105       222718    16575     16575    0       0             16575     0        0
LO-JACK CORP                     COM        539451104      5684782   739532    739532    0       0            714832     0    24700
                                                      ------------
                                           PAGE TOTAL    787820145
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  27
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
LOCKHEED MARTIN CORP             COM        539830109      2268775    60100     60100    0       0             60100     0        0
LONE STAR STEAKHOUSE SALOON      COM        542307103      3028875   295500    295500    0       0            295500     0        0
LORAL SPACE & COMMUNICATIONS     PFD CONV 
                                  C 6%      G56462149      2024688    42625     42625    0       0             42625     0        0
LOWES COS INC                    COM        548661107     98026335  1620270   1620270    0       0           1620270     0        0
LSI LOGIC CORP                   COM        502161102    256737621  8232200   8232200    0       0           8199200     0    33000
LUCENT TECHNOLOGIES INC          COM        549463107    334397808  3096276   3096276    0       0           3080946     0    15330
LYCOS INC                        COM        550818108       236498     2748      2748    0       0              2748     0        0
MACK CALI RLTY CORP              COM        554489104      5534250   188400    188400    0       0            188400     0        0
MACROMEDIA INC                   COM        556100105      2191288    48360     48360    0       0             48360     0        0
MAGYAR TAVKOZLESI RT             SPNS ADR   559776109     18418980   688560    688560    0       0            688560     0        0
MAIL-WELL INC                    COM        560321200     23673750  1770000   1770000    0       0           1770000     0        0
MARINER POST-ACUTE NETWORK INC   COM        568459101      3573995  1634200   1634200    0       0           1634200     0        0
MARRIOTT INTL INC NEW            CL A       571903202      7281628   216554    216554    0       0            216554     0        0
MARSH & MCLENNAN COS INC         COM        571748102     22995225   309700    309700    0       0            309700     0        0
MARSH SUPERMARKETS INC           CL B       571783208       507063    42700     42700    0       0             42700     0        0
MARTEK BIOSCIENCES CORP          COM        572901106       912375   162200    162200    0       0            162200     0        0
MARTIN MARIETTA MATLS INC        COM        573284106     28891803   506323    506323    0       0            464339     0    41984
MATRIA HEALTHCARE INC            COM        576817100      1554430   578500    578500    0       0            578500     0        0
MAVESA S A                       SPNS ADR   577717101        76450    27800     27800    0       0             27800     0        0
MAXIM INTEGRATED PRODS INC       COM        57772K101     20678186   382045    382045    0       0            382045     0        0
MAXTOR CORP                      COM NEW    577729205       106792    15122     15122    0       0             15122     0        0
                                                      ------------
                                           PAGE TOTAL    833116814
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  28
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
MAXXAM INC                       COM        577913106      1158625    23000     23000    0       0             23000     0        0
MAZEL STORES INC                 COM        578792103      4696733   494393    494393    0       0            351293     0   143100
MBIA INC                         COM        55262C100     57508914   991533    991533    0       0            964193     0    27340
MCCORMICK & CO INC               COM NON
                                  VTG       579780206     14252891   491479    491479    0       0            488679     0     2800
MCDONALDS CORP                   COM        580135101    770799849 17010943  17010943    0       0          16938163     0    72780
MCI WORLDCOM INC                 COM        55268B106   2166880462 24467384  24467384    0       0          24413612     0    53772
MCKESSON HBOC INC                COM        58155Q103    152844054  2315819   2315819    0       0           2238840     0    76979
MCN ENERGY GROUP INC             COM        55267J100     28217545  1756789   1756789    0       0           1756789     0        0
MDU RES GROUP INC                COM        552690109      1333613    58300     58300    0       0             58300     0        0
MECON INC                        COM        58400M105      3125108   446444    446444    0       0            324544     0   121900
MEDE AMER CORP                   COM        584067102      3143211   158149    158149    0       0            116149     0    42000
MEDIAONE GROUP INC               COM        58440J104    998805352 15744839  15744839    0       0          15654989     0    89850
MEDIAONE GROUP INC               PFD CV 
                                  SER D     58440J203      3869716    30100     30100    0       0             30100     0        0
MEDIMMUNE INC                    COM        584699102     17618786   297680    297680    0       0            297680     0        0
MEDITRUST CORP                   PAIRED CTF
                                  NEW       58501T306      3109250   250000    250000    0       0            250000     0        0
MEDQUIST INC                     COM        584949101      4800000   160000    160000    0       0            160000     0        0
MEDTRONIC INC                    COM        585055106    267892141  3727195   3727195    0       0           3709674     0    17521
MEGABIOS CORP DEL                COM        58515T102       551385   133669    133669    0       0             95969     0    37700
MELLON BK CORP                   COM        585509102     81065526  1151908   1151908    0       0           1151908     0        0
MEMBERWORKS INC                  COM        586002107      7833988   216110    216110    0       0            157400     0    58710
MERANT PLC                       SPNS ADR   587336108       670313    68750     68750    0       0             68750     0        0
                                                      ------------
                                           PAGE TOTAL   4590177460
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  29
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
MERCK & CO INC                   COM        589331107    154206572  1924575   1924575    0       0           1897555     0    27020
MEREDITH CORP                    COM        589433101     11788875   375000    375000    0       0            371900     0     3100
MERISTAR HOSPITALITY CORP        COM        58984Y103     25514688  1402908   1402908    0       0           1255008     0   147900
MERISTAR HOTELS & RESORTS INC    COM        589988104      2568500   934000    934000    0       0            934000     0        0
MERRILL LYNCH & CO INC           COM        590188108    261319526  2952763   2952763    0       0           2947363     0     5400
META GROUP INC                   COM        591002100     12034105   782706    782706    0       0            581256     0   201450
METAMOR WORLDWIDE INC            COM        59133P100     17428600  1244900   1244900    0       0           1244900     0        0
METROMEDIA FIBER NETWORK INC     CL A       591689104     22862563   441260    441260    0       0            441260     0        0
MEYER FRED INC DEL NEW           COM        592907109    760644217 12919647  12919647    0       0          12706657     0   212990
MGM GRAND INC                    COM        552953101      5588105   166189    166189    0       0            166189     0        0
MICREL INC                       COM        594793101      2708605    54105     54105    0       0             54105     0        0
MICRO LINEAR CORP                COM        594850109       804276   198000    198000    0       0            198000     0        0
