MASSACHUSETTS FINANCIAL SERVICES CO /MA/
13F-HR, 1999-11-05
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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: September 30, 1999

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

Institutional Investment Manager Filing this Report:

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

Form 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
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this report on Behalf of Reporting Manager:

Name:  W. Thomas London
Title: Senior Vice President
Phone: 617-954-5000

Signature, Place, and Date of Signing:
/s/ W. Thomas London    Boston, Massachusetts    November 1, 1999

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager.
[If there are no entries in this list, omit this section.]

     Form 13F File Number          Name

     28-                           None
        ----------------------     ----------------------
        [Repeat as necessary.]
<PAGE>

                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:           2

Form 13F Information Table Entry Total:      989

Form 13F Information Table Value Total:      $76,757,692,654
                                             ---------------
                                              (thousands)
List of Other Included Managers:

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

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

No.       Form 13F File Number          Name
          28-                           MFS Institutional Advisors, Inc.
          28-                           Vertex Investment Management, Inc.

[Repeat as necessary.]
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990630                                                                                                      PAGE:         1
<CAPTION>
                                                                                         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>
A CONSULTING TEAM INC            COM        000881102       95000    20000      20000    0       0            20000      0        0
ABACUS DIRECT CORP               COM        002553105      364163     2988       2988    0       0             2988      0        0
ABITIBI-CONSOLIDATED INC         COM        003924107    54677746  4533058    4533058    0       0          4523958      0     9100
ACE LTD                          ORD        G0070K103    33705578  1990056    1990056    0       0          1990056      0        0
ACSYS INC                        COM        00087X103      393225   149800     149800    0       0           149800      0        0
ACT NETWORKS INC                 COM        000975102      111296    12630      12630    0       0            12630      0        0
ACTIVE SOFTWARE INC              COM        00504E100     2836534   118500     118500    0       0           117100      0     1400
ACXIOM CORP                      COM        005125109     2152371   109502     109502    0       0            76896      0    32606
ADELPHIA COMMUNICATIONS CORP     CL A       006848105     2746520    46700      46700    0       0            46500      0      200
ADOBE SYS INC                    COM        00724F101    10655947    93885      93885    0       0            93885      0        0
ADVANCED FIBRE COMMUNICATIONS    COM        00754A105    13709182   616143     616143    0       0           455743      0   160400
AERIAL COMMUNICATIONS INC        COM        007655103     2251402    83001      83001    0       0            71801      0    11200
AES CORP                         COM        00130H105   184080000  3120000    3120000    0       0          3120000      0        0
AFC CABLE SYS INC                COM        000950105    14548727   342323     342323    0       0           252423      0    89900
AFFILIATED COMPUTER SERVICES     CL A       008190100   207037878  5096317    5096317    0       0          4790685      0   305632
AFFYMETRIX INC                   COM        00826T108     9184172    93300      93300    0       0            93300      0        0
AGCO CORP                        COM        001084102    11647610   895970     895970    0       0           764470      0   131500
AGILE SOFTWARE CORP DEL          COM        00846X105      944000    14750      14750    0       0            14625      0      125
AGL RES INC                      COM        001204106      889606    54745      54745    0       0            54745      0        0
AIRNET SYS INC                   COM        009417106      885125    97000      97000    0       0            97000      0        0
                                            -          ----------
                                         PAGE TOTAL     552916084
</TABLE>
<PAGE>
<TABLE>

