MASSACHUSETTS FINANCIAL SERVICES CO /MA/
13F-HR, 1999-07-30
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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: June 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    July 27, 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:      1025

Form 13F Information Table Value Total:      80,938,376,599
                                             --------------
                                              (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      160000    20000      20000    0       0            20000      0        0
A D C TELECOMMUNICATIONS         COM        000886101     7999320   175570     175570    0       0           175570      0        0
ABACUS DIRECT CORP               COM        002553105      273402     2988       2988    0       0             2988      0        0
ABBOTT LABS                      COM        002824100      640241    14110      14110    0       0            14110      0        0
ABERCROMBIE & FITCH CO           CL A       002896207    11712384   244008     244008    0       0           244008      0        0
ABITIBI-CONSOLIDATED INC         COM        003924107    30461579  2677941    2677941    0       0          2668841      0     9100
ACE LTD                          ORD        G0070K103    54077732  1914256    1914256    0       0          1914256      0        0
ACSYS INC                        COM        00087X103      571038   149800     149800    0       0           149800      0        0
ACT NETWORKS INC                 COM        000975102      215493    12630      12630    0       0            12630      0        0
ACXIOM CORP                      COM        005125109    13329600   534531     534531    0       0           375101      0   159430
ADAPTEC INC                      COM        00651F108    30064637   851400     851400    0       0           851400      0        0
ADELPHIA COMMUNICATIONS CORP     CL A       006848105     7569148   118965     118965    0       0           118765      0      200
ADMINISTRADORA FONDOS PENSIONE   SPONSORED
                                 ADR        00709P108      339020    15410      15410    0       0            15410      0        0
ADOBE SYS INC                    COM        00724F101      329446     4010       4010    0       0             4010      0        0
ADVANCED FIBRE COMMUNICATIONS    COM        00754A105     7251500   464096     464096    0       0           325396      0   138700
AERIAL COMMUNICATIONS INC        COM        007655103    16074855  1190730    1190730    0       0           960630      0   230100
AES CORP                         COM        00130H105   187030847  3217735    3217735    0       0          3217735      0        0
AFC CABLE SYS INC                COM        000950105    12922532   365953     365953    0       0           276753      0    89200
AFFILIATED COMPUTER SERVICES     CL A       008190100   253062428  4998764    4998764    0       0          4667732      0   331032
AFFILIATED MANAGERS GROUP        COM        008252108      200985     6658       6658    0       0             6658      0        0
                                            -           ----------
                                           PAGE  TOTAL  634286186
</TABLE>
<PAGE>
<TABLE>
                                            MFS 13F REPORT
DATE: 990630                                                                                             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>
AFLAC INC                        COM        001055102    39550304   826116     826116    0       0           819096      0     7020
AGL RES INC                      COM        001204106      787684    42723      42723    0       0            42723      0        0
AIRNET SYS INC                   COM        009417106     1417500   105000     105000    0       0           105000      0        0
ALBERTSONS INC                   COM        013104104   236707169  4590729    4590729    0       0          4476019      0   114710
ALCOA INC                        COM        013817101    25974568   419791     419791    0       0           419791      0        0
ALKERMES INC                     PFD CV
                                 EX$3.25    01642T405     4328711    90300      90300    0       0            90300      0        0
ALLEGHENY ENERGY INC             COM        017361106     8381007   261400     261400    0       0           261400      0        0
ALLEGIANCE TELECOM INC           COM        01747T102    11066586   201669     201669    0       0           156269      0    45400
ALLIED WASTE INDS INC            COM
                                PAR$.01NEW  019589308    15532782   786470     786470    0       0           786470      0        0
ALLIEDSIGNAL INC                 COM        019512102   489785184  7774368    7774368    0       0          7730821      0    43547
ALLMERICA FINL CORP              COM        019754100    15476654   254500     254500    0       0           254500      0        0
ALLSTATE CORP                    COM        020002101   196360521  5473464    5473464    0       0          5392633      0    80831
ALLTEL CORP                      COM        020039103   274859728  3844192    3844192    0       0          3797127      0    47065
ALPHANET SOLUTIONS INC           COM        020787107      403000   104000     104000    0       0           104000      0        0
ALPHARMA INC                     CL A       020813101      209353     5887       5887    0       0             5887      0        0
ALTERA CORP                      COM        021441100   400535175 10880560   10880560    0       0         10880560      0        0
ALTERNATIVE RESOURCES CORP       COM        02145R102     5247571   749653     749653    0       0           529253      0   220400
AMDOCS LTD                       ORD        G02602103     7100616   312115     312115    0       0           312115      0        0
AMERICA ONLINE INC DEL           COM        02364J104    21846000   198600     198600    0       0           198600      0        0
AMERICAN EXPRESS CO              COM        025816109   237476043  1824984    1824984    0       0          1820383      0     4601
AMERICAN HOME PRODS CORP         COM        026609107   727058410 12672042   12672042    0       0         12559880      0   112162
                                            -          ----------
                                           PAGE  TOTAL 2720104566
</TABLE>
<PAGE>
<TABLE>
                                        MFS 13F REPORT
DATE: 990630                                                                                             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 INTL GROUP INC          COM        026874107   511495504  4362435    4362435    0       0          4345349       0    17086
AMERICAN TOWER CORP              CL A       029912201    37419072  1559128    1559128    0       0          1418048       0   141080
AMERIHOST PPTYS INC              COM NEW    03070D209     2108000   527000     527000    0       0           527000       0        0
AMERISOURCE HEALTH CORP          CL A       03071P102     5761215   225930     225930    0       0           159830       0    66100
AMERITECH CORP NEW               COM        030954101   102995917  1401305    1401305    0       0          1391038       0    10267
AMKOR TECHNOLOGY INC             COM        031652100     3705365   361499     361499    0       0           361499       0        0
AMR CORP                         COM        001765106    19362525   283700     283700    0       0           283700       0        0
ANACOMP INC DEL                  COM        032371106     1847271   108663     108663    0       0           108663       0        0
ANALOG DEVICES INC               COM        032654105   755499590 15053691   15053691    0       0         14708060       0   345631
ANDRX CORP                       COM        034551101      445474     5776       5776    0       0             5776       0        0
ANGLO AMERN PLC                  ADR        03485P102      202126     4233       4233    0       0             4233       0        0
ANHEUSER BUSCH COS INC           COM        035229103   495040310  6978591    6978591    0       0          6926648       0    51943
ANNTAYLOR STORES CORP            COM        036115103      251865     5597       5597    0       0             5597       0        0
ANNUITY AND LIFE RE HLDGS        ORD        G03910109     8784220   391506     391506    0       0           388706       0     2800
ANTENNA TV SA                    SPONS ADR  03672N100     9532325   693260     693260    0       0           550260       0   143000