MICRO WHSE INC                   COM        59501B105     69266502  4295597   4295597    0       0           4106147     0   189450
MICROCHIP TECHNOLOGY INC         COM        595017104      6712887   193874    193874    0       0            138874     0    55000
MICROMUSE INC                    COM        595094103       267490     5815      5815    0       0              5815     0        0
MICROSOFT CORP                   COM        594918104   3111985510 34722293  34722293    0       0          34583559     0   138734
MID ATLANTIC MED SVCS INC        COM        59523C107     44047089  4377568   4377568    0       0           4070268     0   307300
MID-AMER APT CMNTYS INC          COM        59522J103      4187363   195900    195900    0       0            195900     0        0
MIDAMERICAN ENERGY HLDGS NEW     COM        59562V107     88608156  3164577   3164577    0       0           3151177     0    13400
MILLENNIUM PHARMACEUTICALS INC   COM        599902103       306719     9815      9815    0       0              9815     0        0
MIPS TECHNOLOGIES INC            COM        604567107      2065399    33859     33859    0       0             33859     0        0
                                                      ------------
                                           PAGE TOTAL   4604915745
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  30
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
MIRAGE RESORTS INC               COM        60462E104     50146876  2359853   2359853    0       0           2359853     0        0
MOBIL CORP                       COM        607059102    514335976  5844727   5844727    0       0           5790117     0    54610
MOBIUS MGMT SYSTEMS INC          COM        606925105      1386000    66000     66000    0       0             66000     0        0
MODIS PROFESSIONAL SVCS INC      COM        607830106    100685997 11110792  11110792    0       0          10736056     0   374736
MONDAVI ROBERT CORP              CL A       609200100      6065774   169672    169672    0       0            123872     0    45800
MONY GROUP INC                   COM        615337102       614413    24700     24700    0       0             24700     0        0
MOOG INC                         CL A       615394202      1212375    39750     39750    0       0             39750     0        0
MORGAN STANLEY DEAN WITTER&CO    COM NEW    617446448    306201172  3063942   3063942    0       0           3060142     0     3800
MORTONS RESTAURANT GROUP INC     COM        619429103      8425025   543550    543550    0       0            538350     0     5200
MOTHERS WK INC                   COM        619903107      2058000   196000    196000    0       0            196000     0        0
MOTOROLA INC                     COM        620076109    247496294  3378789   3378789    0       0           3370899     0     7890
MOVIE GALLERY INC                COM        624581104      1795456   338000    338000    0       0            338000     0        0
MSC INDL DIRECT INC              CL A       553530106      5127200   301600    301600    0       0            301600     0        0
MYLAN LABS INC                   COM        628530107      5503862   200600    200600    0       0            200600     0        0
NABISCO HLDGS CORP               CL A       629526104       278465     6700      6700    0       0                 0     0     6700
NATIONAL CITY CORP               COM        635405103    117640262  1772358   1772358    0       0           1755538     0    16820
NATIONAL DATA CORP               COM        635621105      3665466    87273     87273    0       0             87273     0        0
NATIONAL EQUIP SVCS INC          COM        635847106      2039625   220500    220500    0       0            220500     0        0
NATIONAL FUEL GAS CO N J         COM        636180101     15507989   395108    395108    0       0            395108     0        0
NATIONAL PROCESSING INC          COM        637229105      4985501  1107889   1107889    0       0            852989     0   254900
NATIONAL-OILWELL INC             COM        637071101      6264766   541841    541841    0       0            396541     0   145300
                                                      ------------
                                           PAGE TOTAL   1401436494
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  31
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
NATIONWIDE FINL SVCS INC         CL A       638612101     90181602  2147181   2147181    0       0           2080181     0    67000
NATURAL MICROSYSTEMS CORP        COM        638882100      2121138   429641    429641    0       0            309841     0   119800
NAVARRE CORP                     COM        639208107      1616692   116000    116000    0       0            116000     0        0
NAVIGANT INTL INC                COM        63935R108      2418428   449940    449940    0       0            449940     0        0
NAVISTAR INTL CORP NEW           COM        63934E108       217412     5410      5410    0       0              5410     0        0
NCO GROUP INC                    COM        628858102      2070150    55950     55950    0       0             55950     0        0
NCR CORP NEW                     COM        62886E108       252350     5047      5047    0       0              5047     0        0
NCS HEALTHCARE INC               CL A       628874109      7549788   629149    629149    0       0            472149     0   157000
NETWORKS ASSOCS INC              COM        640938106     12999627   423620    423620    0       0            423620     0        0
NEW CENTURY ENERGIES INC         COM        64352U103     25654170   753161    753161    0       0            745131     0     8030
NEW ERA OF NETWORKS INC          COM        644312100       377368     5570      5570    0       0              5570     0        0
NEW YORK TIMES CO                CL A       650111107     18100350   635100    635100    0       0            635100     0        0
NEWCOR INC                       COM        651186108       461404   129535    129535    0       0            129535     0        0
NEWCOURT CR GROUP INC            COM        650905102      3811791   140854    140854    0       0            140854     0        0
NEWFIELD EXPL CO                 COM        651290108     12525879   553630    553630    0       0            443730     0   109900
NEWPORT NEWS SHIPBUILDING INC    COM        652228107    132771825  4190104   4190104    0       0           3866204     0   323900
NEWS CORP LTD                    SP ADR
                                  PFD       652487802      2480968    90217     90217    0       0             90217     0        0
NEXTEL COMMUNICATIONS INC        CL A       65332V103     13895525   379400    379400    0       0            379400     0        0
NEXTLINK COMMUNICATIONS INC      CL A       65333H707     33104568   591153    591153    0       0            491953     0    99200
NICOR INC                        COM        654086107     20826534   579529    579529    0       0            579529     0        0
NINE WEST GROUP INC              COM        65440D102     10055410   407316    407316    0       0            407316     0        0
                                                      ------------
                                           PAGE TOTAL    393492976
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  32
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
NIPSCO INDS INC                  COM        629140104     87422004  3237852   3237852    0       0           3168702     0    69150
NL INDS INC                      COM NEW    629156407       126000    14000     14000    0       0             14000     0        0
NOBLE DRILLING CORP              COM        655042109     53494185  3078802   3078802    0       0           2758902     0   319900
NOKIA CORP                       SPNS ADR   654902204     77765819   499299    499299    0       0            499299     0        0
NORDSTROM INC                    COM        655664100     69271435  1694714   1694714    0       0           1676614     0    18100