                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         2
<CAPTION>
                                                                                         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>
AKZO NOBEL NV                    SPONSORED
                                 ADR        010199305      213750     5000       5000    0       0             5000      0        0
ALBERTSONS INC                   COM        013104104   126849104  3206337    3206337    0       0          3110330      0    96007
ALCOA INC                        COM        013817101    23031891   371111     371111    0       0           371111      0        0
ALKERMES INC                     COM        01642T108     3385410   117500     117500    0       0           117500      0        0
ALKERMES INC                     PFD CV
                                 EX$3.25    01642T405     5060720    90370      90370    0       0            90370      0        0
ALLEGIANCE TELECOM INC           COM        01747T102     8278386   157309     157309    0       0           115909      0    41400
ALLIED WASTE INDS INC            COM PAR
                                 $.01NEW    019589308     5299704   453470     453470    0       0           453470      0        0
ALLIEDSIGNAL INC                 COM        019512102   437899602  7305998    7305998    0       0          7285847      0    20151
ALLMERICA FINL CORP              COM        019754100     9525000   200000     200000    0       0           200000      0        0
ALLSCRIPTS INC                   COM        019886100      211534    13325      13325    0       0            13325      0        0
ALLSTATE CORP                    COM        020002101    98498581  3949897    3949897    0       0          3928989      0    20908
ALLTEL CORP                      COM        020039103   251485344  3573504    3573504    0       0          3548239      0    25265
ALPHARMA INC                     CL A       020813101      207882     5887       5887    0       0             5887      0        0
ALTERA CORP                      COM        021441100   524426088 12090515   12090515    0       0         12090515      0        0
ALTERNATIVE RESOURCES CORP       COM        02145R102     3434276   662093     662093    0       0           448693      0   213400
AMAZON COM INC                   COM        023135106    35704261   446655     446655    0       0           446655      0        0
AMDOCS LTD                       ORD        G02602103     5265015   250715     250715    0       0           250715      0        0
AMERICA ONLINE INC DEL           COM        02364J104    15951664   153290     153290    0       0           153290      0        0
AMERICAN EXPRESS CO              COM        025816109   222089040  1645104    1645104    0       0          1644803      0      301
AMERICAN HOME PRODS CORP         COM        026609107   650165602 15666641   15666641    0       0         15569779      0    96862
AMERICAN INTL GROUP INC          COM        026874107   501987192  5774149    5774149    0       0          5761042      0    13107
                                            -          ----------
                                         PAGE TOTAL    2928970046
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         3
<CAPTION>
                                                                                         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 TOWER CORP              CL A       029912201    27935010  1423440    1423440    0       0          1304860      0   118580
AMERIHOST PPTYS INC              COM NEW    03070D209     1581000   527000     527000    0       0           527000      0        0
AMERISOURCE HEALTH CORP          CL A       03071P102     4923106   207840     207840    0       0           141040      0    66800
AMERITECH CORP NEW               COM        030954101    64272507   962884     962884    0       0           962558      0      326
AMFM INC                         COM        001693100    19470375   320500     320500    0       0           320500      0        0
AMGEN INC                        COM        031162100    39572325   485550     485550    0       0           485550      0        0
AMKOR TECHNOLOGY INC             COM        031652100     6972434   432399     432399    0       0           432399      0        0
ANACOMP INC DEL                  COM        032371106     1789571   108663     108663    0       0           108663      0        0
ANALOG DEVICES INC               COM        032654105   731405816 14271333   14271333    0       0         14023802      0   247531
ANDRX CORP                       COM        034551101      338075     5776       5776    0       0             5776      0        0
ANGLO AMERN PLC                  ADR        03485P102      204726     3664       3664    0       0             3664      0        0
ANHEUSER BUSCH COS INC           COM        035229103   121167185  1729428    1729428    0       0          1692012      0    37416
ANNTAYLOR STORES CORP            COM        036115103      228777     5597       5597    0       0             5597      0        0
ANTEC CORP                       COM        03664P105    10625000   200000     200000    0       0           200000      0        0
ANTENNA TV SA                    SPONSORED
                                 ADR        03672N100     7787464   841888     841888    0       0           690188      0   151700
AON CORP                         COM        037389103    24488954   828393     828393    0       0           828393      0        0
APAC CUSTOMER SERVICES INC       COM        00185E106     1884150   450000     450000    0       0           450000      0        0
APACHE CORP                      COM        037411105    88711065  2054115    2054115    0       0          2037015      0    17100
APACHE CORP                      ACES C
                                 DP 1/50    037411600     7158400   178960     178960    0       0           178960      0        0
APEX INC                         COM        037548104    10452835   559364     559364    0       0           414564      0   144800
APPLE COMPUTER INC               COM        037833100    28153264   444675     444675    0       0           444675      0        0
                                            -          ----------
                                         PAGE TOTAL    1199122038
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         4
<CAPTION>
                                                                                         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   131251155  3896196    3896196    0       0          3741996      0   154200
APPLIED GRAPHICS TECHNOLOGIES    COM        037937109     1282538   148700     148700    0       0           148700      0        0
APPLIED MATLS INC                COM        038222105    55769167   717870     717870    0       0           717870      0        0
APPLIED MICRO CIRCUITS CORP      COM        03822W109     4096248    71864      71864    0       0            71864      0        0
APPLIED SCIENCE & TECHNOLOGY     COM        038236105    12162645   589704     589704    0       0           517804      0    71900
ARACRUZ CELULOSE S A             SPON ADR
                                 CL B       038496204      440463    21100      21100    0       0            21100      0        0
ARCHER DANIELS MIDLAND CO        COM        039483102    54490744  4494082    4494082    0       0          4494082      0        0
ARIBA INC                        COM        04033V104     5144200    35600      35600    0       0            35600      0        0
ARM HLDGS PLC                    SPONSORED
                                 ADR        042068106    30880410   657030     657030    0       0           657030      0        0
ART TECHNOLOGY GROUP INC         COM        04289L107     1025771    26950      26950    0       0            26950      0        0
ASE TEST LTD                     ORD        Y02516105     1290100    53200      53200    0       0            53200      0        0
ASIA PULP & PAPER LTD            SPONSORED
                                 ADR        04516V100    16715779  2845239    2845239    0       0          2845239      0        0
ASPEN TECHNOLOGY INC             COM        045327103    30521527  3130413    3130413    0       0          2536717      0   593696
ASSOCIATED MATLS INC             COM        045709102     1076250    70000      70000    0       0            70000      0        0
ASSOCIATES FIRST CAP CORP        CL A       046008108   484791264 13466424   13466424    0       0         13404229      0    62195
ASTRAZENECA PLC                  SPONSORED
                                 ADR        046353108    10426877   246790     246790    0       0           246790      0        0
ASYST TECHNOLOGY CORP            COM        04648X107     7591452   230044     230044    0       0           230044      0        0
AT & T CDA INC                   DEPS RCPT
                                 CL B       00207Q202    46562536   741300     741300    0       0           741300      0        0
AT HOME CORP                     SB DB CV
                                 144A 18    045919AA5     2662949  4169000    4169000    0       0          4169000      0        0
AT&T CORP                        COM        001957109    26722659   614314     614314    0       0           614314      0        0
AT&T CORP                        COM LIB
                                 GRP A      001957208   142733325  3825400    3825400    0       0          3825400      0        0
                                            -          ----------
                                         PAGE TOTAL    1067638057
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         5
<CAPTION>
                                                                                         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>
ATLANTIC RICHFIELD CO            COM        048825103    70814388   799034     799034    0       0           795234      0     3800
ATLANTIS PLASTICS INC            COM        049156102     1573425   116550     116550    0       0           116550      0        0
ATLAS AIR INC                    COM        049164106    19866044   908162     908162    0       0           725727      0   182435
ATMEL CORP                       COM        049513104   131028601  3875210    3875210    0       0          3875210      0        0
ATMI INC                         COM        00207R101      311630     8352       8352    0       0             8352      0        0
ATMOS ENERGY CORP                COM        049560105    19548463   810299     810299    0       0           810299      0        0
ATWOOD OCEANICS INC              COM        050095108      231202     7565       7565    0       0             7565      0        0
AUTODESK INC                     COM        052769106    24509559  1120437    1120437    0       0          1120437      0        0
AUTONATION INC                   COM        05329W102    63589500  5087160    5087160    0       0          5087160      0        0
AUTOZONE INC                     COM        053332102    20276759   722570     722570    0       0           555070      0   167500
AVADO BRANDS INC                 COM        05336P108     2081250   370000     370000    0       0           370000      0        0
AVIATION SALES CO                COM        053672101     3315500   174500     174500    0       0           174500      0        0
AVT CORP                         COM        002420107     2786477    90987      90987    0       0            90987      0        0
AXA                              SPONSORED
                                 ADR        054536107      864653    13550      13550    0       0            13550      0        0
AXA FINL INC                     COM        002451102   230203515  4124624    4124624    0       0          4109283      0    15341
AZTEC TECHNOLOGY PARTNERS INC    COM        05480L101     1735985  1009881    1009881    0       0          1009881      0        0
AZURIX CORP                      COM        05501M104      276711    16100      16100    0       0            16100      0        0
BACKWEB TECHNOLOGIES LTD         ORD        M15633106      462825    27225      27225    0       0            27225      0        0
BALANCED CARE CORP               COM        057630105      429750   382000     382000    0       0           382000      0        0
BALLANTYNE OMAHA INC             COM        058516105      553641    98425      98425    0       0            98425      0        0
BANK NEW YORK INC                COM        064057102   168686555  5044907    5044907    0       0          5024807      0    20100
                                            -          ----------
                                         PAGE TOTAL     763146432
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         6
<CAPTION>
                                                                                         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>
BANK OF AMERICA CORPORATION      COM        060505104   256322138  4602908    4602908    0       0          4594032      0     8876
BANKBOSTON CORP                  COM        06605R106     2923041    67390      67390    0       0            67390      0        0
BARNETT INC                      COM        068062108      918700   100000     100000    0       0           100000      0        0
BAUSCH & LOMB INC                COM        071707103   178871058  2712757    2712757    0       0          2644890      0    67867
BAXTER INTL INC                  COM        071813109    59646897   989990     989990    0       0           989990      0        0
BCE INC                          COM        05534B109    34793084   698488     698488    0       0           698488      0        0
BE AEROSPACE INC                 COM        073302101      957347    80200      80200    0       0            80200      0        0
BELDEN INC                       COM        077459105     8446062   412003     412003    0       0           280103      0   131900
BELL ATLANTIC CORP               COM        077853109   719948689 10695696   10695696    0       0         10609066      0    86630
BELLSOUTH CORP                   COM        079860102    44768475   994855     994855    0       0           975235      0    19620
BERKSHIRE ENERGY RES             COM        084644103      981591    38306      38306    0       0            38306      0        0
BESTFOODS                        COM        08658U101   133411372  2747238    2747238    0       0          2706886      0    40352
BIG FLOWER HLDGS INC             COM        089159107      207952     7345       7345    0       0             7345      0        0
BIOGEN INC                       COM        090597105    47366012   601000     601000    0       0           601000      0        0
BISYS GROUP INC                  COM        055472104    69673234  1485380    1485380    0       0          1207680      0   277700
BJ SVCS CO                       COM        055482103    13587160   427108     427108    0       0           427108      0        0
BJS WHOLESALE CLUB INC           COM        05548J106    37919148  1282699    1282699    0       0          1153499      0   129200
BLACK BOX CORP DEL               COM        091826107    13426665   255746     255746    0       0           189146      0    66600
BLOCK H & R INC                  COM        093671105    12035350   277076     277076    0       0           215076      0    62000
BLUE SQUARE - ISRAEL LTD         SPONSORED
                                 ADR        096055108      649275    47220      47220    0       0            47220      0        0
BLYTH INDS INC                   COM        09643P108    17897579   637787     637787    0       0           520987      0   116800
                                            -          ----------
                                         PAGE TOTAL    1654750830
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         7
<CAPTION>
                                                                                         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>
BMC SOFTWARE INC                 COM        055921100  1836498039 25663034   25663034    0       0         25507092      0   155942
BOISE CASCADE OFFICE PRODS       COM        097403109      114296    10510      10510    0       0            10510      0        0
BORON LEPORE & ASSOCS INC        COM        10001P102     4105536   729873     729873    0       0           496209      0   233664
BOSTON BEER INC                  CL A       100557107      793700   100000     100000    0       0           100000      0        0
BOSTON PROPERTIES INC            COM        101121101     2498842    81430      81430    0       0            81430      0        0
BOSTON SCIENTIFIC CORP           COM        101137107   192422266  7774637    7774637    0       0          7755605      0    19032
BOWATER INC                      COM        102183100   178063935  3391694    3391694    0       0          3380094      0    11600
BP AMOCO P L C                   SPONSORED
                                 ADR        055622104   846445219  7638570    7638570    0       0          7624101      0    14469
BRIDGESTREET ACCOMODATIONS INC   COM        108452103       69313    23600      23600    0       0            23600      0        0
BRIGHT HORIZON FAMILY SOLUTION   COM        109195107     7775672   497643     497643    0       0           396943      0   100700
BRINKER INTL INC                 COM        109641100      216767     8010       8010    0       0             8010      0        0
BRISTOL MYERS SQUIBB CO          COM        110122108   622138590  9216868    9216868    0       0          9132043      0    84825
BROOKS AUTOMATION INC            COM        11434A100     2057300   117145     117145    0       0           117145      0        0
BUDGET GROUP INC                 CL A       119003101     2137667   302700     302700    0       0           302700      0        0
BUFFETS INC                      COM        119882108    54048915  4649369    4649369    0       0          4223578      0   425791
BUILDING ONE SVCS CORP           COM        120114103    12047459   988550     988550    0       0           988550      0        0
BURLINGTON NORTHN SANTA FE CP    COM        12189T104    24709822   898539     898539    0       0           898539      0        0
BURLINGTON RES INC               COM        122014103    11539500   314000     314000    0       0           314000      0        0
BURR BROWN CORP                  COM        122574106    76983722  1948955    1948955    0       0          1724405      0   224550
BUSINESS OBJECTS S A             SPONSORED
                                 ADR        12328X107      428340     7260       7260    0       0             7260      0        0
CABLE DESIGN TECHNOLOGIES CORP   COM        126924109    63349289  2777016    2777016    0       0          2379766      0   397250
                                            -          ----------
                                         PAGE TOTAL    3938444190
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         8
<CAPTION>
                                                                                         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>
CADENCE DESIGN SYSTEM INC        COM        127387108   314547352 23517559   23517559    0       0         22889599      0   627960
CAL DIVE INTL INC                COM        127914109      305510     8920       8920    0       0             8920      0        0
CALIBER LEARNING NETWORK INC     COM        129914107      472404   229100     229100    0       0           180645      0    48455
CALLAWAY GOLF CO                 COM        131193104      224972    18460      18460    0       0            18460      0        0
CALPINE CORP                     COM        131347106    48227602   566970     566970    0       0           566970      0        0
CAMBREX CORP                     COM        132011107    27451996  1038393    1038393    0       0          1029193      0     9200
CAMBRIDGE TECH PARTNERS MASS     COM        132524109    32508623  2241974    2241974    0       0          2241974      0        0
CAMDEN PPTY TR                   SH BEN
                                 INT        133131102     6530625   243000     243000    0       0           243000      0        0
CANADIAN NATL RY CO              COM        136375102   172692314  5697160    5697160    0       0          5542842      0   154318
CANADIAN NATL RY CO              PFD
                                 CV 063029  136375409     3065298    59305      59305    0       0            59305      0        0
CANDLEWOOD HOTEL COMPANY INC     COM        13741M108      345835   205000     205000    0       0           205000      0        0