AON CORP                         COM        037389103    27990806   678565     678565    0       0           678565       0        0
APAC TELESERVICES INC            COM        00185E106     1462500   450000     450000    0       0           450000       0        0
APACHE CORP                      COM        037411105    82160130  2106670    2106670    0       0          2106670       0        0
APACHE CORP                      ACES C
                                 DP 1/50    037411600     6075400   164200     164200    0       0           164200       0        0
APACHE MED SYS INC               COM        03746E102      193877   182558     182558    0       0          138158        0    44400
APEX PC SOLUTIONS INC            COM        037945102     2109512   102903     102903    0       0          102903        0        0
                                            -          ----------
                                          PAGE  TOTAL  2074443003
</TABLE>
<PAGE>
<TABLE>
                                        MFS 13F REPORT
DATE: 990630                                                                                             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>
APOLLO GROUP INC                 CL A      037604105     1766373    66500      66500    0       0            66500       0        0
APPLEBEES INTL INC               COM       037899101   119315666  3960686    3960686    0       0          3805886       0   154800
APPLIED GRAPHICS TECHNOLOGIES    COM       037937109     1877338   148700     148700    0       0           148700       0        0
APPLIED MATLS INC                COM       038222105   129643238  1754900    1754900    0       0          1754900       0        0
APPLIED MICRO CIRCUITS CORP      COM       03822W109     3540369    43044      43044    0       0            43044       0        0
APPLIED SCIENCE & TECHNOLOGY     COM       038236105    12584385   559306     559306    0       0           490106       0    69200
AQUARION CO                      COM       03838W101      612550    17533      17533    0       0            17533       0        0
ARCHER DANIELS MIDLAND CO        COM       039483102    66828733  4329127    4329127    0       0          4328097       0     1030
ARDEN RLTY GROUP INC             COM       039793104     9398402   381661     381661    0       0           381661       0        0
ARM FINL GROUP INC               CL A      001944107     3068500   361000     361000    0       0           361000       0        0
ARM HLDGS PLC                    SPONSORED
                                 ADR       042068106    22544246   646430     646430    0       0           646430       0        0
ASIA PULP & PAPER LTD            SPONSORED
                                 ADR       04516V100    38326596  3981984    3981984    0       0          3981984       0        0
ASPECT TELECOMMUNICATIONS CORP   COM       045237104    11599945  1189738    1189738    0       0           890938       0   298800
ASPEN TECHNOLOGY INC             COM       045327103    33284507  2832724    2832724    0       0          2313728       0   518996
ASSOCIATED MATLS INC             COM       045709102      936250    70000      70000    0       0            70000       0        0
ASSOCIATES FIRST CAP CORP        CL A      046008108   620690049 14066630   14066630    0       0         13979417       0    87213
ASTRAZENECA PLC                  SPONSORED
                                 ADR       046353108     9796750   250000     250000    0       0           250000       0        0
ASYST TECHNOLOGY CORP            COM       04648X107     5504037   183854     183854    0       0           183854       0        0
AT & T CDA INC                   DEPS RCPT
                                 CL B      00207Q202    11409442   178100     178100    0       0           178100       0        0
AT HOME CORP                     SB DB
                                 CV 144A   045919AA5     3300763  4165000    4165000    0       0          4165000       0        0
AT&T CORP                        COM       001957109    34286093   614314     614314    0       0           614314       0        0
                                           -          ----------
                                         PAGE  TOTAL  1140314232
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
AT&T CORP                        COM LIB
                                 CRP A      001957208   223695780  6086960    6086960    0       0          6086960      0        0
ATLANTIC RICHFIELD CO            COM        048825103    18360577   219724     219724    0       0          218724       0     1000
ATLANTIS PLASTICS INC            COM        049156102     1631700   116550     116550    0       0          116550       0        0
ATLAS AIR INC                    COM        049164106    33836958  1049208    1049208    0       0          851073       0   198135
ATMEL CORP                       COM        049513104    85713455  3273130    3273130    0       0         3273130       0        0
ATMI INC                         COM        00207R101      248472     8352       8352    0       0            8352       0        0
ATMOS ENERGY CORP                COM        049560105    19812475   792499     792499    0       0          792499       0        0
ATWOOD OCEANICS INC              COM        050095108      236406     7565       7565    0       0            7565       0        0
AUTODESK INC                     COM        052769106    41407996  1400717    1400717    0       0         1400717       0        0
AUTONATION INC                   COM        05329W102    90612494  5087160    5087160    0       0         5087160       0        0
AUTOZONE INC                     COM        053332102    20922716   694530     694530    0       0          549530       0   145000
AVADO BRANDS INC                 COM        05336P108     3098750   370000     370000    0       0          370000       0        0
AVIATION SALES CO                COM        053672101     4641250   117500     117500    0       0          117500       0        0
AVT CORP                         COM        002420107     2154406    56882      56882    0       0           56882       0        0
AWARE INC MASS                   COM        05453N100      240542     5215       5215    0       0            5215       0        0
AXA SA                           SPONSORED
                                 ADR        054536107      955243    15330      15330    0       0           15330       0        0
AZTEC TECHNOLOGY PARTNERS INC    COM        05480L101     1893527  1009881    1009881    0       0         1009881       0        0
AZURIX CORP                      COM        05501M104     6848000   342400     342400    0       0          342400       0        0
BACKWEB TECHNOLOGIES LTD         ORD        M15633106     2212584    80825      80825    0       0           80625       0      200
BAKER HUGHES INC                 COM        057224107    30620172   914035     914035    0       0          914035       0        0
BALANCED CARE CORP               COM        057630105      764000   382000     382000    0       0          382000       0        0
                                            -           ---------
                                           PAGE  TOTAL  589907504
</TABLE>
<PAGE>
<TABLE>
                                        MFS 13F REPORT
DATE: 990630                                                                                             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>
BALLANTYNE OMAHA INC             COM        058516105     1061944   137025     137025    0       0          137025       0        0
BANCO DE GALICIA Y BUENOS AIRE   SPNS
                                 ADR B NEW  059538207      401740    19839      19839    0       0           19839       0        0
BANK NEW YORK INC                COM        064057102   264466604  7208728    7208728    0       0          7186128      0    22600
BANK OF AMERICA CORPORATION      COM        060505104   288934395  3941161    3941161    0       0          3916915      0    24246
BANK TOKYO-MITSUBISHI LTD        SPONSORED
                                 ADR        065379109     4598680   315800     315800    0       0           315800      0        0
BANKBOSTON CORP                  COM        06605R106     5395681   105539     105539    0       0           105539      0        0
BARNETT INC                      COM        068062108     4396178   586157     586157    0       0           464057      0   122100