NORFOLK SOUTHERN CORP            COM        655844108     20017570   758960    758960    0       0            758960     0        0
NORTHERN TELECOM LTD             COM        665815106     60837149   979270    979270    0       0            979270     0        0
NORTHERN TR CORP                 COM        665859104     72588801   817331    817331    0       0            809991     0     7340
NOVA CORP GA                     COM        669784100     47859473  1823218   1823218    0       0           1520446     0   302772
NOVELL INC                       COM        670006105       244944     9725      9725    0       0              9725     0        0
NOVELLUS SYS INC                 COM        670008101     20410417   370257    370257    0       0            352857     0    17400
NS GROUP INC                     COM        628916108      2627489   472400    472400    0       0            472400     0        0
NTL INC                          COM        629407107     96387548  1184486   1184486    0       0           1184486     0        0
NUI CORP                         COM        629430109      4536645   210400    210400    0       0            210400     0        0
OCULAR SCIENCES INC              COM        675744106       516366    18000     18000    0       0             18000     0        0
OFFICE DEPOT INC                 COM        676220106    716195305 19130681  19130681    0       0          18910331     0   220350
OFFICEMAX INC                    COM        67622M108      7702125   893000    893000    0       0            893000     0        0
OMNICOM GROUP INC                COM        681919106     11716366   146570    146570    0       0            146570     0        0
ONEOK INC NEW                    COM        682680103      6583500   266000    266000    0       0            266000     0        0
OPEN JT STK CO-VIMPEL COMMUNIC   SPNS ADR   68370R109       267205    17239     17239    0       0             17239     0        0
ORACLE CORP                      COM        68389X105   1677094149 63586508  63586508    0       0          63500650     0    85858
                                                      ------------
                                           PAGE TOTAL   3033664492
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  33
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
ORTHALLIANCE INC                 CL A       687913103       158875    20500     20500    0       0             20500     0        0
ORTHODONTIC CTRS AMER INC        COM        68750P103     47332609  3005245   3005245    0       0           2850645     0   154600
OSHAP TECHNOLOGIES LTD           ORD        671039105      8332250   637900    637900    0       0            637900     0        0
OUTBACK STEAKHOUSE INC           COM        689899102     30399926   928242    928242    0       0            928242     0        0
OUTDOOR SYS INC                  COM        690057104     41077260  1369242   1369242    0       0           1369242     0        0
OUTSOURCE INTL INC               COM        690131107       493675   151900    151900    0       0            151900     0        0
OXFORD HEALTH PLANS INC          COM        691471106      7642188   489100    489100    0       0            489100     0        0
PACIFIC SUNWEAR CALIF INC        COM        694873100       276089     7945      7945    0       0              7945     0        0
PACIFICARE HEALTH SYS DEL        CL A       695112102     22564106   374900    374900    0       0            374900     0        0
PACIFICARE HEALTH SYS DEL        CL B       695112201     46146623   676141    676141    0       0            676141     0        0
PACIFICORP                       COM        695114108      7569835   438831    438831    0       0            438831     0        0
PAGEMART WIRELESS INC            CL A       69553J104       217913    44700     44700    0       0             44700     0        0
PAINE WEBBER GROUP INC           COM        695629105     18003363   451495    451495    0       0            451495     0        0
PAPA JOHNS INTL INC              COM        698813102     17378190   393840    393840    0       0            348540     0    45300
PAREXEL INTL CORP                COM        699462107     33556879  1622124   1622124    0       0           1271404     0   350720
PAYMENTECH INC                   COM        704384106     17595168   744769    744769    0       0            619469     0   125300
PEAK INTL LTD                    ORD        G69586108       346800   150000    150000    0       0            150000     0        0
PECO ENERGY CO                   COM        693304107    138570087  2996110   2996110    0       0           2984800     0    11310
PEERLESS SYS CORP                COM        705536100      4003458   470995    470995    0       0            353595     0   117400
PEGASUS SYSTEMS INC              COM        705906105       232152     5822      5822    0       0              5822     0        0
PENSKE MOTORSPORTS INC           COM        709598106       244459     6935      6935    0       0              6935     0        0
                                                      ------------
                                           PAGE TOTAL    442141903
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  34
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
PEOPLESOFT INC                   COM        712713106      3586343   245220    245220    0       0            245220     0        0
PEPSICO INC                      COM        713448108     29043523   741152    741152    0       0            708532     0    32620
PERSONNEL GROUP AMER INC         COM        715338109      5849485   813898    813898    0       0            708098     0   105800
PETCO ANIMAL SUPPLIES            COM        716016100     22800910  2280091   2280091    0       0           1820091     0   460000
PFIZER INC                       COM        717081103    806515733  5812726   5812726    0       0           5777646     0    35080
PHARMACIA & UPJOHN INC           COM        716941109    502724661  8059714   8059714    0       0           8014854     0    44860
PHILIP MORRIS COS INC            COM        718154107    249510243  7090978   7090978    0       0           7053658     0    37320
PHILIPPINE LONG DISTANCE TEL     SPNS ADR   718252604      1468225    56743     56743    0       0             56743     0        0
PHOTRONICS INC                   COM        719405102     21511130  1154960   1154960    0       0            926860     0   228100
PHYMATRIX CORP                   COM        718925100       168806    98200     98200    0       0             98200     0        0
PIER 1 IMPORTS INC               COM        720279108      1097314   135054    135054    0       0            135054     0        0
PINNACLE HLDGS INC               COM        72346N101     18993007  1255736   1255736    0       0           1028436     0   227300
PINNACLE WEST CAP CORP           COM        723484101    126612281  3480750   3480750    0       0           3438460     0    42290
PMC-SIERRA INC                   COM        69344F106     27168661   381652    381652    0       0            300452     0    81200
PNC BK CORP                      COM        693475105    191781911  3451674   3451674    0       0           3436724     0    14950
POHANG IRON & STL LTD            SPNS ADR   730450103       418275    23400     23400    0       0             23400     0        0
POLICY MGMT SYS CORP             COM        731108106     26676182   871059    871059    0       0            859659     0    11400
POLYMER GROUP INC                COM        731745105      1893475   204700    204700    0       0            204700     0        0
PORTUGAL TELECOM S A             SPNS ADR   737273102      2812730    64200     64200    0       0             64200     0        0
PRECISION RESPONSE CORP          COM        740314109       308750    95000     95000    0       0             95000     0        0
PREMIER PKS INC                  COM NEW    740540208     59147785  1587860   1587860    0       0           1587860     0        0
                                                      ------------
                                           PAGE TOTAL   2100089429