CANON INC                        ADR        138006309      676072    22821      22821    0       0            22821      0        0
CAPITAL ONE FINL CORP            COM        14040H105     1451190    37210      37210    0       0            37210      0        0
CAPITAL SR LIVING CORP           COM        140475104     3985174   527000     527000    0       0           527000      0        0
CARDINAL HEALTH INC              COM        14149Y108   234026924  4294072    4294072    0       0          4279272      0    14800
CAREMATRIX CORP                  COM        141706101     1851759   357000     357000    0       0           357000      0        0
CAREY INTERNATIONAL INC          COM        141750109     1660000    66400      66400    0       0            66400      0        0
CARNIVAL CORP                    COM        143658102    99061680  2277280    2277280    0       0          2263550      0    13730
CAROLINA PWR & LT CO             COM        144141108    39109751  1105576    1105576    0       0          1105576      0        0
CARRAMERICA RLTY CORP            COM        144418100    14594445   665289     665289    0       0           665289      0        0
CARSON INC                       CL A       145845103      770356   267950     267950    0       0           267950      0        0
                                            -          ----------
                                         PAGE TOTAL    1003559881
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         9
<CAPTION>
                                                                                         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>
CASE CORP                        COM        14743R103      214192     4300       4300    0       0             4300      0        0
CASELLA WASTE SYS INC            CL A       147448104      437199    26200      26200    0       0            26200      0        0
CATALINA MARKETING CORP          COM        148867104    10914287   128688     128688    0       0            94788      0    33900
CBS CORP                         COM        12490K107   363872384  7867511    7867511    0       0          7854811      0    12700
CBT GROUP PUB LTD                SPON ADR
                                 NEW        124853300    63373324  2573536    2573536    0       0          2533936      0    39600
CEC ENTMT INC                    COM        125137109    58401164  1627907    1627907    0       0          1627907      0        0
CEMEX S A                        SPON ADR
                                 5 ORD      151290889     1428779    59224      59224    0       0            59224      0        0
CENDANT CORP                     COM        151313103   812314586 45764202   45764202    0       0         45764202      0        0
CENTENNIAL CELLULAR CORP         CL A NEW   15133V208      287707     6332       6332    0       0             6332      0        0
CENTOCOR INC                     COM        152342101     1988180    33950      33950    0       0            33950      0        0
CENTRAL PKG CORP                 COM        154785109     6686550   228600     228600    0       0           228600      0        0
CENTURYTEL INC                   COM        156700106    53966859  1328415    1328415    0       0          1328415      0        0
CERIDIAN CORP                    COM        15677T106   108565495  4364442    4364442    0       0          4225742      0   138700
CHAMPION INTL CORP               COM        158525105    32116362   625136     625136    0       0           625136      0        0
CHASE MANHATTAN CORP NEW         COM        16161A108    83591930  1109014    1109014    0       0          1102214      0     6800
CHECK POINT SOFTWARE TECH LTD    ORD        M22465104      272056     3222       3222    0       0             3222      0        0
CHECKFREE HLDGS CORP             COM        162816102    75261546  1830068    1830068    0       0          1514268      0   315800
CHEMDEX CORP                     COM        163595101     1735486    56325      56325    0       0            56325      0        0
CHEVRON CORPORATION              COM        166751107   129329074  1457229    1457229    0       0          1440522      0    16707
CHINA TELECOM HONG KONG LTD      SPONSORED
                                 ADR        169428109     2923708    47300      47300    0       0            47300      0        0
CHIRON CORP                      COM        170040109    15698114   566985     566985    0       0           566985      0        0
                                            -          ----------
                                         PAGE TOTAL    1823378980
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         10
<CAPTION>
                                                                                         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>
CHS ELECTRONICS INC              COM NEW    12542A206     1007984   701450     701450    0       0           701450      0        0
CHUBB CORP                       COM        171232101    39941029   804857     804857    0       0           804680      0      177
CIENA CORP                       COM        171779101    35665975   977150     977150    0       0           977150      0        0
CIGNA CORP                       COM        125509109   666662710  8574440    8574440    0       0          8474482      0    99958
CINCINNATI BELL INC              COM        171870108    70771478  3641070    3641070    0       0          3528570      0   112500
CINTAS CORP                      COM        172908105    51269243   886827     886827    0       0           886446      0      381
CIRCUIT CITY STORE INC           CIRCT
                                 CITY GRP   172737108    41193496   976450     976450    0       0           976450      0        0
CISCO SYS INC                    COM        17275R102  2777197191 40506362   40506362    0       0         40477138      0    29224
CIT GROUP INC                    CL A       125577106     5985249   291083     291083    0       0           291083      0        0
CITADEL COMMUNICATIONS CORP      COM        172853202     4528388   132700     132700    0       0           132700      0        0
CITATION CORP ALA                COM        172895104     7701000   453000     453000    0       0           453000      0        0
CITIGROUP INC                    COM        172967101   574545576 13057854   13057854    0       0         13002333      0    55521
CITRIX SYS INC                   COM        177376100   103911581  1677698    1677698    0       0          1633698      0    44000
CKE RESTAURANTS INC              COM        12561E105      688424    94955      94955    0       0            94955      0        0
CLARIFY INC                      COM        180492100    33640113   668630     668630    0       0           518830      0   149800
CLEAR CHANNEL COMMUNICATIONS     COM        184502102   582855862  7297100    7297100    0       0          7232544      0    64556
CLOROX CO DEL                    COM        189054109   211180009  5521046    5521046    0       0          5458838      0    62208
CMS ENERGY CORP                  COM        125896100   185443341  5464341    5464341    0       0          5399342      0    64999
CMS ENERGY CORP                  COM CL G   125896209     7010050   298300     298300    0       0           298300      0        0
CMS ENERGY CORP                  ADJ CV
                                 TR8.75%    125896308    33556604   917800     917800    0       0           917800      0        0
CNET INC                         COM        125945105    19017600   339600     339600    0       0           339600      0        0
                                            -          ----------
                                         PAGE TOTAL    5453772901
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         11
<CAPTION>
                                                                                         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>
COAST DENTAL SVCS INC            COM        19034H102      213200    65600      65600    0       0            65600      0        0
COASTAL CORP                     COM        190441105   290038031  7084985    7084985    0       0          7082131      0     2854
COCA COLA BOTTLING CO CONS       COM        191098102     1758491    31349      31349    0       0            31349      0        0
COCA COLA CO                     COM        191216100   220960103  4579484    4579484    0       0          4542812      0    36672
COCA-COLA FEMSA S A DE C V       SPON ADR
                                 REP L      191241108      766566    55500      55500    0       0            55500      0        0
COGNEX CORP                      COM        192422103     6218522   206000     206000    0       0           206000      0        0
COLDWATER CREEK INC              COM        193068103     3510000   175500     175500    0       0           175500      0        0
COLE NATIONAL CORP NEW           CL A       193290103      362058    47100      47100    0       0            47100      0        0
COLGATE PALMOLIVE CO             COM        194162103   236968347  5179636    5179636    0       0          5140170      0    39466
COLT TELECOM GROUP PLC           SPONSORED
                                 ADR        196877104    38621275   401260     401260    0       0           401260      0        0
COLUMBIA ENERGY GROUP            COM        197648108   172999529  3124145    3124145    0       0          3114813      0     9332
COMCAST CORP                     CL A SPL   200300200   282187081  7076792    7076792    0       0          7064192      0    12600
COMERICA INC                     COM        200340107    33899513   669620     669620    0       0           669350      0      270
COMMAND SYS INC                  COM        200903102       75075    42900      42900    0       0            42900      0        0
COMMNET CELLULAR INC             COM        202604203      389521    12440      12440    0       0            12440      0        0
COMMONWEALTH TEL ENTERPRISES     COM        203349105     1545852    35133      35133    0       0            35133      0        0
COMMSCOPE INC                    COM        203372107     1356388    41735      41735    0       0            41735      0        0
COMPANHIA BRASILEIRA DE DISTRB   ADR        20440T201      267462    13500      13500    0       0            13500      0        0
COMPANIA DE TELECOMUNICS CHILE   SPON ADR
                                 NEW        204449300      570217    31570      31570    0       0            31570      0        0
COMPAQ COMPUTER CORP             COM        204493100     4476638   195700     195700    0       0           195700      0        0
COMPLETE BUSINESS SOLUTIONS      COM        20452F107    24401868  1782850    1782850    0       0          1449950      0   332900
                                            -          ----------
                                         PAGE TOTAL    1321585736
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         12
<CAPTION>
                                                                                         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>
COMPUSA INC                      COM        204932107       90600    15100      15100    0       0            15100      0        0
COMPUTER ASSOC INTL INC          COM        204912109  1441236363 23578509   23578509    0       0         23371009      0   207500
COMPUTER HORIZONS CORP           COM        205908106     4146684   356704     356704    0       0           240604      0   116100
COMPUTER NETWORK TECHNOLOGY CP   COM        204925101     5690647   611109     611109    0       0           452709      0   158400
COMPUTER SCIENCES CORP           COM        205363104   248891191  3539811    3539811    0       0          3515331      0    24480
COMPUWARE CORP                   COM        205638109   919626025 35286088   35286088    0       0         35148988      0   137100
COMVERSE TECHNOLOGY INC          COM
                                 PAR $0.10  205862402    27553251   292150     292150    0       0           292150      0        0
CONCORD EFS INC                  COM        206197105    52141052  2528051    2528051    0       0          2528051      0        0
CONEXANT SYSTEMS INC             COM        207142100    33499865   461075     461075    0       0           461075      0        0
CONNECTICUT ENERGY CORP          COM        207567108      629592    16274      16274    0       0            16274      0        0
CONNING CORP                     COM        208215103     5939658   516492     516492    0       0           383992      0   132500
CONOCO INC                       CL A       208251306   114044647  4109717    4109717    0       0          3983117      0   126600
CONOCO INC                       CL B       208251405   376618352 13757748   13757748    0       0         13675838      0    81910
CONSECO INC                      COM        208464107     6137266   323014     323014    0       0           323014      0        0
CONSOL ENERGY INC                COM        20854P109     9732738   677060     677060    0       0           677060      0        0
CONSOLIDATED GRAPHICS INC        COM        209341106     6129188   145500     145500    0       0           145500      0        0
CONSOLIDATED NAT GAS CO          COM        209615103    14940559   239528     239528    0       0           239528      0        0
CONSOLIDATED STORES CORP         COM        210149100    28987262  1313900    1313900    0       0          1313900      0        0
CONVERGENT COMMUNICATIONS INC    COM NEW    211914403      576331    55550      55550    0       0            55550      0        0
COOPER CAMERON CORP              COM        216640102    57824091  1531764    1531764    0       0          1463264      0    68500
COOPER INDS INC                  COM        216669101    13282329   284114     284114    0       0           284114      0        0
                                            -          ----------
                                         PAGE TOTAL    3367717690
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         13
<CAPTION>
                                                                                         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>
COPART INC                       COM        217204106     2147136   116458     116458    0       0           116458      0        0
COPPER MTN NETWORKS INC          COM        217510106      368901     4210       4210    0       0             4210      0        0
CORNELL CORRECTIONS INC          COM        219141108     2289225   139800     139800    0       0           139800      0        0
CORNING INC                      COM        219350105   253305737  3694550    3694550    0       0          3694310      0      240
CORPORATE EXPRESS INC            COM        219888104    38288064  4070600    4070600    0       0          4070600      0        0
COST PLUS INC CALIF              COM        221485105      305550     6300       6300    0       0             6300      0        0
COTELLIGENT INC                  COM        221630106     2197754   617000     617000    0       0           617000      0        0
COVAD COMMUNICATIONS GROUP INC   COM        222814204     5558235   127500     127500    0       0           109700      0    17800
COX COMMUNICATIONS INC NEW       CL A       224044107    19057831   456475     456475    0       0           456475      0        0
COX RADIO INC                    CL A       224051102    60127606  1010548    1010548    0       0          1010548      0        0
CREDENCE SYS CORP                COM        225302108    25060758   558457     558457    0       0           437192      0   121265
CREDICORP LTD                    COM        G2519Y108      199493    19114      19114    0       0            19114      0        0
CSG SYS INTL INC                 COM        126349109    34993406  1276852    1276852    0       0          1011652      0   265200
CSK AUTO CORP                    COM        125965103    28214018  1293509    1293509    0       0          1084009      0   209500
CTG RES INC                      COM        125957100      680544    19238      19238    0       0            19238      0        0
CVS CORP                         COM        126650100   647503398 15865515   15865515    0       0         15717889      0   147626
CYBERONICS INC                   COM        23251P102     3813631   213350     213350    0       0           187050      0    26300
CYMER INC                        COM        232572107     5046959   145500     145500    0       0           145500      0        0
CYPRESS SEMICONDUCTOR CORP       COM        232806109    34213810  1591340    1591340    0       0          1558140      0    33200
CYPRUS AMAX MINERALS CO          COM        232809103      377683    19245      19245    0       0            19245      0        0
CYTOCLONAL PHARMACAUTICALS INC   COM        23282G105      816208   124384     124384    0       0           100284      0    24100
                                            -          ----------
                                         PAGE TOTAL    1164565947
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         14
<CAPTION>
                                                                                         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>
CYTYC CORP                       COM        232946103    86985282  2248437    2248437    0       0          1943437      0   305000
DANAHER CORP DEL                 COM        235851102   245763938  4664603    4664603    0       0          4643515      0    21088
DANKA BUSINESS SYS PLC           SPONSORED
                                 ADR        236277109    45577657  4474100    4474100    0       0          4474100      0        0
DARLING INTL INC                 COM        237266101       91713    66700      66700    0       0            66700      0        0
DAVE & BUSTERS INC               COM        23833N104     1426627   119513     119513    0       0           119513      0        0
DAYTON HUDSON CORP               COM        239753106   194758783  3242629    3242629    0       0          3233161      0     9468
DE BEERS CONS MINES LTD          ADR DEFD   240253302      221400     8200       8200    0       0             8200      0        0
DEERE & CO                       COM        244199105   158488956  4096698    4096698    0       0          3980678      0   116020
DEL MONTE FOODS CO               COM        24522P103    74832979  5297910    5297910    0       0          4291510      0  1006400
DELL COMPUTER CORP               COM        247025109    27110901   648400     648400    0       0           648400      0        0
DELPHI AUTOMOTIVE SYS CORP       COM        247126105    44140737  2748147    2748147    0       0          2497647      0   250500
DENDRITE INTL INC                COM        248239105    18780694   397475     397475    0       0           296545      0   100930
DEVON ENERGY CORP NEW            COM        25179M103    37448689   903750     903750    0       0           898850      0     4900
DIAL CORP NEW                    COM        25247D101    98693517  3870334    3870334    0       0          3793054      0    77280
DIAMOND OFFSHORE DRILLING INC    COM        25271C102    11083837   332100     332100    0       0           322800      0     9300
DIAMOND TECHNOLOGY PARTNERS      CL A       252762109    14553007   324301     324301    0       0           317901      0     6400
DIGEX INC DEL                    CL A       253756100     2106959    88950      88950    0       0            88950      0        0
DISNEY WALT CO                   COM        254687106   221939172  8536122    8536122    0       0          8327582      0   208540
DISPATCH MGMT SVCS CORP          COM        254927106      485100   215600     215600    0       0           215600      0        0
DISTRIBUCION Y SERVICIO D&S SA   SPONSORED
                                 ADR        254753106      611621    36380      36380    0       0            36380      0        0
DOCUMENTUM INC                   COM        256159104      733088    33900      33900    0       0            33900      0        0
                                            -          ----------
                                         PAGE TOTAL    1285834655
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         15
<CAPTION>
                                                                                         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>
DOLLAR THRIFTY AUTOMOTIVE GP     COM        256743105     4511835   218100     218100    0       0           218100      0        0
DOLLAR TREE STORES INC           COM        256747106     7008944   175500     175500    0       0           175500      0        0