BAUSCH & LOMB INC                COM        071707103    56523096   738864     738864    0       0           738864      0        0
BAXTER INTL INC                  COM        071813109    10014037   165180     165180    0       0           165180      0        0
BCE INC                          COM        05534B109    11648481   236220     236220    0       0           236220      0        0
BE AEROSPACE INC                 COM        073302101     1498697    80200      80200    0       0            80200      0        0
BEBE STORES INC                  COM        075571109      224910     6615       6615    0       0             6615      0        0
BEC ENERGY                       COM        05538M101    24069127   583494     583494    0       0           583494      0        0
BECTON DICKINSON & CO            COM        075887109   154813680  5160456    5160456    0       0          5039741      0   120715
BELDEN INC                       COM        077459105    11041731   461283     461283    0       0           330383      0   130900
BELL ATLANTIC CORP               COM        077853109   713786412 10918339   10918339    0       0         10807719      0   110620
BELLSOUTH CORP                   COM        079860102    46540079  1008999    1008999    0       0           981879      0    27120
BENTON OIL & GAS CO              COM        083288100      466000   233000     233000    0       0           233000      0        0
BERKSHIRE ENERGY RES             COM        084644103      665888    29595      29595    0       0            29595      0        0
BEST BUY INC                     COM        086516101     7904250   117100     117100    0       0           117100      0        0
BESTFOODS                        COM        08658U101   105079095  2122810    2122810    0       0          2070090      0    52720
                                            -          ----------
                                          PAGE  TOTAL  1713530705
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
BIG FLOWER HLDGS INC             COM        089159107      234122     7345       7345    0       0            7345       0        0
BIOGEN INC                       COM        090597105    12212849   189900     189900    0       0          189900       0        0
BISYS GROUP INC                  COM        055472104    97403260  1665013    1665013    0       0         1380913       0   284100
BJ SVCS CO                       COM        055482103    10979353   372978     372978    0       0          372978       0        0
BJS WHOLESALE CLUB INC           COM        05548J106    49493295  1646374    1646374    0       0         1426174       0   220200
BLACK BOX CORP DEL               COM        091826107    18936774   377791     377791    0       0          281991       0    95800
BLOCK H & R INC                  COM        093671105    13786300   275726     275726    0       0          213726       0    62000
BLYTH INDS INC                   COM        09643P108    29271280   860920     860920    0       0          720020       0   140900
BMC SOFTWARE INC                 COM        055921100  1412457480 26156620   26156620    0       0        25794578       0   362042
BOISE CASCADE OFFICE PRODS       COM        097403109     4076193   346910     346910    0       0          346910       0        0
BORON LEPORE & ASSOCS INC        COM        10001P102     9178833  1095980    1095980    0       0          813080       0   282900
BOSTON BEER INC                  CL A       100557107      806200   100000     100000    0       0          100000       0        0
BOSTON PROPERTIES INC            COM        101121101     4654064   129730     129730    0       0          129730       0        0
BOSTON SCIENTIFIC CORP           COM        101137107   105273272  2396005    2396005    0       0         2396005       0        0
BOWATER INC                      COM        102183100   116575473  2460696    2460696    0       0         2450496       0    10200
BP AMOCO P L C                   SPONSORED
                                 ADR        055622104   827182517  7623802    7623802    0       0         7608833       0    14969
BRIDGESTREET ACCOMODATIONS INC   COM        108452103      124531    37600      37600    0       0           37600       0        0
BRIGHT HORIZON FAMILY SOLUTION   COM        109195107     7558796   400466     400466    0       0          326566       0    73900
BRINKER INTL INC                 COM        109641100      220275     8010       8010    0       0            8010       0        0
BRISTOL MYERS SQUIBB CO          COM        110122108   672124787  9542212    9542212    0       0         9423567       0   118645
BROOKS AUTOMATION INC            COM        11434A100     3639217   134477     134477    0       0          134477       0        0
                                            -          ----------
                                          PAGE  TOTAL  3396188869
</TABLE>
<PAGE>
<TABLE>
                                          MFS 13F REPORT
DATE: 990630                                                                                             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>
BROWNING FERRIS INDS             COM        115885105     4753650   110550     110550    0       0          110550       0        0
BUDGET GROUP INC                 CL A       119003101     3726842   302700     302700    0       0          302700       0        0
BUFFETS INC                      COM        119882108    57316678  4984059    4984059    0       0         4539368       0   444691
BUILDING ONE SVCS CORP           COM        120114103    13302656   958750     958750    0       0          958750       0        0
BURLINGTON NORTHN SANTA FE CP    COM        12189T104    30710522   990662     990662    0       0          990662       0        0
BURLINGTON RES INC               COM        122014103    43844687  1013750    1013750    0       0         1013750       0        0
BURR BROWN CORP                  COM        122574106    81080535  2213803    2213803    0       0         1937653       0   276150
BUSINESS OBJECTS S A             SPONSORED
                                 ADR        12328X107      264990     7260       7260    0       0            7260       0        0
CABLE DESIGN TECHNOLOGIES CORP   COM        126924109    50258951  3255746    3255746    0       0         2755196       0   500550
CABLEVISION SYS CORP             CL A       12686C109    17370500   248150     248150    0       0          248150       0        0
CADENCE DESIGN SYSTEM INC        COM        127387108   365161157 28923656   28923656    0       0        28070028       0   853628
CAL DIVE INTL INC                COM        127914109      266485     8920       8920    0       0            8920       0        0
CALIBER LEARNING NETWORK INC     COM        129914107     2618504   551264     551264    0       0          432564       0   118700
CALLAWAY GOLF CO                 COM        131193104      269978    18460      18460    0       0           18460       0        0
CALPINE CORP                     COM        131347106    13778100   255150     255150    0       0          255150       0        0
CAMBREX CORP                     COM        132011107    28152941  1072493    1072493    0       0         1063293       0     9200
CAMBRIDGE TECH PARTNERS MASS     COM        132524109    42982995  2447500    2447500    0       0         2447500       0        0
CAMDEN PPTY TR                   SH BEN
                                 INT        133131102     6743250   243000     243000    0       0          243000       0        0
CANADIAN NATL RY CO              COM        136375102   201851235  3012705    3012705    0       0         2932046       0    80659
CANDLEWOOD HOTEL COMPANY INC     COM        13741M108      768750   205000     205000    0       0          205000       0        0
CANON INC                        ADR        138006309      332316    11410      11410    0       0           11410       0        0
                                            -           ---------
                                           PAGE  TOTAL  965555724
</TABLE>
<PAGE>
<TABLE>
                                          MFS 13F REPORT
DATE: 990630                                                                                             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>
CAPITAL ONE FINL CORP            COM        14040H105     2004732    36000      36000    0       0           36000       0        0
CAPITAL SR LIVING CORP           COM        140475104     5470000   547000     547000    0       0          547000       0        0