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  35
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
PRIME HOSPITALITY CORP           COM        741917108      2779776   279740    279740    0       0            194740     0    85000
PROCTER & GAMBLE CO              COM        742718109    537279738  5485973   5485973    0       0           5453373     0    32600
PROFESSIONAL DETAILING INC       COM        74312N107      3805390   145316    145316    0       0            112716     0    32600
PROGRESSIVE CORP OHIO            COM        743315103    197533777  1376542   1376542    0       0           1365742     0    10800
PROMUS HOTEL CORP NEW            COM        74342P106    267148621  7344292   7344292    0       0           7344292     0        0
PROVIDENCE ENERGY CORP           COM        743743106       346994    18884     18884    0       0             18884     0        0
PROVIDIAN FINL CORP              COM        74406A102      2244000    20400     20400    0       0             20400     0        0
PROXIM INC                       COM        744284100     14213080   494368    494368    0       0            369968     0   124400
PRT GROUP INC                    COM        693579104      1693757   511400    511400    0       0            511400     0        0
PSINET INC                       COM        74437C101       283293     6656      6656    0       0              6656     0        0
PSS WORLD MED INC                COM        69366A100     20331135  2307210   2307210    0       0           1922610     0   384600
PUBLIC SVC CO N C INC            COM        744516105      4833681   170350    170350    0       0            170350     0        0
PUBLIC SVC CO N MEX              COM        744499104      6194800   364400    364400    0       0            364400     0        0
PUBLIC SVC ENTERPRISE GROUP      COM        744573106     16324484   427488    427488    0       0            427488     0        0
QLOGIC CORP                      COM        747277101      1826471    27210     27210    0       0             27210     0        0
QLT PHOTOTHERAPEUTICS INC        COM        746927102       236065     5793      5793    0       0              5793     0        0
QUAKER OATS CO                   COM        747402105     36053333   579170    579170    0       0            575030     0     4140
QUALCOMM INC                     COM        747525103     25547247   205405    205405    0       0            205405     0        0
QUICKTURN DESIGN SYS INC         COM        74838E102       904000    64000     64000    0       0             49000     0    15000
QUIKSILVER INC                   COM        74838C106       246402     5832      5832    0       0              5832     0        0
QUINTILES TRANSNATIONAL CORP     COM        748767100     76786105  2034069   2034069    0       0           1729192     0   304877
                                                      ------------
                                           PAGE TOTAL   1216612148
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  36
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
QUORUM HEALTH GROUP INC          COM        749084109     11057770  1105777   1105777    0       0            833777     0   272000
QWEST COMMUNICATIONS INTL INC    COM        749121109    142212048  1972592   1972592    0       0           1969694     0     2898
RADIANT SYSTEMS INC              COM        75025N102      1439250   151500    151500    0       0            151500     0        0
RAINFOREST CAFE INC              COM        75086K104       817538   162500    162500    0       0            162500     0        0
RALSTON PURINA CO                COM RAL-
                                  PUR GP    751277302    287666939 10779291  10779291    0       0          10652361     0   126930
RAMBUS INC DEL                   COM        750917106      6302313    97900     97900    0       0             94400     0     3500
RATIONAL SOFTWARE CORP           COM NEW    75409P202      5443587   203028    203028    0       0            203028     0        0
RAYOVAC CORP                     COM        755081106       382368    13873     13873    0       0             13873     0        0
RAYTHEON CO                      CL A       755111309    109956115  1904002   1904002    0       0           1828902     0    75100
RAYTHEON CO                      CL B       755111408     19043159   324830    324830    0       0            324830     0        0
RCM TECHNOLOGIES INC             COM NEW    749360400      5661700   514700    514700    0       0            514700     0        0
READERS DIGEST ASSN INC          CL A NON
                                  VTG       755267101      2134101    67885     67885    0       0             67885     0        0
READERS DIGEST AUTO COM EXCH     TRACES     755271202      3181200   100000    100000    0       0            100000     0        0
REALNETWORKS INC                 COM        75605L104       417269     3415      3415    0       0              3415     0        0
REGIONS FINL CORP                COM        758940100      1852438    53500     53500    0       0             51200     0     2300
REGIS CORP MINN                  COM        758932107     24916421   935828    935828    0       0            684028     0   251800
RELIASTAR FINL CORP              COM        75952U103    171090527  4013854   4013854    0       0           3825724     0   188130
REMEDY CORP                      COM        759548100       579600    41400     41400    0       0             41400     0        0
REMEDYTEMP INC                   CL A       759549108      1004960    80000     80000    0       0             80000     0        0
RENAISSANCE WORLDWIDE INC        COM        75968A109     27054217  4372752   4372752    0       0           3882352     0   490400
RENAL CARE GROUP INC             COM        759930100      1185782    60422     60422    0       0             60422     0        0
                                                      ------------
                                           PAGE TOTAL    823399298
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  37
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
RENEX CORP                       COM        759683105      1199350   282200    282200    0       0            282200     0        0
RENT A CTR INC NEW               COM        76009N100      7647500   266000    266000    0       0            266000     0        0
RENT WAY INC                     COM        76009U104       480000    20000     20000    0       0             20000     0        0
RENTAL SERVICE CORP              COM        76009V102      1974000   112800    112800    0       0            112800     0        0
REPUBLIC INDS INC                COM        760516104     62953605  5087160   5087160    0       0           5087160     0        0
REPUBLIC SVCS INC                CL A       760759100     18689510  1154600   1154600    0       0           1154600     0        0
REUTERS GROUP PLC                SPNS ADR   76132M102     61306471   705686    705686    0       0            705156     0      530
RITE AID CORP                    COM        767754104    660840425 26433617  26433617    0       0          26019507     0   414110
RMH TELESERVICES INC             COM        749938106       490756   238000    238000    0       0            238000     0        0
ROMAC INTL INC                   COM        775835101      4503300   529800    529800    0       0            529800     0        0
ROYAL CARIBBEAN CRUISES LTD      COM        V7780T103     10771800   276200    276200    0       0            276200     0        0
ROYAL DUTCH PETE CO              NY REG  
                                  GLD1.25   780257804     48984000   942000    942000    0       0            942000     0        0
RURAL / METRO CORP               COM        781748108      3614510   455400    455400    0       0            455400     0        0
S I HANDLING SYS INC             COM        784255101      2059850   158450    158450    0       0            158450     0        0
SAFEGUARD SCIENTIFICS INC        COM        786449108       398790     5908      5908    0       0              5908     0        0