DOW CHEM CO                      COM        260543103    18408954   162015     162015    0       0           162015      0        0
DQE INC                          COM        23329J104    31380050   802046     802046    0       0           802046      0        0
DRIL-QUIP INC                    COM        262037104     6228605   244259     244259    0       0           180659      0    63600
DRUGSTORE COM INC                COM        262241102      290906     8025       8025    0       0             8025      0        0
DSP COMMUNICATIONS INC           COM        23332K106    18069627   951033     951033    0       0           700033      0   251000
DST SYS INC DEL                  COM        233326107   203914904  3585317    3585317    0       0          3381679      0   203638
DU PONT E I DE NEMOURS & CO      COM        263534109    17730311   293063     293063    0       0           277303      0    15760
DUKE ENERGY CORP                 COM        264399106   175711599  3187512    3187512    0       0          3186712      0      800
DUPONT PHOTOMASKS INC            COM        26613X101    17068781   370561     370561    0       0           274761      0    95800
DYCOM INDS INC                   COM        267475101    21071521   499479     499479    0       0           417379      0    82100
DYNAMEX INC                      COM        26784F103      212139    97000      97000    0       0            97000      0        0
DYNEGY INC                       COM        26816L102     1034350    50000      50000    0       0            50000      0        0
E M C CORP MASS                  COM        268648102   383155989  5368210    5368210    0       0          5350310      0    17900
EASTERN ENTERPRISES              COM        27637F100    61965440  1334398    1334398    0       0          1334398      0        0
EASTMAN KODAK CO                 COM        277461109     3577214    47302      47302    0       0            47302      0        0
EATON CORP                       COM        278058102    14534941   168400     168400    0       0           168400      0        0
EBAY INC                         COM        278642103     5215062    36970      36970    0       0            36970      0        0
ECHOSTAR COMMUNICATIONS NEW      CL A       278762109      464413     5114       5114    0       0             5114      0        0
ECI TELECOM LTD                  ORD        268258100      478903    19399      19399    0       0            19399      0        0
                                            -          ----------
                                         PAGE TOTAL     992034486
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         16
<CAPTION>
                                                                                         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>
EDIFY CORP                       COM        280599101    28429080  2268700    2268700    0       0          1953100      0   315600
EDWARDS AG INC                   COM        281760108    75767436  2872699    2872699    0       0          2637999      0   234700
EFFICIENT NETWORKS INC           COM        282056100      292819     8050       8050    0       0             8050      0        0
EL PASO ELEC CO                  COM NEW    283677854     9054900  1006100    1006100    0       0          1006100      0        0
EL PASO ENERGY CAP TR I          PFD CV
                                 TR SECS    283678209    33653556   642550     642550    0       0           642550      0        0
EL PASO ENERGY CORP DEL          COM        283905107    51242557  1273107    1273107    0       0          1273107      0        0
ELAN PLC                         ADR        284131208    67330104  2006141    2006141    0       0          2006141      0        0
ELECTRO SCIENTIFIC INDS          COM        285229100      292939     5498       5498    0       0             5498      0        0
ELECTRONICS FOR IMAGING INC      COM        286082102      347145     6753       6753    0       0             6753      0        0
EMERSON ELEC CO                  COM        291011104   217665377  3444781    3444781    0       0          3443644      0     1137
EMMIS COMMUNICATIONS CORP        CL A       291525103     3607051    54601      54601    0       0            54601      0        0
EMPLOYEE SOLUTIONS INC           COM        292166105      473066   488200     488200    0       0           488200      0        0
EMPRESA NACIONAL DE ELCTRCIDAD   SPONSORED
                                 ADR        29244T101      392456    30482      30482    0       0            30482      0        0
ENERGEN CORP                     COM        29265N108     9011250   445000     445000    0       0           445000      0        0
ENERSIS S A                      SPONSORED
                                 ADR        29274F104      239019    11450      11450    0       0            11450      0        0
ENGAGE TECHNOLOGIES INC          COM        292827102      612414    16250      16250    0       0            16250      0        0
ENGELHARD CORP                   COM        292845104    35394780  1939440    1939440    0       0          1939440      0        0
ENRON CORP                       COM        293561106    16083985   391700     391700    0       0           391700      0        0
ENSCO INTL INC                   COM        26874Q100      419580    23230      23230    0       0            23230      0        0
ENTERCOM COMMUNICATIONS CORP     CL A       293639100     1504800    41800      41800    0       0            41800      0        0
ENTRUST TECHNOLOGIES INC         COM        293848107    10514921   468642     468642    0       0           391642      0    77000
                                            -          ----------
                                         PAGE TOTAL     562329234
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         17
<CAPTION>
                                                                                         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>
ENZON INC                        COM        293904108      523075    17150      17150    0       0            17150      0        0
EOG RES INC                      COM        26875P101    62411038  2936990    2936990    0       0          2929990      0     7000
EQUANT N V                       NY REG SHS 294409107     3202920    39360      39360    0       0            39360      0        0
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT 29476L107    19651576   463754     463754    0       0           463754      0        0
ERICSSON L M TEL CO              ADR CL B
                                 SEK10      294821400    25613469   819631     819631    0       0           819631      0        0
ETEC SYS INC                     COM        26922C103    56825602  1510315    1510315    0       0          1233115      0   277200
EXCHANGE APPLICATIONS            COM        300867108     8347130   287218     287218    0       0           287218      0        0
EXODUS COMMUNICATIONS INC        COM        302088109      843125    11700      11700    0       0            11700      0        0
EXTENDED STAY AMER INC           COM        30224P101     3633048   403672     403672    0       0           403672      0        0
EXXON CORP                       COM        302290101   302581612  3981337    3981337    0       0          3935759      0    45578
F Y I INC                        COM        302712104    13656710   405400     405400    0       0           405400      0        0
FALL RIVER GAS CO                COM        306279100      696804    33281      33281    0       0            33281      0        0
FEDERAL HOME LN MTG CORP         COM        313400301   187185284  3599717    3599717    0       0          3572724      0    26993
FEDERAL MOGUL CORP               COM        313549107   110459731  4007682    4007682    0       0          3938402      0    69280
FEDERAL NATL MTG ASSN            COM        313586109     2367186    37762      37762    0       0            37762      0        0
FEDERATED DEPT STORES INC DEL    COM        31410H101    11278673   258170     258170    0       0           198170      0    60000
FEDERATED INVS INC PA            CL B       314211103    17278945  1001678    1001678    0       0           788478      0   213200
FINANCIAL FED CORP               COM        317492106    16289213   868758     868758    0       0           781158      0    87600
FINOVA FIN TR                    TOPRS
                                 CV 9.16%   31808E207     3389734    67290      67290    0       0            67290      0        0
FINOVA GROUP INC                 COM        317928109    62362075  1708550    1708550    0       0          1708550      0        0
FIRST DATA CORP                  COM        319963104   563278701 12838261   12838261    0       0         12825354      0    12907
                                            -          ----------
                                         PAGE TOTAL    1471875651
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         18
<CAPTION>
                                                                                         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>
FIRST INDUSTRIAL REALTY TRUST    COM        32054K103     6097336   246357     246357    0       0           246357      0        0
FIRSTCOM CORP                    COM        33763T104      382000    38200      38200    0       0            38200      0        0
FIRSTENERGY CORP                 COM        337932107    62300527  2461304    2461304    0       0          2460264      0     1040
FISERV INC                       COM        337738108    55531970  1708676    1708676    0       0          1537301      0   171375
FLANDERS CORP                    COM        338494107      303498   117000     117000    0       0           117000      0        0
FLEET FINL GROUP INC NEW         COM        338915101      375809    10261      10261    0       0             9941      0      320
FLEXTRONICS INTL LTD             ORD        Y2573F102   117428756  2018127    2018127    0       0          2010427      0     7700
FLORIDA PROGRESS CORP            COM        341109106    15021445   324788     324788    0       0           324788      0        0
FOCAL COMMUNICATIONS CORP        COM        344155106     2590047   101075     101075    0       0           101075      0        0
FOMENTO ECONOMICO MEXICANO SA    SPON ADR
                                 UNITS      344419106     3422558   109305     109305    0       0           109305      0        0
FORD MTR CO DEL                  COM        345370100    74918579  1490917    1490917    0       0          1490518      0      399
FORTE SOFTWARE INC               COM        349546101     1916750    69700      69700    0       0            69700      0        0
FORTUNE BRANDS INC               COM        349631101    18372567   569692     569692    0       0           569692      0        0
FOUNDATION HEALTH SYS INC        COM        350404109    10385503  1100509    1100509    0       0          1100509      0        0
FOUR SEASONS HOTEL INC           LTD VTG SH 35100E104    14722823   402681     402681    0       0           335981      0    66700
FOX ENTMT GROUP INC              CL A       35138T107     1028205    48818      48818    0       0            48818      0        0
FPL GROUP INC                    COM        302571104     5037500   100000     100000    0       0           100000      0        0
FRANKLIN RES INC                 COM        354613101    46275941  1514166    1514166    0       0          1514166      0        0
FRIEDMANS INC                    CL A       358438109     1145560   130000     130000    0       0           130000      0        0
FRIENDLY ICE CREAM CORP NEW      COM        358497105     1752635   355000     355000    0       0           355000      0        0
FRONTIER INS GROUP INC NEW       COM        359081106      866250    99000      99000    0       0            99000      0        0
                                            -          ----------
                                         PAGE TOTAL     439876259
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         19
<CAPTION>
                                                                                         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>
GADZOOX NETWORKS INC             COM        362555104     1387281    25750      25750    0       0            25750      0        0
GALILEO INTERNATIONAL INC        COM        363547100   197979084  4918735    4918735    0       0          4597785      0   320950
GALILEO TECHNOLOGY LTD           ORD        M47298100      491250    19650      19650    0       0            19650      0        0
GALLAGHER ARTHUR J & CO          COM        363576109     7853683   147487     147487    0       0           147487      0        0
GAMETECH INTERNATIONAL INC       COM        36466D102     2224405   565000     565000    0       0           565000      0        0
GANNETT INC                      COM        364730101   175221682  2532581    2532581    0       0          2532008      0      573
GARTNER GROUP INC NEW            COM        366651107     7217088   451068     451068    0       0           327868      0   123200
GARTNER GROUP INC NEW            CL B       366651206      362108    21700      21700    0       0            14793      0     6907
GASONICS INTL CORP               COM        367278108     8304632   503311     503311    0       0           503311      0        0
GAYLORD CONTAINER CORP           CL A       368145108     3942263   553300     553300    0       0           553300      0        0
GEMSTAR INTL GROUP LTD           ORD        G3788V106   282865781  3620682    3620682    0       0          3092762      0   527920
GENENTECH INC                    COM NEW    368710406    49642930   339295     339295    0       0           339295      0        0
GENERAL DYNAMICS CORP            COM        369550108   252734299  4047829    4047829    0       0          4002774      0    45055
GENERAL ELEC CO                  COM        369604103   537619508  4534501    4534501    0       0          4490679      0    43822
GENERAL INSTR CORP DEL           COM        370120107   113801280  2370860    2370860    0       0          2370860      0        0
GENERAL MLS INC                  COM        370334104    35118769   432897     432897    0       0           432897      0        0
GENTEX CORP                      COM        371901109      223787    10834      10834    0       0            10834      0        0
GILLETTE CO                      COM        375766102   101592615  2993565    2993565    0       0          2988342      0     5223
GLENAYRE TECHNOLOGIES INC        COM        377899109     4110000  1370000    1370000    0       0          1370000      0        0
GLOBAL CROSSING LTD              COM        G3921A100    55368040  2089360    2089360    0       0          2089360      0        0
GLOBAL INDS LTD                  COM        379336100    48426641  5960202    5960202    0       0          4688502      0  1271700
                                            -          ----------
                                         PAGE TOTAL    1886487125
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         20
<CAPTION>
                                                                                         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>
GLOBAL MARINE INC                COM        379352404     5291070   321900     321900    0       0           321900      0        0
GLOBAL TELESYSTEMS GROUP         COM        37936U104    67077235  3401655    3401655    0       0          3389255      0    12400
GLOBESPAN INC                    COM        379571102      299844     4750       4750    0       0             4750      0        0
GOLDMAN SACHS GROUP INC          COM        38141G104     8148990   133590     133590    0       0           133590      0        0
GPU INC                          COM        36225X100    75436373  2312226    2312226    0       0          2284606      0    27620
GRAINGER W W INC                 COM        384802104    30124781   626790     626790    0       0           626790      0        0
GREAT ATLANTIC & PAC TEA INC     COM        390064103     4477992   147730     147730    0       0           121230      0    26500
GRUPO TELEVISA SA DE CV          SP ADR
                                 REP ORD    40049J206     1504626    37675      37675    0       0            37675      0        0
GTE CORP                         COM        362320103   398726333  5186684    5186684    0       0          5130584      0    56100
GTECH HLDGS CORP                 COM        400518106      867127    40450      40450    0       0            40450      0        0
GUANGSHEN RY LTD                 SPONSORED
                                 ADR        40065W107      875625   140100     140100    0       0           140100      0        0
GUCCI GROUP N V                  COM NY REG 401566104    32815500   393000     393000    0       0           393000      0        0
GUIDANT CORP                     COM        401698105   627170008 11695478   11695478    0       0         11669208      0    26270
GULF CDA RES LTD                 ORD        40218L305      445916   106500     106500    0       0           106500      0        0
GULF INDONESIA RES LTD           COM        402284103     2346458   233200     233200    0       0           233200      0        0
GYMBOREE CORP                    COM        403777105    16095234  2341125    2341125    0       0          1906030      0   435095
HAEMONETICS CORP                 COM        405024100    16821282   854436     854436    0       0           687336      0   167100
HAGLER BAILLY INC                COM        405183104      495000    72000      72000    0       0            72000      0        0
HALL KINION ASSOCIATES INC       COM        406069104      183300    15600      15600    0       0            15600      0        0
HALLIBURTON CO                   COM        406216101    90632550  2210550    2210550    0       0          2210550      0        0
HAMBRECHT & QUIST GROUP INC      COM        406545103     1630200    33440      33440    0       0            33440      0        0
                                            -          ----------
                                         PAGE TOTAL    1381465443
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         21
<CAPTION>
                                                                                         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>
HAMMONS JOHN Q HOTELS INC        CL A       408623106      672000   168000     168000    0       0           168000      0        0
HARBINGER CORP                   COM        41145C103    55201854  3271221    3271221    0       0          2684521      0   586700
HARLEY DAVIDSON INC              COM        412822108     4660772    93100      93100    0       0            93100      0        0
HARMONIC INC                     COM        413160102      786703     6014       6014    0       0             6014      0        0
HARRAHS ENTMT INC                COM        413619107   178670873  6438590    6438590    0       0          6438590      0        0
HARTFORD FINL SVCS GROUP INC     COM        416515104   461305399 11285759   11285759    0       0         11096542      0   189217
HARTFORD LIFE INC                CL A       416592103    12776928   259430     259430    0       0           259430      0        0
HCIA INC                         COM        403908106    12855092  1239045    1239045    0       0          1057045      0   182000
HEALTH MGMT ASSOC INC NEW        CL A       421933102    68941326  8895655    8895655    0       0          8159655      0   736000
HEALTHSOUTH CORP                 COM        421924101    27231487  4445957    4445957    0       0          4444427      0     1530
HEARST-ARGYLE TELEVISION INC     COM        422317107    56461214  2626103    2626103    0       0          2421103      0   205000
HELIX TECHNOLOGY CORP            COM        423319102     5835375   175500     175500    0       0           175500      0        0
HELLER FINANCIAL INC             CL A       423328103     4670798   207591     207591    0       0           207591      0        0
HERSHEY FOODS CORP               COM        427866108    36671973   753219     753219    0       0           742199      0    11020
HEWLETT PACKARD CO               COM        428236103   282879185  3117126    3117126    0       0          3110802      0     6324
HIGHWOODS PPTYS INC              COM        431284108     2888814   111645     111645    0       0           111645      0        0
HILTON HOTELS CORP               COM        432848109     7595356   769150     769150    0       0           769150      0        0
HISPANIC BROADCASTING CORP       CL A       43357B104    10483935   137720     137720    0       0           137720      0        0