CARDINAL HEALTH INC              COM        14149Y108   277457461  4326822    4326822    0       0         4312022       0    14800
CAREMATRIX CORP                  COM        141706101     4440009   357000     357000    0       0          357000       0        0
CAREY INTERNATIONAL INC          COM        141750109     1851800    75200      75200    0       0           75200       0        0
CARNIVAL CORP                    COM        143658102   161077715  3321190    3321190    0       0         3308660       0    12530
CAROLINA PWR & LT CO             COM        144141108    61127487  1427812    1427812    0       0         1427812       0        0
CARRAMERICA RLTY CORP            COM        144418100    16500225   660009     660009    0       0          660009       0        0
CARSON INC                       CL A       145845103      903348   272750     272750    0       0          272750       0        0
CASE CORP                        COM        14743R103     7213938   149900     149900    0       0          149900       0        0
CASELLA WASTE SYS INC            CL A       147448104     1591200    61200      61200    0       0           61200       0        0
CATALINA MARKETING CORP          COM        148867104    14438664   156942     156942    0       0          117042       0    39900
CATERPILLAR INC DEL              COM        149123101     9246300   154105     154105    0       0          154105       0        0
CAVANAUGHS HOSPITALITY CORP      COM        149564106      172115    20400      20400    0       0           20400       0        0
CBS CORP                         COM        12490K107   289665127  6649491    6649491    0       0         6636791       0    12700
CBT GROUP PUB LTD                SPNSRD
                                 ADR NEW    124853300    52364598  3173612    3173612    0       0         3107412       0    66200
CEC ENTMT INC                    COM        125137109    45993561  1088605    1088605    0       0         1088605       0        0
CENDANT CORP                     COM        151313103  1027388885 50116531   50116531    0       0        50116531       0        0
CENTENNIAL CELLULAR CORP         CL A NEW   15133V208      225578     6332       6332    0       0            6332       0        0
CENTRAL PKG CORP                 COM        154785109     7829550   228600     228600    0       0          228600       0        0
CENTURY COMMUNICATIONS CORP      CL A       156503104     4204400    91400      91400    0       0           91400       0        0
                                          -            ----------
                                          PAGE  TOTAL  1991166693
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
CENTURYTEL INC                   COM        156700106   120900778  3041529    3041529    0       0          3041529      0        0
CERIDIAN CORP                    COM        15677T106    64580948  1975738    1975738    0       0          1805638      0   170100
CHAMPION INTL CORP               COM        158525105    40802187   852265     852265    0       0           852265      0        0
CHANCELLOR MEDIA CORP            COM        158915108    17667562   320500     320500    0       0           320500      0        0
CHASE MANHATTAN CORP NEW         COM        16161A108    89640296  1036304    1036304    0       0          1026804      0     9500
CHECKFREE HLDGS CORP             COM        162816102     7757766   281466     281466    0       0           221066      0    60400
CHEVRON CORPORATION              COM        166751107   135639405  1426852    1426852    0       0          1404575      0    22277
CHINA TELECOM HONG KONG LTD      SPONSORED
                                 ADR        169428109      205200     3600       3600    0       0             3600      0        0
CHS ELECTRONICS INC              COM NEW    12542A206     3068844   701450     701450    0       0           701450      0        0
CHUBB CORP                       COM        171232101   133241995  1917151    1917151    0       0          1911331      0     5820
CIGNA CORP                       COM        125509109   714540683  8028547    8028547    0       0          7912575      0   115972
CINCINNATI BELL INC              COM        171870108    50993247  2044883    2044883    0       0          2044883      0        0
CINERGY CORP                     COM        172474108      825600    25800      25800    0       0            25800      0        0
CIRCUIT CITY STORE INC           CIRCT
                                 CITY GRP   172737108    55867890   600730     600730    0       0           600730      0        0
CISCO SYS INC                    COM        17275R102  2591394977 40215947   40215947    0       0         40169023      0    46924
CIT GROUP INC                    CL A       125577106    57319965  1985107    1985107    0       0          1971507      0    13600
CITADEL COMMUNICATIONS CORP      COM        172853202     4802015   132700     132700    0       0           132700      0        0
CITATION CORP ALA                COM        172895104     7276086   453000     453000    0       0           453000      0        0
CITIGROUP INC                    COM        172967101   669316753 14090879   14090879    0       0         14001596      0    89283
CITRIX SYS INC                   COM        177376100    46757027   827558     827558    0       0           753558      0    74000
CKE RESTAURANTS INC              COM        12561E105     2142644   131855     131855    0       0           131655      0      200
                                            -          ----------
                                          PAGE  TOTAL  4814741866
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
CLARIFY INC                      COM        180492100    18493159   448319     448319    0       0           344119      0   104200
CLEAR CHANNEL COMMUNICATIONS     COM        184502102   537801596  7801349    7801349    0       0          7715393      0    85956
CLOROX CO DEL                    COM        189054109   248269754  2324362    2324362    0       0          2286808      0    37554
CMS ENERGY CORP                  COM        125896100   193598845  4623256    4623256    0       0          4546728      0    76528
CMS ENERGY CORP                  COM CL G   125896209     7010050   298300     298300    0       0           298300      0        0
COACH USA INC                    COM        18975L106    15765376   375930     375930    0       0           375930      0        0
COAST DENTAL SVCS INC            COM        19034H102      307467    65600      65600    0       0            65600      0        0
COASTAL CORP                     COM        190441105   215100387  5344109    5344109    0       0          5339129      0     4980
COCA COLA BOTTLING CO CONS       COM        191098102      927136    16556      16556    0       0            16556      0        0
COCA COLA CO                     COM        191216100   160067508  2581734    2581734    0       0          2553694      0    28040
COCA COLA ENTERPRISES INC        COM        191219104     3067225   103100     103100    0       0           103100      0        0
COCA-COLA FEMSA S A DE C V       SPON ADR
                                 REP L      191241108      240250    12400      12400    0       0            12400      0        0
COGNEX CORP                      COM        192422103     6375524   202000     202000    0       0           202000      0        0
COLDWATER CREEK INC              COM        193068103     4345848   222864     222864    0       0           222864      0        0
COLE NATIONAL CORP NEW           CL A       193290103      373833    47100      47100    0       0            47100      0        0
COLGATE PALMOLIVE CO             COM        194162103   279082118  2833321    2833321    0       0          2804613      0    28708
COLONIAL GAS CO                  COM        195674106      948791    25643      25643    0       0            25643      0        0
COLT TELECOM GROUP PLC           SPONSORED
                                 ADR        196877104    34067164   394410     394410    0       0           394410      0        0
COLUMBIA ENERGY GROUP            COM        197648108   316393764  5047199    5047199    0       0          4994569      0    52630
COLUMBIA/HCA HEALTHCARE CORP     COM        197677107    17302788   758495     758495    0       0           758495      0        0
COMCAST CORP                     CL A SPL   200300200   303991007  7908812    7908812    0       0          7899312      0     9500
                                            -          ----------