SAFEWAY INC                      COM NEW    786514208    507825012  9896808   9896808    0       0           9805578     0    91230
SANMINA CORP                     COM        800907107      7363125   115500    115500    0       0            115500     0        0
SANTA FE INTL CORP               ORD        G7805C108      2197591   117600    117600    0       0            117600     0        0
SAP AKTIENGESELLSCHAFT           SPNS ADR   803054204     32599252  1238950   1238950    0       0           1238950     0        0
SAVILLE SYS PLC                  SPNS ADR   805174109      1768386   144358    144358    0       0            137658     0     6700
SBC COMMUNICATIONS INC           COM        78387G103    320935067  6801345   6801345    0       0           6714067     0    87278
                                                      ------------
                                           PAGE TOTAL   1758602300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  38
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
SCANA CORP                       COM        805898103      4228965   195000    195000    0       0            195000     0        0
SCB COMPUTER TECHNOLOGY INC      COM        78388N107      2436144   534008    534008    0       0            392408     0   141600
SCC COMMUNICATIONS CORP          COM        78388X105       987801   322600    322600    0       0            322600     0        0
SCHEIN HENRY INC                 COM        806407102      8427263   333753    333753    0       0            249453     0    84300
SCHERING PLOUGH CORP             COM        806605101    227949400  4125781   4125781    0       0           4058261     0    67520
SCHLOTZSKYS INC                  COM        806832101      4363225   392200    392200    0       0            392200     0        0
SCHLUMBERGER LTD                 COM        806857108     83960263  1394990   1394990    0       0           1394990     0        0
SCHOLASTIC CORP                  COM        807066105     72681670  1487093   1487093    0       0           1257793     0   229300
SCHOOL SPECIALTY INC             COM        807863105      3449622   176343    176343    0       0            176343     0        0
SCHWAB CHARLES CORP NEW          COM        808513105     83432655   867960    867960    0       0            867960     0        0
SCI SYS INC                      COM        783890106      5288211   178505    178505    0       0            178505     0        0
SCIENTIFIC ATLANTA INC           COM        808655104     13565459   497815    497815    0       0            497815     0        0
SCRIPPS E W CO OHIO              CL A       811054204     23735700   536400    536400    0       0            536400     0        0
SDL INC                          COM        784076101      2793557    30783     30783    0       0             30783     0        0
SEAGATE TECHNOLOGY               COM        811804103       295916    10010     10010    0       0             10010     0        0
SEAGRAM LTD                      COM        811850106       990000    19800     19800    0       0             19800     0        0
SEALED AIR CORP NEW              COM        81211K100       241508     4910      4910    0       0              4910     0        0
SEALED AIR CORP NEW              PFD CV 
                                  A $2      81211K209      4269375    86250     86250    0       0             86250     0        0
SECURITY DYNAMICS TECHNOLOGIES   COM        814208104     33846467  1817260   1817260    0       0           1516060     0   301200
SEMPRA ENERGY                    COM        816851109     15012408   782426    782426    0       0            782426     0        0
SEPRACOR INC                     COM        817315104    110836773   987410    987410    0       0            953680     0    33730
                                                      ------------
                                           PAGE TOTAL    702792383
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  39
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
SERVICE CORP INTL                COM        817565104     80055089  5617901   5617901    0       0           5380344     0   237557
SERVICE EXPERTS INC              COM        817567100      2160000   160000    160000    0       0            160000     0        0
SHAW GROUP INC                   COM        820280105      1574881   113000    113000    0       0            113000     0        0
SHERWIN WILLIAMS CO              COM        824348106     10243153   364201    364201    0       0            364201     0        0
SHOLODGE INC                     COM        825034101      4099529   840929    840929    0       0            702497     0   138432
SIEBEL SYS INC                   COM        826170102     36038583   758707    758707    0       0            758707     0        0
SIERRA HEALTH SVCS INC           COM        826322109      1495000   115000    115000    0       0            115000     0        0
SIERRA PAC RES                   COM        826425100     48522240  1378982   1378982    0       0           1378982     0        0
SILGAN HOLDINGS INC              COM        827048109      1254862    75200     75200    0       0             75200     0        0
SILVERLEAF RESORTS INC           COM        828395103       432000    54000     54000    0       0             54000     0        0
SINCLAIR BROADCAST GROUP INC     CL A       829226109      1132924    77800     77800    0       0             77800     0        0
SIPEX CORP                       COM        829909100     30254387  2316214   2316214    0       0           1947504     0   368710
SITEL CORP                       COM        82980K107       656450   276400    276400    0       0            276400     0        0
SK TELECOM LTD                   SPNS ADR   78440P108       244557    20067     20067    0       0             20067     0        0
SKYWEST INC                      COM        830879102      7743264   268165    268165    0       0            197865     0    70300
SL GREEN RLTY CORP               COM        78440X101      4629633   246100    246100    0       0            246100     0        0
SMITH INTL INC                   COM        832110100      6256000   156400    156400    0       0            156400     0        0
SMITHKLINE BEECHAM PLC           ADR REP
                                  ORD       832378301     47937890   670460    670460    0       0            670460     0        0
SMUCKER J M CO                   CL B       832696207       517040    29129     29129    0       0             29129     0        0
SMURFIT-STONE CONTAINER CORP     COM        832727101     81481229  4219202   4219202    0       0           4206459     0    12743
SNYDER COMMUNICATIONS INC        COM        832914105     18101746   649390    649390    0       0            574880     0    74510
                                                      ------------
                                           PAGE TOTAL    384830457
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  40
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
SODEXHO MARRIOTT SVCS INC        COM        833793102      5527612   250549    250549    0       0            216299     0    34250
SONAT INC                        COM        835415100     27476130   915871    915871    0       0            915871     0        0
SONIC CORP                       COM        835451105     37854216  1405287   1405287    0       0           1261737     0   143550
SOTHEBYS HLDGS INC               CL A       835898107       258353     7980      7980    0       0              7980     0        0
SOUTHERN CO                      COM        842587107     23841182  1022700   1022700    0       0           1022700     0        0
SPEEDWAY MOTORSPORTS INC         COM        847788106       248531     6025      6025    0       0              6025     0        0
SPORTS CLUB INC                  COM        84917P100       860540   170000    170000    0       0            170000     0        0
SPORTSLINE USA INC               COM        848934105    102666059  2250215   2250215    0       0           1985615     0   264600