HITACHI LIMITED                  ADR 10 COM 433578507      828259     7590       7590    0       0             7590      0        0
HOLOGIC INC                      COM        436440101     3001938   744713     744713    0       0           500213      0   244500
HOME DEPOT INC                   COM        437076102   204796215  2984280    2984280    0       0          2983470      0      810
                                            -          ----------
                                         PAGE TOTAL    1439215496
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         22
<CAPTION>
                                                                                         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>
HONEYWELL INC                    COM        438506107   190320033  1709789    1709789    0       0          1701089      0     8700
HOUSEHOLD INTL INC               COM        441815107     7043944   175550     175550    0       0           175550      0        0
HOUSTON EXPL CO                  COM        442120101    10780478   497094     497094    0       0           429494      0    67600
HUBBELL INC                      CL B       443510201      962625    30200      30200    0       0            30200      0        0
HUMAN GENOME SCIENCES INC        COM        444903108     9893563   134150     134150    0       0           134150      0        0
HYPERCOM CORP                    COM        44913M105     2369600   296200     296200    0       0           296200      0        0
HYPERION SOLUTIONS CORP          COM        44914M104    26186776  1190308    1190308    0       0           869708      0   320600
HYPERION TELECOMMUNICATIONS      CL A       44914K306    23975587   966290     966290    0       0           818090      0   148200
ICT GROUP INC                    COM        44929Y101     1613125   222500     222500    0       0           222500      0        0
IDEXX LABS INC                   COM        45168D104    83384661  4842596    4842596    0       0          3738296      0  1104300
IDX SYS CORP                     COM        449491109    18292910  1009264    1009264    0       0           748224      0   261040
IHOP CORP                        COM        449623107    13879552   685410     685410    0       0           685410      0        0
IKON OFFICE SOLUTIONS INC        COM        451713101    28941465  2708100    2708100    0       0          2708100      0        0
ILLINOIS TOOL WKS INC            COM        452308109    25533086   342441     342441    0       0           342080      0      361
ILLINOVA CORP                    COM        452317100    17816564   634900     634900    0       0           634900      0        0
IMCLONE SYS INC                  COM        45245W109      374063    11250      11250    0       0            11250      0        0
IMPATH INC                       COM        45255G101    13879781   476559     476559    0       0           363659      0   112900
IMRGLOBAL CORPORATION            COM        45321W106    30790568  3732190    3732190    0       0          3102890      0   629300
INDEPENDENT ENERGY HLDGS PLC     SPONSORED
                                 ADR        45384X108     5084555   265000     265000    0       0           265000      0        0
INFINITY BROADCASTING CP NEW     CL A       45662S102   454763662 15514590   15514590    0       0         15491790      0    22800
INFOSYS TECHNOLOGIES LTD         SPONSORED
                                 ADR        456788108     2256540    15780      15780    0       0            15780      0        0
                                            -          ----------
                                         PAGE TOTAL     968143136
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         23
<CAPTION>
                                                                                         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>
INFOUSA INC NEW                  CL B       456818103     3363284   489205     489205    0       0           352705      0   136500
INFOUSA INC NEW                  CL A       456818202     6434964   953328     953328    0       0           689028      0   264300
ING GROEP N V                    SPONSORED
                                 ADR        456837103     1655257    30233      30233    0       0            30233      0        0
INGLES MKTS INC                  CL A       457030104     1164412    88300      88300    0       0            88300      0        0
INGRAM MICRO INC                 CL A       457153104      745463    57900      57900    0       0            57900      0        0
INNOVATIVE CLINICAL SOLUTN LTD   COM        45767E107       73650    98200      98200    0       0            98200      0        0
INPUT/OUTPUT INC                 COM        457652105    10583550  1597517    1597517    0       0          1273517      0   324000
INSIGHT COMMUNICATIONS INC       CL A       45768V108    18182600   635200     635200    0       0           635200      0        0
INSIGHT ENTERPRISES INC          COM        45765U103    17464915   537382     537382    0       0           537382      0        0
INSPIRE INS SOLUTIONS INC        COM        457732105     2232106   324670     324670    0       0           312370      0    12300
INTEGRATED DEVICE TECHNOLOGY     COM        458118106    24794070  1340220    1340220    0       0          1340220      0        0
INTEL CORP                       COM        458140100   787423031 10596176   10596176    0       0         10594270      0     1906
INTELLIQUEST INFORMATION GROUP   COM        45816H101      585075    53800      53800    0       0            53800      0        0
INTERIM SVCS INC                 COM        45868P100    36248994  2213679    2213679    0       0          1917451      0   296228
INTERLIANT INC                   COM        458742103     2223624   186280     186280    0       0           167980      0    18300
INTERMEDIA COMMUNICATIONS INC    COM        458801107   110502289  5080565    5080565    0       0          4328055      0   752510
INTERNATIONAL BUSINESS MACHS     COM        459200101   263778548  2179988    2179988    0       0          2145682      0    34306
INTERNATIONAL FLAVORS&FRAGRANC   COM        459506101    15379306   445777     445777    0       0           445777      0        0
INTERNATIONAL NETWORK SVCS       COM        460053101     8222044   151210     151210    0       0           151210      0        0
INTERNATIONAL SPEEDWAY CORP      CL A       460335201      632479    12033      12033    0       0            12033      0        0
INTERNATIONAL TELECOMMUN DATA    COM        46047F104    12094245  1433477    1433477    0       0          1102877      0   330600
                                            -          ----------
                                         PAGE TOTAL    1323783906
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         24
<CAPTION>
                                                                                         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>
INTERNET COMM CORP               CL A       46059F109     1128171    85145      85145    0       0            85145      0        0
INTERPUBLIC GROUP COS INC        COM        460690100    23959836   582610     582610    0       0           582610      0        0
INTERSTATE BAKERIES CORP DEL     COM        46072H108    28830155  1253485    1253485    0       0          1252555      0      930
INTIMATE BRANDS INC              CL A       461156101      613258    15750      15750    0       0            15750      0        0
INTL PAPER CO                    COM        460146103    52728916  1097102    1097102    0       0          1096832      0      270
INTUIT                           COM        461202103    27643547   315364     315364    0       0           293764      0    21600
ITC DELTACOM INC                 COM        45031T104      358325    13030      13030    0       0            13030      0        0
ITEQ INC                         COM        450430103      618600   300000     300000    0       0           300000      0        0
IVEX PACKAGING CORP DEL          COM        465855104    10796990  1079699    1079699    0       0           859299      0   220400
IXC COMMUNICATIONS INC           COM        450713102    28702249   727800     727800    0       0           727800      0        0
J D EDWARDS & CO                 COM        281667105     3640328   175700     175700    0       0           175700      0        0
JABIL CIRCUIT INC                COM        466313103      278685     5630       5630    0       0             5630      0        0
JDA SOFTWARE GROUP INC           COM        46612K108     7899500   675922     675922    0       0           455222      0   220700
JDS UNIPHASE CORP                COM        46612J101   104454377   917780     917780    0       0           917780      0        0
JEFFERSON PILOT CORP             COM        475070108    43242403   684356     684356    0       0           684356      0        0
JEFFERSON SMURFIT GROUP PLC      SPONSORED
                                 ADR        47508W107     7562467   257999     257999    0       0           257999      0        0
JOHNSON & JOHNSON                COM        478160104   128103518  1394324    1394324    0       0          1358514      0    35810
JPM CO                           COM        465933109      993750   150000     150000    0       0           150000      0        0
KANSAS CITY SOUTHN INDS INC      COM        485170104    59101500  1271000    1271000    0       0          1271000      0        0
KEANE INC                        COM        486665102     9445080   414040     414040    0       0           414040      0        0
KEEBLER FOODS CO                 COM        487256109    66365012  2221423    2221423    0       0          1965723      0   255700
                                            -          ----------
                                         PAGE TOTAL     606466667
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         25
<CAPTION>
                                                                                         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>
KERR MCGEE CORP                  COM        492386107    15184998   275780     275780    0       0           275780      0        0
KEYSPAN CORP                     COM        49337W100     5993159   209368     209368    0       0           209368      0        0
KILROY RLTY CORP                 COM        49427F108    15072540   713493     713493    0       0           630393      0    83100
KIMBERLY CLARK CORP              COM        494368103    18420827   349210     349210    0       0           349210      0        0
KING PHARMACEUTICALS INC         COM        495582108      653625    18675      18675    0       0            18675      0        0
KLA-TENCORP CORP                 COM        482480100    10767315   165651     165651    0       0           158851      0     6800
KN ENERGY INC                    COM        482620101     4868829   217000     217000    0       0           217000      0        0
KNIGHT RIDDER INC                COM        499040103    16126000   293200     293200    0       0           293200      0        0
KNIGHT/TRIMARK GROUP INC         CL A       499067106     2515400    84908      84908    0       0            73008      0    11900
KONINKLIJKE AHOLD N V            SPON ADR
                                 NEW        500467303     3317866   100162     100162    0       0           100162      0        0
KONINKLIJKE PHILIPS ELECTRS NV   SPON ADR
                                 NEW        500472204    18750448   185648     185648    0       0           185648      0        0
KOREA ELECTRIC PWR               SPONSORED
                                 ADR        500631106      418287    26042      26042    0       0            26042      0        0
KOREA TELECOM                    SPONSORED
                                 ADR        50063P103     5905792   159616     159616    0       0           159616      0        0
KROGER CO                        COM        501044101   688087504 31188809   31188809    0       0         30766576      0   422233
KULICKE & SOFFA INDS INC         COM        501242101    28396538  1168005    1168005    0       0           972305      0   195700
LABOR READY INC                  COM NEW    505401208      415058    41250      41250    0       0            41250      0        0
LADISH INC                       COM NEW    505754200      207350    31900      31900    0       0            31900      0        0
LAIDLAW INC                      COM        50730K503     2835000   420000     420000    0       0           420000      0        0
LAM RESH CORP                    COM        512807108    12651400   207400     207400    0       0           207400      0        0
LAMAR ADVERTISING CO             CL A       512815101    11736697   237105     237105    0       0           237105      0        0
LANDRYS SEAFOOD RESTAURANTS      COM        51508L103     6580368   822546     822546    0       0           604206      0   218340
                                            -          ----------
                                         PAGE TOTAL     868905001
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         26
<CAPTION>
                                                                                         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>
LANDS END INC                    COM        515086106      747120    11320      11320    0       0            11320      0        0
LASERSIGHT INC                   COM        517924106     2970754   218037     218037    0       0           185737      0    32300
LATTICE SEMICONDUCTOR CORP       COM        518415104    42124547  1418956    1418956    0       0          1197656      0   221300
LEAR CORP                        COM        521865105     1774832    50440      50440    0       0            50440      0        0
LEARNING TREE INTL INC           COM        522015106    44692706  2698509    2698509    0       0          2181609      0   516900
LEGATO SYS INC                   COM        524651106      937271    21500      21500    0       0            21500      0        0
LEVEL 3 COMMUNICATIONS INC       COM        52729N100    17524696   335600     335600    0       0           335600      0        0
LIBERATE TECHNOLOGIES            COM        530129105    30843756   732196     732196    0       0           631296      0   100900
LIBERTY FINL COS INC             COM        530512102     1855870    84600      84600    0       0            84600      0        0
LIFEPOINT HOSPITALS INC          COM        53219L109     9284839  1068820    1068820    0       0           831620      0   237200
LINCARE HLDGS INC                COM        532791100    19380698   727067     727067    0       0           576067      0   151000
LINCOLN NATL CORP IND            COM        534187109   379745998 10109845   10109845    0       0         10059359      0    50486
LINEAR TECHNOLOGY CORP           COM        535678106    43161713   734280     734280    0       0           734280      0        0
LINENS N THINGS INC              COM        535679104     4543088   134610     134610    0       0           134610      0        0
LIPOSOME CO INC                  COM        536310105      126119    16575      16575    0       0            16575      0        0
LO-JACK CORP                     COM        539451104     7070276   853795     853795    0       0           802295      0    51500
LOCKHEED MARTIN CORP             COM        539830109    23654569   723669     723669    0       0           723329      0      340
LONE STAR STEAKHOUSE SALOON      COM        542307103     1425939   185500     185500    0       0           185500      0        0
LOWES COS INC                    COM        548661107    95344031  1955775    1955775    0       0          1955775      0        0
LSI LOGIC CORP                   COM        502161102   508687400  9782450    9782450    0       0          9743250      0    39200
LTX CORP                         COM        502392103     4893759   357548     357548    0       0           342548      0    15000
                                            -          ----------
                                         PAGE TOTAL    1240789982
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         27
<CAPTION>
                                                                                         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>
LUCENT TECHNOLOGIES INC          COM        549463107   223730650  3448642    3448642    0       0          3448222      0      420
LUMINANT WORLDWIDE CORP          COM        550260103    18978962   617202     617202    0       0           472952      0   144250
MACK CALI RLTY CORP              COM        554489104     6879959   256600     256600    0       0           256600      0        0
MACROMEDIA INC                   COM        556100105     5599875   137000     137000    0       0           135800      0     1200
MAGYAR TAVKOZLESI RT             SPONSORED
                                 ADR        559776109    18290472   671210     671210    0       0           671210      0        0
MAIL-WELL INC                    COM        560321200    24558750  1770000    1770000    0       0          1770000      0        0
MANUGISTICS GROUP INC            COM        565011103     1791300   170600     170600    0       0           170600      0        0
MARRIOTT INTL INC NEW            CL A       571903202     3020933    92420      92420    0       0            92420      0        0
MARSH & MCLENNAN COS INC         COM        571748102    64234025   937723     937723    0       0           922143      0    15580
MARSH SUPERMARKETS INC           CL B       571783208      528413    42700      42700    0       0            42700      0        0
MARTEK BIOSCIENCES CORP          COM        572901106     1362750   237000     237000    0       0           237000      0        0
MARTIN MARIETTA MATLS INC        COM        573284106     5860156   146735     146735    0       0           115311      0    31424
MATRIA HEALTHCARE INC            COM        576817100     2734813   465500     465500    0       0           465500      0        0
MATTEL INC                       COM        577081102    17217800   906200     906200    0       0           687300      0   218900
MAVESA S A                       SPONSORED
                                 ADR        577717101      374700   124900     124900    0       0           124900      0        0
MAXIM INTEGRATED PRODS INC       COM        57772K101    24218316   383845     383845    0       0           383845      0        0
MAXTOR CORP                      COM NEW    577729205       99714    15122      15122    0       0            15122      0        0
MAXXAM INC                       COM        577913106     1181625    23000      23000    0       0            23000      0        0
MBIA INC                         COM        55262C100    47455858  1017820    1017820    0       0           997750      0    20070
MCCORMICK & CO INC               COM NON
                                 VTG        579780206    12479715   377464     377464    0       0           377464      0        0
MCDONALDS CORP                   COM        580135101   726456324 16796678   16796678    0       0         16757310      0    39368
                                            -          ----------
                                         PAGE TOTAL    1207055108
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         28
<CAPTION>
                                                                                         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>
MCI WORLDCOM INC                 COM        55268B106  1640210931 22820326   22820326    0       0         22794416      0    25910
MCKESSON HBOC INC                COM        58155Q103    37900013  1306897    1306897    0       0          1306597      0      300
MCN ENERGY GROUP INC             COM        55267J100    26546662  1544578    1544578    0       0          1544578      0        0
MECON INC                        COM        58400M105     2671769   419101     419101    0       0           296401      0   122700
MEDIAONE GROUP INC               COM        58440J104   129218569  1891594    1891594    0       0          1833294      0    58300
MEDIAONE GROUP INC               PFD CV
                                 SER D      58440J203     2305800    17080      17080    0       0            17080      0        0
MEDIMMUNE INC                    COM        584699102    53291046   534750     534750    0       0           534750      0        0
MEDSCAPE INC                     COM        585046105      607500    60000      60000    0       0            60000      0        0
MEDTRONIC INC                    COM        585055106   358846256 10090722   10090722    0       0         10065370      0    25352