                                          PAGE  TOTAL  2363529590
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
COMERICA INC                     COM        200340107    40027788   673449     673449    0       0          668029       0     5420
COMMAND SYS INC                  COM        200903102       75075    42900      42900    0       0           42900       0        0
COMMNET CELLULAR INC             COM        202604203      326550    12440      12440    0       0           12440       0        0
COMMONWEALTH TEL ENTERPRISES     COM        203349105     1420673    35133      35133    0       0           35133       0        0
COMMSCOPE INC                    COM        203372107     1335626    43435      43435    0       0           43435       0        0
COMPANIA ANONIMA NACIONL TEL     SPN ADR
                                 7D SHS     204421101     1147225    42100      42100    0       0           42100       0        0
COMPANIA CERVECERIAS UNIDAS SA   SPONSORED
                                 ADR        204429104      357813    12500      12500    0       0           12500       0        0
COMPANIA DE TELECOMUNICS CHILE   SPNSRD     204449300     1270665    51340      51340    0       0           51340       0        0
                                 ADR NEW    204449300     1270665    51340      51340    0       0           51340       0        0
COMPAQ COMPUTER CORP             COM        204493100     4621334   195100     195100    0       0          195100       0        0
COMPASS INTL SERVICES            COM        20450K108     1925000   275000     275000    0       0          275000       0        0
COMPLETE BUSINESS SOLUTIONS      COM        20452F107    40374680  2250916    2250916    0       0         1876516       0   374400
COMPUSA INC                      COM        204932107    36940003  4967057    4967057    0       0         4712957       0   254100
COMPUTER ASSOC INTL INC          COM        204912109  1192358476 21778237   21778237    0       0        21501597       0   276640
COMPUTER HORIZONS CORP           COM        205908106     5692809   412164     412164    0       0          297264       0   114900
COMPUTER SCIENCES CORP           COM        205363104   281526746  4069070    4069070    0       0         4022490       0    46580
COMPUWARE CORP                   COM        205638109   972181337 30560208   30560208    0       0        30450308       0   109900
CONCENTRA MANAGED CARE INC       COM        20589T103    86384295  5832048    5832048    0       0         4804496       0  1027552
CONCORD EFS INC                  COM        206197105    78600887  1857650    1857650    0       0         1857650       0        0
CONEXANT SYSTEMS INC             COM        207142100      461303     7945       7945    0       0            7945       0        0
CONNECTICUT ENERGY CORP          COM        207567108     5820240   150932     150932    0       0          150932       0        0
CONNING CORP                     COM        208215103     5317000   327200     327200    0       0          246200       0    81000
                                            -          ----------
                                          PAGE  TOTAL  2758165524
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
CONOCO INC                       CL A       208251306   141020210  5059021    5059021    0       0          4940821      0   118200
CONSECO INC                      COM        208464107    59337723  1949526    1949526    0       0          1938844      0    10682
CONSOL ENERGY INC                COM        20854P109    14597652  1216471    1216471    0       0          1203671      0    12800
CONSOLIDATED GRAPHICS INC        COM        209341106     7275000   145500     145500    0       0           145500      0        0
CONSOLIDATED NAT GAS CO          COM        209615103    21894300   360400     360400    0       0           360400      0        0
CONSOLIDATED STORES CORP         COM        210149100    35475300  1313900    1313900    0       0          1313900      0        0
COOPER CAMERON CORP              COM        216640102    27310877   736897     736897    0       0           661997      0    74900
COOPER INDS INC                  COM        216669101    21426392   412046     412046    0       0           412046      0        0
COPART INC                       COM        217204106     3834138   180430     180430    0       0           180430      0        0
COPPER MTN NETWORKS INC          COM        217510106     1244498    16110      16110    0       0            15710      0      400
CORNELL CORRECTIONS INC          COM        219141108     3777223   229800     229800    0       0           229800      0        0
CORNING INC                      COM        219350105    16150489   230310     230310    0       0           230310      0        0
CORPORATE EXPRESS INC            COM        219888104    28494200  4070600    4070600    0       0          4070600      0        0
COST PLUS INC CALIF              COM        221485105      286650     6300       6300    0       0             6300      0        0
COTELLIGENT INC                  COM        221630106     4820004   617000     617000    0       0           617000      0        0
COVAD COMMUNICATIONS GROUP INC   COM        222814204    17971848   337107     337107    0       0           337107      0        0
COX COMMUNICATIONS INC NEW       CL A       224044107    12486630   339200     339200    0       0           339200      0        0
COX RADIO INC                    CL A       224051102    59080203  1089036    1089036    0       0          1089036      0        0
CREDENCE SYS CORP                COM        225302108    22893874   616670     616670    0       0           496705      0   119965
CREDICORP LTD                    COM        G2519Y108      750673    68243      68243    0       0            68243      0        0
CSG SYS INTL INC                 COM        126349109     2606602    99538      99538    0       0            85838      0    13700
                                            -           ---------
                                           PAGE  TOTAL  502734484
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
CSK AUTO CORP                    COM        125965103    33992271  1258973    1258973    0       0          1057073      0   201900
CTG RES INC                      COM        125957100      971322    26703      26703    0       0            26703      0        0
CVS CORP                         COM        126650100   759790227 14971236   14971236    0       0         14794628      0   176608
CYMER INC                        COM        232572107     4412500   176500     176500    0       0           176500      0        0
CYPRUS AMAX MINERALS CO          COM        232809103      293486    19245      19245    0       0            19245      0        0
CYTOCLONAL PHARMACAUTICALS INC   COM        23282G105      761353   120620     120620    0       0            97420      0    23200
CYTYC CORP                       COM        232946103    44802615  2297570    2297570    0       0          1999870      0   297700
DANA CORP                        COM        235811106     1585684    34425      34425    0       0            34425      0        0
DANAHER CORP DEL                 COM        235851102   248082150  4268080    4268080    0       0          4243010      0    25070
DANKA BUSINESS SYS PLC           SPONSORED
                                 ADR        236277109    25166813  4474100    4474100    0       0          4474100      0        0
DARLING INTL INC                 COM        237266101      129198    66700      66700    0       0            66700      0        0
DATA PROCESSING RES CORP         COM        237823109     5410125   229000     229000    0       0           229000      0        0
DAYTON HUDSON CORP               COM        239753106   313950195  4830003    4830003    0       0          4804035      0    25968
DEERE & CO                       COM        244199105     2227781    56850      56850    0       0            56850      0        0
DEL MONTE FOODS CO               COM        24522P103    44854674  2677891    2677891    0       0          2137191      0   540700
DELL COMPUTER CORP               COM        247025109    17020000   460000     460000    0       0           460000      0        0
DELPHI AUTOMOTIVE SYS CORP       COM        247126105    40347057  2180922    2180922    0       0          1967322      0   213600
DENDRITE INTL INC                COM        248239105    30031327   831317     831317    0       0           624087      0   207230