SPR INC                          COM        784922106       902299   215500    215500    0       0            215500     0        0
SPRINT CORP                      COM FON
                                  GROUP     852061100    495897452  5053732   5053732    0       0           5009862     0    43870
SPRINT CORP                      PCS COM
                                  SER 1     852061506    152383695  3438881   3438881    0       0           3430181     0     8700
SPX CORP                         COM        784635104     10318704   204586    204586    0       0            204586     0        0
ST JUDE MED INC                  COM        790849103      3118367   127933    127933    0       0            127933     0        0
STAFF LEASING INC                COM        852381102       390718    27300     27300    0       0             27300     0        0
STAFFMARK INC                    COM        852389105      7148925   907800    907800    0       0            907800     0        0
STAGE STORES INC                 COM        85254C107      5521578   761597    761597    0       0            559197     0   202400
STANLEY WKS                      COM        854616109      2170438    84700     84700    0       0             84700     0        0
STAPLES INC                      COM        855030102     85641512  2605065   2605065    0       0           2605065     0        0
STAR BUFFET INC                  COM        855086104       157500    35000     35000    0       0             35000     0        0
STATE STR CORP                   COM        857477103    190513290  2316271   2316271    0       0           2305961     0    10310
STEELCASE INC                    CL A       858155203       563438    37100     37100    0       0             37100     0        0
                                                      ------------
                                           PAGE TOTAL   1153460538
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  41
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
STERIS CORP                      COM        859152100     26174319   983073    983073    0       0            840173     0   142900
STERLING COMM INC                COM        859205106      1839650    59826     59826    0       0             59826     0        0
STERLING SOFTWARE INC            COM        859547101     24817135  1044932   1044932    0       0            754332     0   290600
STET HELLAS COMMUNICATIONS S A   ADR        859823106     16062349   542189    542189    0       0            491589     0    50600
STEWART ENTERPRISES INC          CL A       860370105     10841850   675000    675000    0       0            675000     0        0
STRATESEC INC                    COM        862792108        34350    50000     50000    0       0             50000     0        0
STUDENT LN CORP                  COM        863902102     16762426   448493    448493    0       0            325393     0   123100
SUIZA FOODS CORP                 COM        865077101     28492128   845790    845790    0       0            845790     0        0
SUMMIT DESIGN INC                COM        86605U101      4401350  1280579   1280579    0       0            973879     0   306700
SUN MICROSYSTEMS INC             COM        866810104    288915481  2310178   2310178    0       0           2274218     0    35960
SUNGARD DATA SYS INC             COM        867363103    108458760  2711469   2711469    0       0           2418589     0   292880
SUNRISE ASSISTED LIVING INC      COM        86768K106      1226985    26930     26930    0       0             26930     0        0
SUNTERRA CORP                    COM        86787D109      1511250   155000    155000    0       0            155000     0        0
SUPERIOR CONSULTANT HLDGS CORP   COM        868146101      8231769   241224    241224    0       0            187524     0    53700
SUPERIOR SVCS INC                COM        868316100     16816029   848780    848780    0       0            655380     0   193400
SWISHER INTL GROUP INC           CL A       870809100      1876770   210000    210000    0       0            210000     0        0
SYLVAN LEARNING SYS INC          COM        871399101      8228022   300567    300567    0       0            252767     0    47800
SYNOPSYS INC                     COM        871607107    396749444  7381385   7381385    0       0           6954757     0   426628
SYNTEL INC                       COM        87162H103      1157813   142500    142500    0       0            142500     0        0
SYNTHETIC INDS INC               COM        871914107      1000636    59965     59965    0       0             59965     0        0
SYSTEM SOFTWARE ASSOC INC        COM        871839106      5329015  2368451   2368451    0       0           2368451     0        0
                                                      ------------
                                           PAGE TOTAL    968927529
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  42
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
TACO CABANA INC                  COM        873425102      9827856  1115281   1115281    0       0           1008681     0   106600
TAIWAN SEMICONDUCTOR MFG LTD     SPNS ADR   874039100       319056    13505     13505    0       0             13505     0        0
TANDY CORP                       COM        875382103     20968623   328600    328600    0       0            328600     0        0
TCA CABLE TV INC                 COM        872241104       290058     6668      6668    0       0              6668     0        0
TECHNOLOGY SOLUTIONS CO          COM        87872T108     36428999  5112842   5112842    0       0           4186050     0   926792
TEKELEC                          COM        879101103       339569    46440     46440    0       0             46440     0        0
TEL-SAVE COM INC                 COM        879176105     78684543  7539000   7539000    0       0           7539000     0        0
TELECOMM ARGENTINA STET-FRANCE   SPNS ADR
                                  REP B     879273209       525419    19150     19150    0       0             19150     0        0
TELECOMUNICACOES BRASILEIRAS S   SPNS ADR   879287308     27843844   345350    345350    0       0            345350     0        0
TELEFONICA DE ARGENTINA S A      SPNS ADR
                                  CL B      879378206      1548800    51200     51200    0       0             51200     0        0
TELEFONICA DEL PERU S A          SPONS ADR
                                  CL B      879384105       437963    34350     34350    0       0             34350     0        0
TELEFONICA S A                   SPNS ADR   879382208     16470041   128924    128924    0       0            128924     0        0
TELEFONOS DE MEXICO S A          SP ADR   
                                  REP ORD   879403780     26895000   407500    407500    0       0            407500     0        0
TELEPHONE & DATA SYS INC         COM        879433100     22207804   393930    393930    0       0            393930     0        0
TELETECH HOLDINGS INC            COM        879939106      3831985   583966    583966    0       0            433766     0   150200
TELLABS INC                      COM        879664100     97254017   994926    994926    0       0            994926     0        0
TERADYNE INC                     COM        880770102     48129140   882100    882100    0       0            880300     0     1800
TEVA PHARMACEUTICAL INDS LTD     ADR        881624209       941482    19847     19847    0       0             19847     0        0
TEXACO INC                       COM        881694103     52408341   923495    923495    0       0            911865     0    11630
TEXAS INSTRS INC                 COM        882508104     56109102   565331    565331    0       0            565331     0        0
TEXAS UTILS CO                   COM        882848104    176050728  4191684   4191684    0       0           4144094     0    47590
                                                      ------------
                                           PAGE TOTAL    677512369
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  43
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