MELLON BK CORP                   COM        585509102    78276545  2327927    2327927    0       0          2327927      0        0
MERANT PLC                       SPONSORED
                                 ADR        587336108      460412    19750      19750    0       0            19750      0        0
MERCK & CO INC                   COM        589331107    87666980  1352635    1352635    0       0          1351962      0      673
MEREDITH CORP                    COM        589433101    22890649   630388     630388    0       0           612688      0    17700
MERISTAR HOSPITALITY CORP        COM        58984Y103    15812788  1028474    1028474    0       0           879574      0   148900
MERISTAR HOTELS & RESORTS INC    COM        589988104     2743158   934000     934000    0       0           934000      0        0
MERRILL LYNCH & CO INC           COM        590188108    11659244   173050     173050    0       0           173050      0        0
META GROUP INC                   COM        591002100    15661517   882339     882339    0       0           656589      0   225750
METAMOR WORLDWIDE INC            COM        59133P100    22096975  1244900    1244900    0       0          1244900      0        0
METROMEDIA FIBER NETWORK INC     CL A       591689104    25996509  1061082    1061082    0       0          1061082      0        0
MGM GRAND INC                    COM        552953101     2768419    54150      54150    0       0            54150      0        0
MICREL INC                       COM        594793101     3826109    88210      88210    0       0            88210      0        0
                                            -          ----------
                                         PAGE TOTAL    2541457851
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         29
<CAPTION>
                                                                                         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>
MICRO LINEAR CORP                COM        594850109      891000   198000     198000    0       0           198000      0        0
MICRO WHSE INC                   COM        59501B105    44547632  3693221    3693221    0       0          3536090      0   157131
MICROCHIP TECHNOLOGY INC         COM        595017104    13862413   269828     269828    0       0           214428      0    55400
MICRON TECHNOLOGY INC            COM        595112103    96155342  1445945    1445945    0       0          1445945      0        0
MICROSOFT CORP                   COM        594918104  3121402537 34467023   34467023    0       0         34394290      0    72733
MID ATLANTIC MED SVCS INC        COM        59523C107    35506227  3972947    3972947    0       0          3597047      0   375900
MID-AMER APT CMNTYS INC          COM        59522J103     4211850   195900     195900    0       0           195900      0        0
MIDAMERICAN ENERGY HLDGS NEW     COM        59562V107    82704165  2803531    2803531    0       0          2787831      0    15700
MILLENNIUM PHARMACEUTICALS INC   COM        599902103     2188225    33665      33665    0       0            33665      0        0
MILLIPORE CORP                   COM        601073109      263873     7025       7025    0       0             7025      0        0
MIRAGE RESORTS INC               COM        60462E104     6317080   451220     451220    0       0           451220      0        0
MKS INSTRUMENT INC               COM        55306N104    29138845  1309611    1309611    0       0          1127811      0   181800
MOBIL CORP                       COM        607059102   436687375  4334366    4334366    0       0          4303169      0    31197
MODIS PROFESSIONAL SVCS INC      COM        607830106   126857713  9574167    9574167    0       0          9254071      0   320096
MOOG INC                         CL A       615394202     1147781    39750      39750    0       0            39750      0        0
MORGAN STANLEY DEAN WITTER&CO    COM NEW    617446448   182371361  2044820    2044820    0       0          2040220      0     4600
MORTONS RESTAURANT GROUP INC     COM        619429103     7534098   429000     429000    0       0           429000      0        0
MOTHERS WK INC                   COM        619903107     1543500   196000     196000    0       0           196000      0        0
MOTOROLA INC                     COM        620076109   770152592  8751734    8751734    0       0          8687012      0    64722
MOVIE GALLERY INC                COM        624581104     1869478   338000     338000    0       0           338000      0        0
MSC INDL DIRECT INC              CL A       553530106     2714400   301600     301600    0       0           301600      0        0
                                            -          ----------
                                         PAGE TOTAL    4968067487
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         30
<CAPTION>
                                                                                         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>
MUSICLAND STORES CORP            COM        62758B109      443750    50000      50000    0       0            50000      0        0
NABISCO HLDGS CORP               CL A       629526104   125518504  3631691    3631691    0       0          3615420      0    16271
NABORS INDS INC                  COM        629568106     5862500   234500     234500    0       0           234500      0        0
NATIONAL CITY CORP               COM        635405103    33580919  1258325    1258325    0       0          1257763      0      562
NATIONAL DATA CORP               COM        635621105     2269098    87273      87273    0       0            87273      0        0
NATIONAL EQUIP SVCS INC          COM        635847106     2195299   215500     215500    0       0           215500      0        0
NATIONAL FUEL GAS CO N J         COM        636180101    63751949  1351049    1351049    0       0          1351049      0        0
NATIONAL PROCESSING INC          COM        637229105     9258669  1028741    1028741    0       0           775841      0   252900
NATIONAL SEMICONDUCTOR CORP      COM        637640103   159755215  5227250    5227250    0       0          5227250      0        0
NATIONAL-OILWELL INC             COM        637071101     9289190   565139     565139    0       0           419239      0   145900
NATIONWIDE FINL SVCS INC         CL A       638612101    56642981  1601215    1601215    0       0          1591515      0     9700
NATURAL MICROSYSTEMS CORP        COM        638882100     5140133   370460     370460    0       0           250460      0   120000
NAVIGANT INTL INC                COM        63935R108     1134625   156500     156500    0       0           156500      0        0
NCO GROUP INC                    COM        628858102     5556857   118231     118231    0       0           118231      0        0
NCS HEALTHCARE INC               CL A       628874109       95025    36200      36200    0       0            36200      0        0
NETIA HLDGS S A                  SPONSORED
                                 ADR        64114B104    10578750   604500     604500    0       0           604500      0        0
NETIQ CORP                       COM        64115P102      896897    30275      30275    0       0            30275      0        0
NETOPIA INC                      COM        64114K104    13774938   345453     345453    0       0           256153      0    89300
NETWORK APPLIANCE INC            COM        64120L104     7175393   100180     100180    0       0           100180      0        0
NETWORK SOLUTIONS INC DEL        COM        64121Q102   248542731  2705227    2705227    0       0          2468527      0   236700
NETWORKS ASSOCS INC              COM        640938106     9221310   482160     482160    0       0           482160      0        0
                                            -          ----------
                                         PAGE TOTAL     770684731
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         31
<CAPTION>
                                                                                         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>
NEW ERA OF NETWORKS INC          COM        644312100     2030588    93900      93900    0       0            93900      0        0
NEW HOLLAND N V                  ORD        N62648105      284960    17810      17810    0       0            17810      0        0
NEW YORK TIMES CO                CL A       650111107   119593200  3189152    3189152    0       0          3188184      0      968
NEWCOR INC                       COM        651186108      226686   129535     129535    0       0           129535      0        0
NEWCOURT CR GROUP INC            COM        650905102      261240    20000      20000    0       0            20000      0        0
NEWELL RUBBERMAID INC            COM        651229106   149029547  5217756    5217756    0       0          5213606      0     4150
NEWFIELD EXPL CO                 COM        651290108    84131374  2554312    2554312    0       0          2167512      0   386800
NEWFIELD FINL TR I               QUIPS
                                 SER A      651291205      818590    15020      15020    0       0            15020      0        0
NEWS CORP LTD                    SP ADR PFD 652487802     2407621    90217      90217    0       0            90217      0        0
NEXTEL COMMUNICATIONS INC        CL A       65332V103   314951478  4644480    4644480    0       0          4644480      0        0
NEXTERA ENTERPRISES INC          CL A       65332E101     2352861   660545     660545    0       0           660545      0        0
NEXTLINK COMMUNICATIONS INC      CL A       65333H707    29765870   574143     574143    0       0           488143      0    86000
NICOR INC                        COM        654086107    23801019   640036     640036    0       0           640036      0        0
NIPPON TELEG & TEL CORP          SPONSORED
                                 ADR        654624105    14135268   229145     229145    0       0           229145      0        0
NISOURCE INC                     COM        65473P105    70003544  3164002    3164002    0       0          3107772      0    56230
NL INDS INC                      COM NEW    629156407      725938    57500      57500    0       0            57500      0        0
NOBLE DRILLING CORP              COM        655042109   109240447  4993849    4993849    0       0          4585149      0   408700
NOKIA CORP                       SPONSORED
                                 ADR        654902204   246384044  2741408    2741408    0       0          2741408      0        0
NORFOLK SOUTHERN CORP            COM        655844108     4371364   178423     178423    0       0           178423      0        0
NORTEK INC                       COM        656559101      627900    18400      18400    0       0            18400      0        0
NORTEL NETWORKS CORP             COM        656569100   388582311  7619261    7619261    0       0          7606520      0    12741
                                            -          ----------
                                         PAGE TOTAL    1563725848
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         32
<CAPTION>
                                                                                         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>
NORTHERN TR CORP                 COM        665859104   125099282  1498195    1498195    0       0          1497586      0      609
NOVA CORP GA                     COM        669784100   111549275  4461971    4461971    0       0          3656999      0   804972
NOVELLUS SYS INC                 COM        670008101   118947876  1763837    1763837    0       0          1714137      0    49700
NSTAR                            COM        67019E107    31244900   806320     806320    0       0           778220      0    28100
NTL INC                          COM        629407107    18262665   190050     190050    0       0           190050      0        0
NUCOR CORP                       COM        670346105     4167188    87500      87500    0       0            87500      0        0
OCEANEERING INTL INC             COM        675232102     1967004   117000     117000    0       0           117000      0        0
OFFICE DEPOT INC                 COM        676220106   351544295 33480409   33480409    0       0         33126584      0   353825
OFFICEMAX INC                    COM        67622M108     5190116   893000     893000    0       0           893000      0        0
OMNICOM GROUP INC                COM        681919106     2311469    29190      29190    0       0            29190      0        0
OMNIPOINT CORP                   COM        68212D102    41258100   738400     738400    0       0           738400      0        0
ONEOK INC NEW                    COM        682680103     3707158   122300     122300    0       0           122300      0        0
ONLINE RES & COMMUNICATIONS      COM        68273G101     1184620    85378      85378    0       0            72878      0    12500
OPTICAL COATING LAB INC          COM        683829105      522912     5680       5680    0       0             5680      0        0
ORACLE CORP                      COM        68389X105  2612204959 57411098   57411098    0       0         57368652      0    42446
ORTHODONTIC CTRS AMER INC        COM        68750P103    62177709  3565849    3565849    0       0          3337449      0   228400
OSTEOTECH INC                    COM        688582105    12677218   930438     930438    0       0           689738      0   240700
OUTDOOR SYS INC                  COM        690057104    76838977  2149342    2149342    0       0          2149342      0        0
OUTSOURCE INTL INC               COM        690131107       55000    55000      55000    0       0            55000      0        0
OWENS ILL INC                    COM NEW    690768403    72359189  3652291    3652291    0       0          3626691      0    25600
OWENS ILL INC                    PFD
                                 CONV $.01  690768502    14574863   445034     445034    0       0           445034      0        0
                                            -          ----------
                                         PAGE TOTAL    3667844773
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         33
<CAPTION>
                                                                                         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>
OXFORD HEALTH PLANS INC          COM        691471106     6113750   489100     489100    0       0           489100      0        0
PACIFICARE HEALTH SYS DEL        COM        695112102    43589340  1007846    1007846    0       0          1007846      0        0
PACKETEER INC                    COM        695210104      593701    17430      17430    0       0            17430      0        0
PANAMERICAN BEVERAGES INC        CL A       P74823108     5988322   361570     361570    0       0           361570      0        0
PAPA JOHNS INTL INC              COM        698813102    22903939   555247     555247    0       0           448747      0   106500
PARADYNE NETWORKS INC            COM        69911G107    14548184   519578     519578    0       0           396778      0   122800
PAREXEL INTL CORP                COM        699462107    15825588  1734311    1734311    0       0          1267011      0   467300
PARK PL ENTMT CORP               COM        700690100     1468750   117500     117500    0       0           117500      0        0
PE CORP                          COM PE
                                 BIO GRP    69332S102    34318750   475000     475000    0       0           475000      0        0
PE CORP                          CELERA
                                 GEN GRP    69332S201      505138    12550      12550    0       0            12550      0        0
PEAK INTL LTD                    ORD        G69586108     1279650   150000     150000    0       0           150000      0        0
PECO ENERGY CO                   COM        693304107   185790787  4954421    4954421    0       0          4952835      0     1586
PEERLESS SYS CORP                COM        705536100     4882413   368484     368484    0       0           279384      0    89100
PEGASUS SYSTEMS INC              COM        705906105      218325     5822       5822    0       0             5822      0        0
PENN TRAFFIC CO NEW              COM NEW    707832200     1552415   182637     182637    0       0           182637      0        0
PEOPLESOFT INC                   COM        712713106     9098556   537200     537200    0       0           537200      0        0
PEPSICO INC                      COM        713448108    23358608   765856     765856    0       0           738556      0    27300
PERSONNEL GROUP AMER INC         COM        715338109     2661250   425800     425800    0       0           425800      0        0
PETCO ANIMAL SUPPLIES            COM        716016100    23141264  1948738    1948738    0       0          1566038      0   382700
PFIZER INC                       COM        717081103   239702866  6681613    6681613    0       0          6678391      0     3222
PHARMACIA & UPJOHN INC           COM        716941109   495199439  9978830    9978830    0       0          9948976      0    29854
                                            -          ----------
                                         PAGE TOTAL    1132741034
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         34
<CAPTION>
                                                                                         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>
PHILIP MORRIS COS INC            COM        718154107    99011159  2896164    2896164    0       0          2862291      0    33873
PHILIPPINE LONG DISTANCE TEL     SPONSORED
                                 ADR        718252604     1750875    80500      80500    0       0            80500      0        0
PHILLIPS PETE CO                 COM        718507106    83173691  1706127    1706127    0       0          1705526      0      601
PHONE COM INC                    COM        71920Q100    14927295    98530      98530    0       0            97930      0      600
PHOTRONICS INC                   COM        719405102    25331373  1129000    1129000    0       0           919400      0   209600
PINNACLE HLDGS INC               COM        72346N101    36122855  1382693    1382693    0       0          1085293      0   297400
PINNACLE WEST CAP CORP           COM        723484101   138837737  3816845    3816845    0       0          3764074      0    52771
PMC-SIERRA INC                   COM        69344F106    41915542   453141     453141    0       0           371241      0    81900
PNC BK CORP                      COM        693475105   173543286  3293854    3293854    0       0          3278554      0    15300
POHANG IRON & STL LTD            SPONSORED
                                 ADR        730450103      353826    11300      11300    0       0            11300      0        0
POLAROID CORP                    COM        731095105   136978894  5268419    5268419    0       0          5162219      0   106200
POLICY MGMT SYS CORP             COM        731108106    16703882   528186     528186    0       0           456786      0    71400
POLYMER GROUP INC                COM        731745105     2975075   201700     201700    0       0           201700      0        0
POWERTEL INC                     COM        73936C109     5957708   108200     108200    0       0           108200      0        0
POWERWAVE TECHNOLOGIES INC       COM        739363109      419505     8700       8700    0       0             8700      0        0
PPG INDS INC                     COM        693506107    31394340   523239     523239    0       0           523239      0        0
PRECISION DRILLING CORP          COM        74022D100     2724473   117500     117500    0       0           117500      0        0
PREMIER PKS INC                  COM NEW    740540208    44887940  1547860    1547860    0       0          1547860      0        0
PREMIERE TECHNOLOGIES INC        COM        74058F102      108885    18340      18340    0       0            18340      0        0
PRICE COMMUNICATIONS CORP        COM NEW    741437305     3593690   143392     143392    0       0           143392      0        0
PROBUSINESS SERVICES INC         COM        742674104     7904179   294109     294109    0       0           218209      0    75900
                                            -          ----------
                                         PAGE TOTAL     868616210
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         35
<CAPTION>
                                                                                         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>