DEVON ENERGY CORP                COM        251799102    10876104   303700     303700    0       0           303700      0        0
DIAL CORP NEW                    COM        25247D101   126005212  3388421    3388421    0       0          3282341      0   106080
DIALOGIC CORP                    COM        252499108     1353412    30847      30847    0       0            30847      0        0
                                            -          ----------
                                          PAGE  TOTAL  1712063506
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
DIAMOND OFFSHORE DRILLING INC    COM        25271C102    22853509   805410     805410    0       0          763910       0    41500
DIAMOND TECHNOLOGY PARTNERS      CL A       252762109     5494853   245580     245580    0       0          245580       0        0
DII GROUP INC                    COM        232949107      355024     9515       9515    0       0            9515       0        0
DISNEY WALT CO                   COM        254687106   369901973 12005127   12005127    0       0        11713687       0   291440
DISPATCH MGMT SVCS CORP          COM        254927106      599584   215600     215600    0       0          215600       0        0
DISTRIBUCION Y SERVICIO D&S SA   SPONSORED
                                 ADR        254753106      674250    35960      35960    0       0           35960       0        0
DOLLAR THRIFTY AUTOMOTIVE GP     COM        256743105     9186075   395100     395100    0       0          395100       0        0
DOLLAR TREE STORES INC           COM        256747106     9020000   205000     205000    0       0          205000       0        0
DONALDSON LUFKIN & JENRETTE NW   COM DLJ    257661108     3519203    58410      58410    0       0           58410       0        0
DOW CHEM CO                      COM        260543103    43791921   345158     345158    0       0          345158       0        0
DQE INC                          COM        23329J104    26212699   653276     653276    0       0          653276       0        0
DRIL-QUIP INC                    COM        262037104     5714111   249122     249122    0       0          185922       0    63200
DSP COMMUNICATIONS INC           COM        23332K106    23529689   814881     814881    0       0          697081       0   117800
DST SYS INC DEL                  COM        233326107   307509050  4890800    4890800    0       0         4588362       0   302438
DU PONT E I DE NEMOURS & CO      COM        263534109    22612160   331013     331013    0       0          311953       0    19060
DUKE ENERGY CORP                 COM        264399106   204598688  3758449    3758449    0       0         3746649       0    11800
DUPONT PHOTOMASKS INC            COM        26613X101    11445093   239062     239062    0       0          178262       0    60800
DURA AUTOMOTIVE SYSTEMS CORP     CL A       265903104     1417115    42620      42620    0       0           42620       0        0
DYCOM INDS INC                   COM        267475101      560000    10000      10000    0       0           10000       0        0
DYNAMEX INC                      COM        26784F103      278875    97000      97000    0       0           97000       0        0
DYNEGY INC                       COM        26816L102     2358264   115743     115743    0       0          115743       0        0
                                           -           ----------
                                          PAGE  TOTAL  1071632135
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
E M C CORP MASS                  COM        268648102   229639960  4175272    4175272    0       0          4162472      0    12800
EASTERN ENTERPRISES              COM        27637F100    54030784  1359265    1359265    0       0          1359265      0        0
EASTMAN KODAK CO                 COM        277461109     3204711    47302      47302    0       0            47302      0        0
EATON CORP                       COM        278058102    28322844   307857     307857    0       0           307857      0        0
ECHOSTAR COMMUNICATIONS NEW      CL A       278762109      392338     2557       2557    0       0             2557      0        0
ECI TELECOM LTD                  ORD        268258100     1033543    31143      31143    0       0            31143      0        0
ECLIPSYS CORP                    COM        278856109     2594029   108369     108369    0       0           108369      0        0
EDIFY CORP                       COM        280599101    30542882  2283580    2283580    0       0          1976780      0   306800
EDUTREK INTL INC                 CL A       28164K108      410709    86465      86465    0       0            86465      0        0
EDWARDS AG INC                   COM        281760108    61931545  1920358    1920358    0       0          1770058      0   150300
EL PASO ELEC CO                  COM NEW    283677854     8991516  1006100    1006100    0       0          1006100      0        0
EL PASO ENERGY CAP TR I          PFD CV
                                 TR SECS    283678209    31871565   643870     643870    0       0           643870      0        0
EL PASO ENERGY CORP DEL          COM        283905107    38352986  1089976    1089976    0       0          1089976      0        0
ELAN PLC                         ADR        284131208    49105124  1769554    1769554    0       0          1769554      0        0
ELECTRO SCIENTIFIC INDS          COM        285229100      229712     5498       5498    0       0             5498      0        0
ELECTRONICS FOR IMAGING INC      COM        286082102      346935     6753       6753    0       0             6753      0        0
EMBOTELLADORA ANDINA S A         SPONS
                                 ADR A      29081P204      240000    12000      12000    0       0            12000      0        0
EMERSON ELEC CO                  COM        291011104   260475285  4138667    4138667    0       0          4121780      0    16887
EMMIS COMMUNICATIONS CORP        CL A       291525103      791975    16040      16040    0       0            16040      0        0
EMPLOYEE SOLUTIONS INC           COM        292166105      698193   588200     588200    0       0           588200      0        0
EMPRESA NACIONAL DE ELCTRCIDAD   SPONSORED
                                 ADR        29244T101      329568    27464      27464    0       0            27464      0        0
                                            -           ---------
                                           PAGE  TOTAL  803536203
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
ENERGEN CORP                     COM        29265N108     7397850   397200     397200    0       0           397200      0        0
ENERSIS S A                      SPONSORED
                                 ADR        29274F104      455213    19900      19900    0       0            19900      0        0
ENGELHARD CORP                   COM        292845104    49584792  2191593    2191593    0       0          2191593      0        0
ENRON CORP                       COM        293561106    11068950   135400     135400    0       0           135400      0        0
ENRON OIL & GAS CO               COM        293562104    18447750   911000     911000    0       0           911000      0        0
ENSCO INTL INC                   COM        26874Q100     8862595   444530     444530    0       0           444530      0        0
ENTERCOM COMMUNICATIONS CORP     CL A       293639100     2325130    54389      54389    0       0            51089      0     3300
ENZON INC                        COM        293904108      354782    17150      17150    0       0            17150      0        0
EQUANT N V                       NY REG
                                 SHS        294409107    77984519   825233     825233    0       0           810533      0    14700
EQUITABLE COS INC                COM        29444G107   327160263  4882989    4882989    0       0          4859648      0    23341
EQUITY RESIDENTIAL PPTYS TR      SH BEN
                                 INT        29476L107    20163397   447459     447459    0       0           447459      0        0
ERICSSON L M TEL CO              ADR CL B
                                 SEK10      294821400   270187547  8203162    8203162    0       0          8197612      0     5550
ETEC SYS INC                     COM        26922C103    29137873   876327     876327    0       0           695227      0   181100
EXCHANGE APPLICATIONS            COM        300867108    11098711   272361     272361    0       0           272361      0        0