TICKETMASTER ONLINE-CITYSEARCH   CL B       88633P203      2925375    87000     87000    0       0             87000     0        0
TIER TECHNOLOGIES INC            CL B       88650Q100       799204    92000     92000    0       0             92000     0        0
TIFFANY & CO NEW                 COM        886547108       312904     4186      4186    0       0              4186     0        0
TIME WARNER INC                  COM        887315109   1182652102 16701295  16701295    0       0          16602305     0    98990
TJX COS INC NEW                  COM        872540109    354775176 10434564  10434564    0       0          10389694     0    44870
TMP WORLDWIDE INC                COM        872941109       795308    12271     12271    0       0             12271     0        0
TOKIO MARINE & FIRE INS LTD      ADR NEW    889090403       224500     4000      4000    0       0              4000     0        0
TOOTSIE ROLL INDS INC            COM        890516107     19873702   432037    432037    0       0            335471     0    96566
TORCHMARK CORP                   COM        891027104    115475462  3651398   3651398    0       0           3583748     0    67650
TOTAL ENTMT RESTAURANT CORP      COM        89150E100       268375    56500     56500    0       0             56500     0        0
TOTAL RENAL CARE HLDGS INC       COM        89151A107    103922852  9447532   9447532    0       0           8322748     0  1124784
TOTAL S A                        SPNS ADR   89151E109      3739300    61300     61300    0       0             61300     0        0
TRANSACTION NETWORK SVCS INC     COM        893414102     19179694  1171279   1171279    0       0            933279     0   238000
TRANSACTION SYS ARCHITECTS       CL A       893416107     38988792  1083022   1083022    0       0            857722     0   225300
TRANSAMERICA CORP                COM        893485102    169549988  2388028   2388028    0       0           2358588     0    29440
TRANSCOASTAL MARINE SERVICES     COM        893537100       220000    55000     55000    0       0             55000     0        0
TRANSKARYOTIC THERAPIES INC      COM        893735100       230346     7255      7255    0       0              7255     0        0
TRANSWITCH CORP                  COM        894065101      5208275   115100    115100    0       0            115100     0        0
TRIBUNE CO NEW                   COM        896047107     90033394  1375879   1375879    0       0           1360349     0    15530
TRICON GLOBAL RESTAURANTS        COM        895953107     81439771  1159285   1159285    0       0           1159285     0        0
TRIGON HEALTHCARE INC            COM        89618L100      3082500    90000     90000    0       0             90000     0        0
                                                      ------------
                                           PAGE TOTAL   2193697019
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  44
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
TRINET CORP RLTY TR INC          COM        896287109     33720558  1328889   1328889    0       0           1328889     0        0
TRW INC                          COM        872649108     68660910  1509031   1509031    0       0           1471031     0    38000
TUBOS DE ACERO DE MEXICO S A     ADR NEW    898592506       294300    32700     32700    0       0             32700     0        0
TV AZTECA S A DE C V             SPNS ADR   901145102       256250    41000     41000    0       0             41000     0        0
TYCO INTL LTD NEW                COM        902124106   2251447799 31379063  31379063    0       0          31265881     0   113182
U S FRANCHISE SVCS INC           CL A NEW   902956309     10202400   697600    697600    0       0            697600     0        0
U S OFFICE PRODS CO              COM NEW    912325305      5049400  1262350   1262350    0       0           1262350     0        0
U S TR CORP NEW                  COM        91288L105      1540864    20770     20770    0       0             20770     0        0
U S WEST INC NEW                 COM        91273H101     18732092   340200    340200    0       0            340200     0        0
UBICS INC                        COM        90261L108       522500   110000    110000    0       0            110000     0        0
UGI CORP NEW                     COM        902681105     12973175   777442    777442    0       0            777442     0        0
UNICOM CORP                      COM        904911104     66395093  1815959   1815959    0       0           1770359     0    45600
UNIGRAPHICS SOLUTIONS INC        CL A       904928108      2449500   138000    138000    0       0            138000     0        0
UNILEVER N V                     N Y SHS    904784501     44062546   663223    663223    0       0            662923     0      300
UNION PAC CORP                   COM        907818108      5357059   100250    100250    0       0            100250     0        0
UNIPHASE CORP                    COM        909149106      3723718    32345     32345    0       0             32345     0        0
UNISYS CORP                      COM        909214108     16080610   580800    580800    0       0            580800     0        0
UNITED HEALTHCARE CORP           COM        910581107    977600206 18576726  18576726    0       0          18533106     0    43620
UNITED PAYORS&UTD PROVIDERS      COM        911319101      3343990   145000    145000    0       0            145000     0        0
UNITED RENTALS INC               COM        911363109      5875617   206162    206162    0       0            206162     0        0
UNITED STATES FILTER CORP NEW    COM NEW    911843209       294459     9615      9615    0       0              9615     0        0
                                                      ------------
                                           PAGE TOTAL   3528583047
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  45
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
UNITED STATIONERS INC            COM        913004107       510875    33500     33500    0       0             33500     0        0
UNITED STS SATELLITE             CL A       912534104       241976    14130     14130    0       0             14130     0        0
UNITED TECHNOLOGIES CORP         COM        913017109    962383359  7105764   7105764    0       0           7061214     0    44550
UNIVISION COMMUNICATIONS INC     CL A       914906102    159188250  3183765   3183765    0       0           3183765     0        0
UNOCAL CORP                      COM        915289102     40168085  1089304   1089304    0       0           1089204     0      100
UNUM CORP                        COM        903192102       423302     8900      8900    0       0              8900     0        0
US BANCORP DEL                   COM        902973106    191818859  5631462   5631462    0       0           5569637     0    61825
USA NETWORKS INC                 COM        902984103       393395    10985     10985    0       0             10985     0        0
USEC INC                         COM        90333E108     30821535  2262131   2262131    0       0           2262131     0        0
USX MARATHON GROUP               COM NEW    902905827     39091965  1421526   1421526    0       0           1413626     0     7900
VANTIVE CORP                     COM        922091103     18322660  1519040   1519040    0       0           1125440     0   393600
VARCO INTL INC                   COM        922126107       210819    18950     18950    0       0             18950     0        0
VDI MEDIA                        COM        917916108      4809172   864648    864648    0       0            710748     0   153900
VENTANA MED SYS INC              COM        92276H106     15803239   706290    706290    0       0            521590     0   184700
VERISIGN INC                     COM        92343E102       590590     3835      3835    0       0              3835     0        0
VERITAS SOFTWARE CO              COM        923436109      1638660    20293     20293    0       0             20293     0        0
VERITY INC                       COM        92343C106       236175     7050      7050    0       0              7050     0        0