PROCTER & GAMBLE CO              COM        742718109   311231719  3319805    3319805    0       0          3307021      0    12784
PROFESSIONAL DETAILING INC       COM        74312N107     6926450   267049     267049    0       0           200549      0    66500
PROGRESSIVE CORP OHIO            COM        743315103    68574684   839481     839481    0       0           839031      0      450
PROMUS HOTEL CORP NEW            COM        74342P106   159816250  4908060    4908060    0       0          4908060      0        0
PROVANTAGE HEALTH SVCS INC       COM        743725103      335656    32550      32550    0       0            32550      0        0
PROVIDENCE ENERGY CORP           COM        743743106     1064240    38351      38351    0       0            38351      0        0
PROVIDIAN FINL CORP              COM        74406A102   228285827  2882870    2882870    0       0          2874430      0     8440
PROXIM INC                       COM        744284100    13885054   301849     301849    0       0           223849      0    78000
PRT GROUP INC                    COM        693579104     1020200   510100     510100    0       0           510100      0        0
PSINET INC                       COM        74437C101      794915    22100      22100    0       0            22100      0        0
PSINET INC                       PFD C
                                 CV 6 3/4   74437C309     3639405    90420      90420    0       0            90420      0        0
PSS WORLD MED INC                COM        69366A100    16639523  1861869    1861869    0       0          1492069      0   369800
PUBLIC STORAGE INC               COM        74460D109     4357351   173000     173000    0       0           173000      0        0
PUBLIC SVC CO N C INC            COM        744516105     4353831   141588     141588    0       0           141588      0        0
PUBLIC SVC ENTERPRISE GROUP      COM        744573106     8860923   229409     229409    0       0           229409      0        0
QLOGIC CORP                      COM        747277101     2549255    36516      36516    0       0            36516      0        0
QLT PHOTOTHERAPEUTICS INC        COM        746927102     5173256    67680      67680    0       0            67680      0        0
QUAKER OATS CO                   COM        747402105   138540229  2239034    2239034    0       0          2221196      0    17838
QUALCOMM INC                     COM        747525103   287197217  1518060    1518060    0       0          1515160      0     2900
QUANTA SVCS INC                  COM        74762E102      266739     9100       9100    0       0             9100      0        0
QUEST SOFTWARE INC               COM        74834T103     1671675    35950      35950    0       0            35600      0      350
                                            -          ----------
                                         PAGE TOTAL    1265184398
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         36
<CAPTION>
                                                                                         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>
QUINTILES TRANSNATIONAL CORP     COM        748767100     1332170    70000      70000    0       0            70000      0        0
QUORUM HEALTH GROUP INC          COM        749084109     7205882  1024873    1024873    0       0           748473      0   276400
QWEST COMMUNICATIONS INTL INC    COM        749121109    50898433  1721752    1721752    0       0          1721752      0        0
R O C TAIWAN FD                  SH BEN INT 749651105      342938    46500      46500    0       0            46500      0        0
RADIANT SYSTEMS INC              COM        75025N102    10103165   624153     624153    0       0           624153      0        0
RALSTON PURINA CO                COM
                                 RAL-PUR GP 751277302   264506795  9489033    9489033    0       0          9407725      0    81308
RATIONAL SOFTWARE CORP           COM NEW    75409P202    14812350   505869     505869    0       0           505869      0        0
RAVISENT TECHNOLOGIES INC        COM        754440105      474375    33000      33000    0       0            33000      0        0
RAYTHEON CO                      CL A       755111309   237220921  4891153    4891153    0       0          4818828      0    72325
RAYTHEON CO                      CL B       755111408    90550738  1824700    1824700    0       0          1811600      0    13100
RCM TECHNOLOGIES INC             COM NEW    749360400     5533025   514700     514700    0       0           514700      0        0
REDBACK NETWORKS INC             COM        757209101     1641600    15200      15200    0       0            15200      0        0
REGIS CORP MINN                  COM        758932107    17637351   916226     916226    0       0           675426      0   240800
RELIANT ENERGY INC               COM        75952J108    10962816   405100     405100    0       0           405100      0        0
RELIASTAR FINL CORP              COM        75952U103   152380461  4582871    4582871    0       0          4342941      0   239930
REMEDYTEMP INC                   CL A       759549108     1150000    80000      80000    0       0            80000      0        0
RENAISSANCE WORLDWIDE INC        COM        75968A109    15242960  3933667    3933667    0       0          3546067      0   387600
RENAL CARE GROUP INC             COM        759930100     1323320    60409      60409    0       0            60409      0        0
RENEX CORP                       COM        759683105     1490298   282200     282200    0       0           282200      0        0
RENT A CTR INC NEW               COM        76009N100     4209250   226000     226000    0       0           226000      0        0
REPUBLIC SVCS INC                COM        760759100    68899650  6335600    6335600    0       0          6335600      0        0
                                            -          ----------
                                         PAGE TOTAL     957918495
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         37
<CAPTION>
                                                                                         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>
RESPIRONICS INC                  COM        761230101      121688    14750      14750    0       0            14750      0        0
REUTERS GROUP PLC                SPONSORED
                                 ADR        76132M102    64737817   939932     939932    0       0           939472      0      460
RF MICRODEVICES INC              COM        749941100    22215239   485579     485579    0       0           408679      0    76900
RHYTHMS NETCONNECTIONS INC       COM        762430205     4391160   127280     127280    0       0           127280      0        0
RITE AID CORP                    COM        767754104   168134042 12173041   12173041    0       0         12147741      0    25300
RMH TELESERVICES INC             COM        749938106      902875   233000     233000    0       0           233000      0        0
ROGERS COMMUNICATIONS INC        CL B       775109200      588420    35000      35000    0       0            35000      0        0
ROHM & HAAS CO                   COM        775371107    50394050  1394991    1394991    0       0          1394991      0        0
ROMAC INTL INC                   COM        775835101     4674625   564500     564500    0       0           564500      0        0
ROYAL CARIBBEAN CRUISES LTD      COM        V7780T103    88294500  1962100    1962100    0       0          1962100      0        0
ROYAL DUTCH PETE CO              NY REG
                                 GLD1.25    780257804    58614546   992424     992424    0       0           992424      0        0
RSA SEC INC                      COM        749719100   129991028  4893872    4893872    0       0          3901972      0   991900
RSL COMMUNICATIONS LTD           CL A       G7702U102     1520225    83300      83300    0       0            83300      0        0
RURAL / METRO CORP               COM        781748108     2824900   426400     426400    0       0           426400      0        0
S I HANDLING SYS INC             COM        784255101     1307213   158450     158450    0       0           158450      0        0
SAFEWAY INC                      COM NEW    786514208   429790547 11291854   11291854    0       0         11217544      0    74310
SANMINA CORP                     COM        800907107     4961285    64120      64120    0       0            64120      0        0
SANTA FE INTL CORP               ORD        G7805C108     3784131   175500     175500    0       0           175500      0        0
SAP AKTIENGESELLSCHAFT           SPONSORED
                                 ADR        803054204    59739752  1582510    1582510    0       0          1582510      0        0
SAWTEK INC                       COM        805468105    21809480   623128     623128    0       0           492428      0   130700
SBC COMMUNICATIONS INC           COM        78387G103   444902695  8712990    8712990    0       0          8670748      0    42242
                                            -          ----------
                                         PAGE TOTAL    1563700218
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         38
<CAPTION>
                                                                                         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    19898234   822683     822683    0       0           822683      0        0
SCC COMMUNICATIONS CORP          COM        78388X105     1774300   322600     322600    0       0           322600      0        0
SCHEIN HENRY INC                 COM        806407102    10085024   707721     707721    0       0           526921      0   180800
SCHERING PLOUGH CORP             COM        806605101   108492670  2486938    2486938    0       0          2411058      0    75880
SCHLOTZSKYS INC                  COM        806832101     3267875   402200     402200    0       0           402200      0        0
SCHLUMBERGER LTD                 COM        806857108    30301702   486290     486290    0       0           486290      0        0
SCHOLASTIC CORP                  COM        807066105    96433350  1928667    1928667    0       0          1566067      0   362600
SCHWAB CHARLES CORP NEW          COM        808513105    21135528   632100     632100    0       0           627300      0     4800
SCIENTIFIC ATLANTA INC           COM        808655104    49615031  1001070    1001070    0       0          1001070      0        0
SCRIPPS E W CO OHIO              CL A       811054204    20391787   415100     415100    0       0           415100      0        0
SDL INC                          COM        784076101     1951679    25575      25575    0       0            25575      0        0
SEAGATE TECHNOLOGY               COM        811804103     3821694   124790     124790    0       0           124790      0        0
SEAGRAM LTD                      COM        811850106     2639000    58000      58000    0       0            58000      0        0
SEAGRAM LTD                      PFD ADJ
                                 CV SEC     811850205    23290756   501556     501556    0       0           501556      0        0
SEALED AIR CORP NEW              COM        81211K100    47674287   929106     929106    0       0           929106      0        0
SEALED AIR CORP NEW              PFD
                                 CV A $2    81211K209     3821983    75310      75310    0       0            75310      0        0
SECURITY FIRST TECHNOLOGIES CP   COM        814279105    27694705   712404     712404    0       0           559704      0   152700
SEMPRA ENERGY                    COM        816851109     4586465   220376     220376    0       0           220376      0        0
SEPRACOR INC                     COM        817315104    38209795   506090     506090    0       0           471490      0    34600
SERVICE CORP INTL                COM        817565104      287075    27180      27180    0       0            27180      0        0
SERVICE EXPERTS INC              COM        817567100     1660000   160000     160000    0       0           160000      0        0
                                            -          ----------
                                         PAGE TOTAL     517032942
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         39
<CAPTION>
                                                                                         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>
SHARED MED SYS CORP              COM        819486101      224400     4800       4800    0       0             4800      0        0
SHAW GROUP INC                   COM        820280105      201933     9000       9000    0       0             9000      0        0
SHERWIN WILLIAMS CO              COM        824348106    11072093   528829     528829    0       0           528829      0        0
SHIRE PHARMACEUTICALS GRP PLC    SPONSORED
                                 ADR        82481R106    30419710  1055800    1055800    0       0          1055800      0        0
SIEBEL SYS INC                   COM        826170102    41204631   618456     618456    0       0           618456      0        0
SIERRA PAC RES NEW               COM        826428104    45822117  2059421    2059421    0       0          2059421      0        0
SILGAN HOLDINGS INC              COM        827048109     1484000    74200      74200    0       0            74200      0        0
SILVERLEAF RESORTS INC           COM        828395103      337500    54000      54000    0       0            54000      0        0
SILVERSTREAM SOFTWARE INC        COM        827907106     4918995   158040     158040    0       0           134415      0    23625
SINCLAIR BROADCAST GROUP INC     CL A       829226109     1198848   132294     132294    0       0           123194      0     9100
SIPEX CORP                       COM        829909100    33439874  2336492    2336492    0       0          1827382      0   509110
SITEL CORP                       COM        82980K107     1174700   276400     276400    0       0           276400      0        0
SKYWEST INC                      COM        830879102     9940971   453160     453160    0       0           338560      0   114600
SL GREEN RLTY CORP               COM        78440X101     5334100   260200     260200    0       0           260200      0        0
SMITH INTL INC                   COM        832110100     4758750   117500     117500    0       0           117500      0        0
SMITHKLINE BEECHAM PLC           ADR REP
                                 ORD        832378301    34785158   603647     603647    0       0           603647      0        0
SMUCKER J M CO                   CL B       832696207     1605167    87356      87356    0       0            87356      0        0
SMURFIT-STONE CONTAINER CORP     COM        832727101    35435828  1638651    1638651    0       0          1631608      0     7043
SNYDER COMMUNICATIONS INC        COM        832914105     4765681   313800     313800    0       0           313800      0        0
SODEXHO MARRIOTT SVCS INC        COM        833793102    48573964  2857292    2857292    0       0          2452192      0   405100
SOLECTRON CORP                   COM        834182107     7285686   101455     101455    0       0           101455      0        0
                                            -          ----------
                                         PAGE TOTAL     323984105
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         40
<CAPTION>
                                                                                         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>
SONAT INC                        COM        835415100    60411948  1522210    1522210    0       0          1522210      0        0
SONIC CORP                       COM        835451105    42358321  1391672    1391672    0       0          1247322      0   144350
SONY CORP                        ADR NEW    835699307    29967381   199700     199700    0       0           199700      0        0
SOURCE MEDIA INC                 COM NEW    836153304       95625    10625      10625    0       0            10625      0        0
SOUTHERN CO                      COM        842587107     4373637   169850     169850    0       0           169850      0        0
SPEEDWAY MOTORSPORTS INC         COM        847788106      260955     6025       6025    0       0             6025      0        0
SPORTSLINE USA INC               COM        848934105    82027071  2774747    2774747    0       0          2279447      0   495300
SPR INC                          COM        784922106      749801   210500     210500    0       0           210500      0        0
SPRINT CORP                      COM FON
                                 GROUP      852061100   382194939  7045068    7045068    0       0          6997854      0    47214
SPRINT CORP                      PCS COM
                                 SER 1      852061506   656079836  8799118    8799118    0       0          8771618      0    27500
SPX CORP                         COM        784635104    25805035   284353     284353    0       0           283053      0     1300
ST PAUL COS INC                  COM        792860108    47017602  1709731    1709731    0       0          1709731      0        0
STAFFMARK INC                    COM        852389105     7205209   907800     907800    0       0           907800      0        0
STANLEY WKS                      COM        854616109     1735384    68900      68900    0       0            68900      0        0
STAPLES INC                      COM        855030102    15333836   703000     703000    0       0           703000      0        0
STAR BUFFET INC                  COM        855086104      161875    35000      35000    0       0            35000      0        0
STATE STR CORP                   COM        857477103   266378692  4121914    4121914    0       0          4120874      0     1040
STEELCASE INC                    CL A       858155203      349819    25100      25100    0       0            25100      0        0
STERIS CORP                      COM        859152100    26576481  1932835    1932835    0       0          1562935      0   369900
STERLING COMM INC                COM        859205106     1110490    59826      59826    0       0            59826      0        0
STERLING SOFTWARE INC            COM        859547101    11423460   571173     571173    0       0           389773      0   181400
                                            -          ----------
                                         PAGE TOTAL    1661617398
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         41
<CAPTION>
                                                                                         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>
STET HELLAS COMMUNICATIONS S A   ADR        859823106      429406    22750      22750    0       0            22750      0        0
STEWART ENTERPRISES INC          CL A       860370105     5607350   925000     925000    0       0           925000      0        0
STMICROELECTRONICS N V           COM        861012102    39604654   534750     534750    0       0           534750      0        0
STONE & WEBSTER INC              COM        861572105     1895992    67714      67714    0       0            67714      0        0
STRATESEC INC                    COM        862792108       42000    42000      42000    0       0            42000      0        0
STUDENT LN CORP                  COM        863902102    11621236   283881     283881    0       0           191881      0    92000
SUIZA FOODS CORP                 COM        865077101    27731288   739501     739501    0       0           709201      0    30300
SUN MICROSYSTEMS INC             COM        866810104   740373930  7961010    7961010    0       0          7913105      0    47905
SUNGARD DATA SYS INC             COM        867363103   163572995  6216669    6216669    0       0          5455589      0   761080
SUNTERRA CORP                    COM        86787D109     1840625   155000     155000    0       0           155000      0        0
SUPERIOR CONSULTANT HLDGS CORP   COM        868146101     8475557   721324     721324    0       0           535524      0   185800
SUPERIOR ENERGY SVCS INC         COM        868157108     1852572   293500     293500    0       0           293500      0        0
SYMANTEC CORP                    COM        871503108     1726512    48000      48000    0       0            48000      0        0
SYNOPSYS INC                     COM        871607107   321744454  5729476    5729476    0       0          5510191      0   219285
SYNTEL INC                       COM        87162H103     1264688   142500     142500    0       0           142500      0        0
SYNTHETIC INDS INC               COM        871914107     1641542    59965      59965    0       0            59965      0        0