EXECUTIVE RISK INC               COM        301586103    19206829   225798     225798    0       0           168898      0    56900
EXODUS COMMUNICATIONS INC        COM        302088109     1799055    15000      15000    0       0            15000      0        0
EXTENDED STAY AMER INC           COM        30224P101     4844064   403672     403672    0       0           403672      0        0
EXXON CORP                       COM        302290101   317065888  4111065    4111065    0       0          4041287      0    69778
F Y I INC                        COM        302712104    12719425   405400     405400    0       0           405400      0        0
FAIR ISAAC & CO INC              COM        303250104    12686624   361834     361834    0       0           264034      0    97800
FALL RIVER GAS CO                COM        306279100      491340    25860      25860    0       0            25860      0        0
                                            -          ----------
                                          PAGE  TOTAL  1203042595
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
FEDERAL HOME LN MTG CORP         COM        313400301   271569920  4682240    4682240    0       0          4634697      0    47543
FEDERAL MOGUL CORP               COM        313549107   245710504  4725202    4725202    0       0          4684222      0    40980
FEDERAL NATL MTG ASSN            COM        313586109     6344657    92962      92962    0       0            92962      0        0
FEDERAL REALTY INVT TR           SH BEN
                                 INT NEW    313747206     5023203   219000     219000    0       0           219000      0        0
FEDERATED DEPT STORES INC DEL    COM        31410H101    12658295   239120     239120    0       0           186120      0    53000
FEDERATED INVS INC PA            CL B       314211103    18997400  1059118    1059118    0       0           848118      0   211000
FERRO CORP                       COM        315405100     1181538    42965      42965    0       0            42965      0        0
FINANCIAL FED CORP               COM        317492106    21282140   967370     967370    0       0           881170      0    86200
FINET COM INC                    COM PAR
                                 $0.01      317922300      202457    36400      36400    0       0            36400      0        0
FINOVA FIN TR                    TOPRS
                                 CV 9.16%   31808E207     4685057    67230      67230    0       0            67230      0        0
FINOVA GROUP INC                 COM        317928109    90080844  1711750    1711750    0       0          1711750      0        0
FIRST DATA CORP                  COM        319963104   589609076 12048329   12048329    0       0         12020195      0    28134
FIRST INDUSTRIAL REALTY TRUST    COM        32054K103     6623319   241401     241401    0       0           241401      0        0
FIRST TENN NATL CORP             COM        337162101      230255     6010       6010    0       0             6010      0        0
FIRSTENERGY CORP                 COM        337932107   103912620  3352020    3352020    0       0          3336280      0    15740
FISERV INC                       COM        337738108    55863645  1784097    1784097    0       0          1592922      0   191175
FLANDERS CORP                    COM        338494107      409500   117000     117000    0       0           117000      0        0
FLEET FINL GROUP INC NEW         COM        338915101    24058528   542164     542164    0       0           536944      0     5220
FLEXTRONICS INTL LTD             ORD        Y2573F102     6840486   123252     123252    0       0           123252      0        0
FLORIDA PROGRESS CORP            COM        341109106    13112594   317404     317404    0       0           317404      0        0
FOMENTO ECONOMICO MEXICANO SA    SPND ADR
                                 FEMSA      344419106     1345183    33735      33735    0       0            33735      0        0
                                            -          ----------
                                          PAGE  TOTAL  1479741220
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
FORD MTR CO DEL                  COM        345370100   107158456  1898727    1898727    0       0          1880408      0    18319
FORRESTER RESH INC               COM        346563109      250000    10000      10000    0       0            10000      0        0
FORTUNE BRANDS INC               COM        349631101    45070946  1089328    1089328    0       0          1089328      0        0
FOUNDATION HEALTH SYS INC        COM        350404109    16507635  1100509    1100509    0       0          1100509      0        0
FOUR SEASONS HOTEL INC           LTD VTG
                                 SH         35100E104    18806983   426830     426830    0       0           351030      0    75800
FOX ENTMT GROUP INC              CL A       35138T107     4921605   182708     182708    0       0           182708      0        0
FPL GROUP INC                    COM        302571104     5462500   100000     100000    0       0           100000      0        0
FRANKLIN COVEY CO                COM        353469109     1949249   264305     264305    0       0           186605      0    77700
FRANKLIN RES INC                 COM        354613101    62527806  1539146    1539146    0       0          1539146      0        0
FRIEDMANS INC                    CL A       358438109     1129310   130000     130000    0       0           130000      0        0
FRIENDLY ICE CREAM CORP NEW      COM        358497105     2840000   355000     355000    0       0           355000      0        0
FRONTIER CORPORATION             COM        35906P105   338227675  5769342    5769342    0       0          5721842      0    47500
FRONTIER INS GROUP INC NEW       COM        359081106     1522125    99000      99000    0       0            99000      0        0
GALILEO INTERNATIONAL INC        COM        363547100   303707907  5683476    5683476    0       0          5281126      0   402350
GALILEO TECHNOLOGY LTD           ORD        M47298100     6054816   133625     133625    0       0           133625      0        0
GAMETECH INTERNATIONAL INC       COM        36466D102     2683750   565000     565000    0       0           565000      0        0
GANNETT INC                      COM        364730101   233237298  3267773    3267773    0       0          3250200      0    17573
GAP INC DEL                      COM        364760108    14943744   296650     296650    0       0           296650      0        0
GARTNER GROUP INC NEW            COM        366651107    11585677   565155     565155    0       0           427255      0   137900
GASONICS INTL CORP               COM        367278108     6716108   479722     479722    0       0           479722      0        0
GAYLORD CONTAINER CORP           CL A       368145108     4401654   554574     554574    0       0           554574      0        0
                                            -          ----------
                                          PAGE  TOTAL  1189705245
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
GEMSTAR INTL GROUP LTD           ORD        G3788V106   283695777  4347828    4347828    0       0          3638708      0   709120
GENERAL DYNAMICS CORP            COM        369550108   104425864  1516165    1516165    0       0          1484340      0    31825
GENERAL ELEC CO                  COM        369604103   473148628  4187156    4187156    0       0          4122934      0    64222
GENERAL INSTR CORP DEL           COM        370120107    52260253  1229653    1229653    0       0          1229653      0        0
GENERAL MLS INC                  COM        370334104    47356307   589192     589192    0       0           589192      0        0
GENERAL MTRS CORP                COM        370442105      262020     3970       3970    0       0             3970      0        0
GENERAL MTRS CORP                CL H NEW   370442832     6385781   113400     113400    0       0           113400      0        0
GENERAL NUTRITION COS INC        COM        37047F103    37847918  1623538    1623538    0       0          1623538      0        0
GENESIS HEALTH VENTURES INC      COM        371912106      742779   247593     247593    0       0           247593      0        0
GENTEX CORP                      COM        371901109      303352    10834      10834    0       0            10834      0        0
GEORGIA PAC CORP                 COM GA
                                 PAC GRP    373298108     3529438    74500      74500    0       0            74500      0        0