VESTCOM INTL INC                 COM        924904105       741488   152100    152100    0       0            152100     0        0
VI TECHNOLOGIES INC              COM        917920100      8233943   833817    833817    0       0            641357     0   192460
VIACOM INC                       CL B       925524308     52567225   626270    626270    0       0            593970     0    32300
VIATEL INC                       COM        925529208      3422850   120100    120100    0       0            120100     0        0
                                                      ------------
                                           PAGE TOTAL   1531618421
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  46
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
VISTANA INC                      COM        92839P108      3815000   272500    272500    0       0            272500     0        0
VOLVO AKTIEBOLAGET               ADR B      928856400      3744805   145080    145080    0       0            145080     0        0
WACKENHUT CORP                   COM SER B  929794303      3349000   197000    197000    0       0            197000     0        0
WADDELL & REED FINL INC          CL A       930059100     22304923  1088045   1088045    0       0            860145     0   227900
WADDELL & REED FINL INC          CL B       930059209      1478700    74400     74400    0       0             74400     0        0
WAL MART STORES INC              COM        931142103    363594009  3944092   3944092    0       0           3931512     0    12580
WALTER INDS INC                  COM        93317Q105       895500    79600     79600    0       0             79600     0        0
WARNER LAMBERT CO                COM        934488107    213521100  3222960   3222960    0       0           3204280     0    18680
WASHINGTON GAS LT CO             COM        938837101     15479799   684190    684190    0       0            684190     0        0
WASHINGTON MUT INC               COM        939322103     84113924  2057833   2057833    0       0           2043843     0    13990
WASTE INDUSTRIES INC             COM        941058109       252900    16860     16860    0       0             16860     0        0
WASTE MGMT INC DEL               COM        94106L109     30218221   680974    680974    0       0            680974     0        0
WATERLINK INC                    COM        94155N105       956250   225000    225000    0       0            225000     0        0
WATERS CORP                      COM        941848103     39933016   380090    380090    0       0            380090     0        0
WATSCO INC                       COM        942622200      1635397   111822    111822    0       0            111822     0        0
WEATHERFORD INTL INC             COM        947074100      7794551   298356    298356    0       0            213586     0    84770
WELLPOINT HEALTH NETWORK NEW     COM        94973H108     77918057  1027780   1027780    0       0           1027780     0        0
WELLS FARGO & CO NEW             COM        949746101    344773902  9833264   9833264    0       0           9769304     0    63960
WENDYS FING I                    TECONS
                                  SER A     950588202       695888    11550     11550    0       0             11550     0        0
WENDYS INTL INC                  COM        950590109    129123317  4540680   4540680    0       0           4526580     0    14100
WESLEY JESSEN VISIONCARE INC     COM        951018100      6716859   243700    243700    0       0            243700     0        0
                                               -      ------------
                                           PAGE TOTAL   1352315117
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  47
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
WESTERN WIRELESS CORP            CL A       95988E204       250669     6915      6915    0       0              6915     0        0
WESTPAC BKG CORP                 SPNS ADR   961214301       302427     8300      8300    0       0              8300     0        0
WESTPOINT STEVENS INC            COM        961238102      2090369    75500     75500    0       0             75500     0        0
WESTVACO CORP                    COM        961548104     11793600   561600    561600    0       0            561600     0        0
WEYERHAEUSER CO                  COM        962166104     51073819   920249    920249    0       0            920249     0        0
WHITEHALL JEWELLERS INC          COM        965063100      1775813   115500    115500    0       0            115500     0        0
WILLAMETTE INDS INC              COM        969133107      6957325   184300    184300    0       0            184300     0        0
WILLIAMS COS INC DEL             COM        969457100     61683595  1561610   1561610    0       0           1561610     0        0
WILMAR INDS INC                  COM        971426101       986479    66600     66600    0       0             66600     0        0
WIND RIVER SYSTEMS INC           COM        973149107     11337178   636491    636491    0       0            475141     0   161350
WINSTAR COMMUNICATIONS INC       COM        975515107      1297481    35700     35700    0       0             35700     0        0
WISCONSIN CENT TRANSN CORP       COM        976592105      9668194   729675    729675    0       0            729675     0        0
WMF GROUP LTD                    COM        929289106       552000    92000     92000    0       0             92000     0        0
WORKFLOW MGMT INC                COM        98137N109      4443208   658253    658253    0       0            658253     0        0
XEROX CORP                       COM        984121103    552799959 10605275  10605275    0       0          10519295     0    85980
XILINX INC                       COM        983919101    107338977  2646294   2646294    0       0           2646294     0        0
XIONICS DOCUMENT TECHNOLOGIES    COM        98412X103      2133372   758667    758667    0       0            528167     0   230500
XL CAP LTD                       CL A       G98255105     49305794   811618    811618    0       0            809814     0     1804
YOUNG & RUBICAM INC              COM        987425105      7489687   183796    183796    0       0            183796     0        0
YPF SOCIEDAD ANONIMA             SPON ADR
                                  CL D      984245100      2658783    84240     84240    0       0             84240     0        0
ZIFF-DAVIS INC                   COM        989511100     28186500  1311000   1311000    0       0           1283900     0    27100
                                                      ------------
                                           PAGE TOTAL    914125227
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                              MFS 13F REPORT

DATE: 990331                                                                                                      PAGE      :  48
                                                                                         ITEM 6                      ITEM 8
                                                          ITEM 4    ITEM 5   INVESTMENT DISCRETION (SHARES)     VOTING AUTHORITY
                                                           FAIR     SHARES                      (C)   ITEM           (SHARES)
ITEM 1                          ITEM 2        ITEM 3      MARKET     OR        (A)      (B)    SHARED   7     (A)      (B)    (C)
ISSUER                          CLASS         SECID       VALUE    PRN AMT     SOLE    SHARED  (OTHER) MGRS   SOLE    SHARED  NONE
- ------------------------------ --------     ---------  ----------- -------  --------- -------- ------- ----  -------  ------ ------
<S>                              <C>        <C>          <C>        <C>       <C>        <C>     <C>         <C>         <C> <C>   
                                           PAGE TOTAL            0
                                                      ------------
                                          GRAND TOTAL  70469133037

</TABLE>


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