SYSTEM SOFTWARE ASSOC INC        COM NEW    871839205     1146340   591812     591812    0       0           591812      0        0
TACO CABANA INC                  COM        873425102     3912579   403900     403900    0       0           403900      0        0
TAIWAN SEMICONDUCTOR MFG LTD     SPONSORED
                                 ADR        874039100     2457970    83321      83321    0       0            83321      0        0
TALBOTS INC                      COM        874161102      379839     8500       8500    0       0             8500      0        0
TALK COM INC                     COM        874264104    93853723  7272100    7272100    0       0          7272100      0        0
                                            -          ----------
                                         PAGE TOTAL    1431175252
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         42
<CAPTION>
                                                                                         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>
TANDY CORP                       COM        875382103    25884850   500800     500800    0       0           500800      0        0
TANNING TECHNOLOGY CORP          COM        87588P101     1449656    55225      55225    0       0            55225      0        0
TECHNOLOGY SOLUTIONS CO          COM        87872T108    67166776  4755170    4755170    0       0          3789578      0   965592
TECNOMATIX TECHNOLOGIES LTD      ORD        M8743P105      454400    25600      25600    0       0            25600      0        0
TEKELEC                          COM        879101103      641429    46440      46440    0       0            46440      0        0
TELE CENTRO SUL PART S A         SPON
                                 ADR PFD    879239101      379898     6845       6845    0       0             6845      0        0
TELE NORTE LESTE PART S A        SPON
                                 ADR PFD    879246106     2177394   140477     140477    0       0           140477      0        0
TELECOMUNICACOES BRASILEIRAS S   SPONSORED
                                 ADR        879287308     1351350    18200      18200    0       0            18200      0        0
TELEFONICA DEL PERU S A          SPON
                                 ADR CL B   879384105      293598    21850      21850    0       0            21850      0        0
TELEFONICA S A                   SPONSORED
                                 ADR        879382208    26384448   549676     549676    0       0           549676      0        0
TELEFONOS DE MEXICO S A          SR DB
                                 CV 4.25%04 879403AD5     3303788  3510000    3510000    0       0          3510000      0        0
TELEPHONE & DATA SYS INC         COM        879433100    61722031   694974     694974    0       0           694974      0        0
TELETECH HOLDINGS INC            COM        879939106      343425    24100      24100    0       0            24100      0        0
TELIGENT INC                     CL A       87959Y103      963928    19400      19400    0       0            19400      0        0
TELLABS INC                      COM        879664100   229453946  4029962    4029962    0       0          4018932      0    11030
TERADYNE INC                     COM        880770102   104330306  2959725    2959725    0       0          2907925      0    51800
TEVA PHARMACEUTICAL INDS LTD     ADR        881624209      456682     9077       9077    0       0             9077      0        0
TEXACO INC                       COM        881694103    11419186   180898     180898    0       0           180898      0        0
TEXAS INSTRS INC                 COM        882508104   320165527  3892590    3892590    0       0          3892590      0        0
TEXAS UTILS CO                   COM        882848104   207659638  5565492    5565492    0       0          5524444      0    41048
TIBCO SOFTWARE INC               COM        88632Q103     1313603    43650      43650    0       0            43650      0        0
                                            -          ----------
                                         PAGE TOTAL    1067315859
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         43
<CAPTION>
                                                                                         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>
TIER TECHNOLOGIES INC            CL B       88650Q100     6446529   937677     937677    0       0           937677      0        0
TIME WARNER INC                  COM        887315109  1039928828 17118170   17118170    0       0         16998788      0   119382
TIME WARNER TELECOM INC          CL A       887319101     1636078    78375      78375    0       0            78375      0        0
TIMKEN CO                        COM        887389104      201079    12470      12470    0       0            12470      0        0
TJX COS INC NEW                  COM        872540109   328956767 11722499   11722499    0       0         11701477      0    21022
TMP WORLDWIDE INC                COM        872941109     2137382    35111      35111    0       0            35111      0        0
TOKIO MARINE & FIRE INS LTD      ADR NEW    889090403      511750     8900       8900    0       0             8900      0        0
TOOTSIE ROLL INDS INC            COM        890516107     9961980   303026     303026    0       0           205560      0    97466
TORCHMARK CORP                   COM        891027104    45969240  1776589    1776589    0       0          1739289      0    37300
TOTAL ENTMT RESTAURANT CORP      COM        89150E100       91813    56500      56500    0       0            56500      0        0
TOTAL FINA S A                   SPONSORED
                                 ADR        89151E109    18909618   298085     298085    0       0           296085      0     2000
TOTAL RENAL CARE HLDGS INC       COM        89151A107    75055483 10092172   10092172    0       0          8415288      0  1676884
TRANSACTION NETWORK SVCS INC     COM        893414102    42969487  1094764    1094764    0       0           870864      0   223900
TRANSACTION SYS ARCHITECTS       CL A       893416107    43226100  1604711    1604711    0       0          1248311      0   356400
TRANSKARYOTIC THERAPIES INC      COM        893735100      372726     7255       7255    0       0             7255      0        0
TRANSOCEAN OFFSHORE INC CAYMON   ORD        G90076103    17960889   586478     586478    0       0           549878      0    36600
TRANSWITCH CORP                  COM        894065101     4987500    87500      87500    0       0            87500      0        0
TRIBUNE CO NEW                   COM        896047107   495284284  9955463    9955463    0       0          9933847      0    21616
TRIGON HEALTHCARE INC            COM        89618L100     1755000    60000      60000    0       0            60000      0        0
TRINET CORP RLTY TR INC          COM        896287109     2378819    99900      99900    0       0            99900      0        0
TRIQUINT SEMICONDUCTOR INC       COM        89674K103    21097085   368914     368914    0       0           273564      0    95350
                                            -          ----------
                                         PAGE TOTAL    2159838436
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         44
<CAPTION>
                                                                                         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>
TRW INC                          COM        872649108   124342016  2499337    2499337    0       0          2457447      0    41890
TUBOS DE ACERO DE MEXICO S A     ADR NEW    898592506      572075    46700      46700    0       0            46700      0        0
TV GUIDE INC                     CL A       87307Q109      227512     5815       5815    0       0             5815      0        0
TYCO INTL LTD NEW                COM        902124106  3257759012 31552145   31552145    0       0         31498027      0    54118
U S AGGREGATES INC               COM        90334D109     6943832   498230     498230    0       0           424805      0    73425
U S FRANCHISE SVCS INC           CL A NEW   902956309     9029939   521600     521600    0       0           521600      0        0
U S OFFICE PRODS CO              COM NEW    912325305     4243225  1212350    1212350    0       0          1212350      0        0
U S TR CORP NEW                  COM        91288L105     1009992    12566      12566    0       0            12566      0        0
U S WEST INC NEW                 COM        91273H101     6248289   109500     109500    0       0           109500      0        0
UBICS INC                        COM        90261L108      275000   110000     110000    0       0           110000      0        0
UGI CORP NEW                     COM        902681105     4347750   187000     187000    0       0           187000      0        0
UNICOM CORP                      COM        904911104    73444607  1988375    1988375    0       0          1943775      0    44600
UNILEVER N V                     N Y SHS
                                 NEW        904784709     2948995    43288      43288    0       0            43288      0        0
UNION PAC RES GROUP INC          COM        907834105     1640438   100950     100950    0       0           100950      0        0
UNISYS CORP                      COM        909214108    26434225   585800     585800    0       0           585800      0        0
UNITED HEALTHCARE CORP           COM        910581107   800006867 16431632   16431632    0       0         16414242      0    17390
UNITED PAYORS&UTD PROVIDERS      COM        911319101     1773075   100600     100600    0       0           100600      0        0
UNITED RENTALS INC               COM        911363109     2883224   132562     132562    0       0           132562      0        0
UNITED STATES CELLULAR CORP      COM        911684108     1224000    18000      18000    0       0            18000      0        0
UNITED STATIONERS INC            COM        913004107      983229    46135      46135    0       0            46135      0        0
UNITED TECHNOLOGIES CORP         COM        913017109   561895969  9473563    9473563    0       0          9441395      0    32168
                                            -          ----------
                                         PAGE TOTAL    4888233270
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         45
<CAPTION>
                                                                                         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 THERAPEUTICS CORP DEL     COM        91307C102    13700639   474481     474481    0       0           404281      0    70200
UNITEDGLOBALCOM                  CL A       913247508     3230288    45100      45100    0       0            45100      0        0
UNIVISION COMMUNICATIONS INC     CL A       914906102   253682494  3117450    3117450    0       0          3117450      0        0
UNOCAL CORP                      COM        915289102    46692746  1259855    1259855    0       0          1259755      0      100
UNUMPROVIDENT CORP               COM        91529Y106      203115     6900       6900    0       0             6900      0        0
US BANCORP DEL                   COM        902973106   216908628  7185498    7185498    0       0          7125847      0    59651
USA NETWORKS INC                 COM        902984103      425669    10985      10985    0       0            10985      0        0
USEC INC                         COM        90333E108    15760134  1537574    1537574    0       0          1537574      0        0
USINTERNETWORKING INC            COM        917311805      981250    31400      31400    0       0            31400      0        0
USX MARATHON GROUP               COM NEW    902905827    23233801   794318     794318    0       0           793918      0      400
VALLEY MEDIA INC                 COM        91972C106     2345143   196460     196460    0       0           177260      0    19200
VANTIVE CORP                     COM        922091103    14366100  1653747    1653747    0       0          1233647      0   420100
VARCO INTL INC                   COM        922126107     5721797   469500     469500    0       0           469500      0        0
VARIAN INC                       COM        922206107     5315167   299446     299446    0       0           222246      0    77200
VARIAN SEMICONDUCTOR EQUIPMNT    COM        922207105     2474785   117500     117500    0       0           117500      0        0
VASTAR RES INC                   COM        922380100    10322230   164992     164992    0       0           146792      0    18200
VDI MULTIMEDIA                   COM        917916108     7112593   734241     734241    0       0           578941      0   155300
VENTANA MED SYS INC              COM        92276H106    16815227   989131     989131    0       0           761531      0   227600
VERISIGN INC                     COM        92343E102   117015704  1098739    1098739    0       0          1044139      0    54600
VERITAS DGC INC                  COM        92343P107      289520    15040      15040    0       0            15040      0        0
VERITAS SOFTWARE CO              COM        923436109   231636402  3050376    3050376    0       0          3039076      0    11300
                                            -          ----------
                                         PAGE TOTAL     988233429
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         46
<CAPTION>
                                                                                         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>
VERTICALNET INC                  COM        92532L107     4311499   116527     116527    0       0            85527      0    31000
VESTCOM INTL INC                 COM        924904105      399263   152100     152100    0       0           152100      0        0
VI TECHNOLOGIES INC              COM        917920100     3887338   818387     818387    0       0           624927      0   193460
VIATEL INC                       COM        925529208     2013763    68120      67401    0       0            68120      0        0
VISTANA INC                      COM        92839P108     3262500   217500     217500    0       0           217500      0        0
VISX INC DEL                     COM        92844S105    15133055   191330     191330    0       0           176730      0    14600
VITESSE SEMICONDUCTOR CORP       COM        928497106     9719944   113850     113850    0       0           113850      0        0
VODAFONE AIRTOUCH PLC            SPONSORED
                                 ADR        92857T107   104133787   437997     437997    0       0           437997      0        0
VOICESTREAM WIRELESS CORP        COM        928615103    30071966   487240     487240    0       0           487240      0        0
WACKENHUT CORP                   COM SER B  929794303     2760000   184000     184000    0       0           184000      0        0
WADDELL & REED FINL INC          CL A       930059100    17900050   806781     806781    0       0           587481      0   219300
WAL MART STORES INC              COM        931142103   605432822 12729339   12729339    0       0         12695397      0    33942
WALTER INDS INC                  COM        93317Q105     1074600    79600      79600    0       0            79600      0        0
WARNER LAMBERT CO                COM        934488107    91345673  1376206    1376206    0       0          1375552      0      654
WASHINGTON GAS LT CO             COM        938837101    20945464   772183     772183    0       0           772183      0        0
WASTE MGMT INC DEL               COM        94106L109    21224550  1102574    1102574    0       0          1102574      0        0
WATERLINK INC                    COM        94155N105      590625   225000     225000    0       0           225000      0        0
WATERS CORP                      COM        941848103    40637102   671000     671000    0       0           671000      0        0
WATSCO INC                       COM        942622200     2930098   257591     257591    0       0           257591      0        0
WAVECOM S A                      SPONSORED
                                 ADR        943531103     9352614   571152     571152    0       0           571152      0        0
WEATHERFORD INTL INC             COM        947074100    17300448   540639     540639    0       0           455269      0    85370
                                            -          ----------
                                         PAGE TOTAL    1004427159
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         47
<CAPTION>
                                                                                         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>
WELLPOINT HEALTH NETWORK NEW     COM        94973H108    46164300   809900     809900    0       0           809900      0        0
WELLS FARGO & CO NEW             COM        949746101   332781369  8398268    8398268    0       0          8385472      0    12796
WENDYS INTL INC                  COM        950590109    93167905  3515770    3515770    0       0          3515770      0        0
WESTERN WIRELESS CORP            CL A       95988E204    27464035   612435     612435    0       0           612435      0        0
WESTPOINT STEVENS INC            COM        961238102     1783688    75500      75500    0       0            75500      0        0
WESTWOOD ONE INC                 COM        961815107    19918175   441400     441400    0       0           441400      0        0
WEYERHAEUSER CO                  COM        962166104    31683493   549822     549822    0       0           549822      0        0
WHITEHALL JEWELLERS INC          COM        965063100     1679000    58400      58400    0       0            58400      0        0
WICOR INC                        COM        929253102     1465132    50414      50414    0       0            50414      0        0
WILD OATS MARKETS INC            COM        96808B107     1249188    31625      31625    0       0            31625      0        0
WILLIAMS COS INC DEL             COM        969457100   109805214  2918411    2918411    0       0          2918411      0        0
WILMAR INDS INC                  COM        971426101      857475    66600      66600    0       0            66600      0        0
WIND RIVER SYSTEMS INC           COM        973149107    17204234   905486     905486    0       0           665736      0   239750
WINK COMMUNICATIONS              COM        974168106      501308    11475      11475    0       0            11475      0        0
WINSTAR COMMUNICATIONS INC       COM        975515107    47818646  1224173    1224173    0       0          1224173      0        0
WISCONSIN CENT TRANSN CORP       COM        976592105     4490499   328085     328085    0       0           328085      0        0
WMF GROUP LTD                    COM        929289106      206220    60000      60000    0       0            60000      0        0
WORKFLOW MGMT INC                COM        98137N109     5307289   408253     408253    0       0           408253      0        0
XEROX CORP                       COM        984121103   337594821  8050047    8050047    0       0          8014644      0    35403
XILINX INC                       COM        983919101   217321373  3316314    3316314    0       0          3316314      0        0
XIONICS DOCUMENT TECHNOLOGIES    COM        98412X103     4005087   681717     681717    0       0           458517      0   223200
                                            -          ----------
                                         PAGE TOTAL    1302468451
</TABLE>
<PAGE>
<TABLE>
                                                           MFS 13F REPORT
DATE: 990930                                                                                                      PAGE:         48
<CAPTION>
                                                                                         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>
YAHOO INC                        COM        984332106    31889072   177655     177655    0       0           177655      0        0
YOUNG & RUBICAM INC              COM        987425105   151094856  3433974    3433974    0       0          3433974      0        0
YOUNG BROADCASTING INC           CL A       987434107    16610417   317144     317144    0       0           278744      0    38400
                                            -         -----------
                                         PAGE TOTAL     199594346
                                            -         -----------
                                         GRAND TOTAL  76757692654
</TABLE>


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