GILLETTE CO                      COM        375766102   335189391  8175351    8175351    0       0          8125357      0    49994
GLENAYRE TECHNOLOGIES INC        COM        377899109     5103480  1420000    1420000    0       0          1420000      0        0
GLOBAL INDS LTD                  COM        379336100    42150429  3289918    3289918    0       0          2510018      0   779900
GLOBAL MARINE INC                COM        379352404     3530900   227800     227800    0       0           227800      0        0
GLOBAL TELESYSTEMS GROUP         COM        37936U104   231381441  2856561    2856561    0       0          2850361      0     6200
GOLDMAN SACHS GROUP INC          COM        38141G104    34971529   484035     484035    0       0           482035      0     2000
GPU INC                          COM        36225X100   106341235  2520711    2520711    0       0           2482891     0    37820
GREAT ATLANTIC & PAC TEA INC     COM        390064103     4738414   140140     140140    0       0           114540      0    25600
GRUPO TELEVISA SA DE CV          SPN ADR
                                 REPORD     40049J206     6171733   137725     137725    0       0           137725      0        0
GTE CORP                         COM        362320103   253568789  3358527    3358527    0       0          3358527      0        0
                                            -           ---------
                                           PAGE  TOTAL 2033105456
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
GTECH HLDGS CORP                 COM        400518106      953083    40450      40450    0       0            40450      0        0
GUANGSHEN RY LTD                 SPONSORED
                                 ARD        40065W107      322538    42300      42300    0       0            42300      0        0
GUCCI GROUP N V                  COM NY
                                 REG        401566104    36750000   525000     525000    0       0           525000      0        0
GUIDANT CORP                     COM        401698105   509741455  9970493    9970493    0       0          9920111      0    50382
GULF CDA RES LTD                 ORD        40218L305      445916   106500     106500    0       0           106500      0        0
GULF INDONESIA RES LTD           COM        402284103      184000    16000      16000    0       0            16000      0        0
GULFSTREAM AEROSPACE CORP        COM        402734107   216457568  3203836    3203836    0       0          3187536      0    16300
GYMBOREE CORP                    COM        403777105    27016395  2572990    2572990    0       0          2128595      0   444395
HAEMONETICS CORP                 COM        405024100    17071618   850943     850943    0       0           698743      0   152200
HAGLER BAILLY INC                COM        405183104      738000    72000      72000    0       0            72000      0        0
HALL KINION ASSOCIATES INC       COM        406069104      109200    15600      15600    0       0            15600      0        0
HALLIBURTON CO                   COM        406216101    91377624  2019395    2019395    0       0          2019395      0        0
HAMBRECHT & QUIST GROUP INC      COM        406545103      255913     6940       6940    0       0             6940      0        0
HAMMONS JOHN Q HOTELS INC        CL A       408623106      703416   168000     168000    0       0           168000      0        0
HARBINGER CORP                   COM        41145C103    13684138  1094731    1094731    0       0           812431      0   282300
HARLEY DAVIDSON INC              COM        412822108     5067750    93200      93200    0       0            93200      0        0
HARMONIC INC                     COM        413160102      345426     6014       6014    0       0             6014      0        0
HARRAHS ENTMT INC                COM        413619107   124313921  5634753    5634753    0       0          5634753      0        0
HARTE-HANKS INC                  COM        416196103    12182705   449132     449132    0       0           337732      0   111400
HARTFORD FINL SVCS GROUP INC     COM        416515104   593572543 10179252   10179252    0       0          9975435      0   203817
HARTFORD LIFE INC                CL A       416592103     5357225   101800     101800    0       0           101800      0        0
                                            -          ----------
                                          PAGE  TOTAL  1656650432
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
HAYES LEMMERZ INTL INC           COM        420781106      264375     9000       9000    0       0             9000      0        0
HCIA INC                         COM        403908106    11435204  1279535    1279535    0       0          1096635      0   182900
HEALTH MGMT ASSOC INC NEW        CL A       421933102    52199640  4639968    4639968    0       0          4409368      0   230600
HEALTHCARE FINANCIAL PARTNERS    COM        42219W108     7956275   232300     232300    0       0           232300      0        0
HEALTHSOUTH CORP                 COM        421924101   290255488 19512974   19512974    0       0         19436670      0    76304
HEARST-ARGYLE TELEVISION INC     COM        422317107    60177384  2507391    2507391    0       0          2305791      0   201600
HEINZ H J CO                     COM        423074103     1956379    39030      39030    0       0            18340      0    20690
HELIX TECHNOLOGY CORP            COM        423319102     3322456   138800     138800    0       0           138800      0        0
HELLER FINANCIAL INC             CL A       423328103     4591761   165100     165100    0       0           165100      0        0
HERSHEY FOODS CORP               COM        427866108    45143941   760319     760319    0       0           745599      0    14720
HEWLETT PACKARD CO               COM        428236103   324141746  3225291    3225291    0       0          3207867      0    17424
HIGHWOODS PPTYS INC              COM        431284108     2813253   102535     102535    0       0           102535      0        0
HILFIGER TOMMY CORP              ORD        G8915Z102      249636     3408       3408    0       0             3408      0        0
HILTON HOTELS CORP               COM        432848109     4085856   288000     288000    0       0           288000      0        0
HISPANIC BROADCASTING CORP       CL A       43357B104    22173558   292238     292238    0       0           254138      0    38100
HITACHI LIMITED                  ADR 10
                                 COM        433578507      316364     3350       3350    0       0             3350      0        0
HOLOGIC INC                      COM        436440101     5249092   933172     933172    0       0           687872      0   245300
HOME DEPOT INC                   COM        437076102   213430422  3312234    3312234    0       0          3291794      0    20440
HONEYWELL INC                    COM        438506107   214216954  1848690    1848690    0       0          1839220      0     9470
HONG KONG TELECOMMUNICATIONS     SPONSORED
                                 ADR        438579203     2952295   109600     109600    0       0           109600      0        0
HOSPITALITY PPTYS TR             COM SH
                                 BEN INT    44106M102      217000     8000       8000    0       0            8000       0        0
                                            -         ----------
                                          PAGE TOTAL  1267149079
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
HOUSEHOLD INTL INC               COM        441815107     3036311    64091      64091    0       0            55700      0     8391
HOUSTON EXPL CO                  COM        442120101     4219164   222800     222800    0       0           177000      0    45800
HUANENG PWR INTL INC             SPONSR
                                 ADR N      443304100      299688    17500      17500    0       0            17500      0        0
HUB GROUP INC                    CL A       443320106      493614    22000      22000    0       0            22000      0        0
HUBBELL INC                      CL B       443510201     2459325    54200      54200    0       0            54200      0        0
HYPERCOM CORP                    COM        44913M105     3023504   316200     316200    0       0           316200      0        0
HYPERION SOLUTIONS CORP          COM        44914M104    24445723  1372430    1372430    0       0          1022030      0   350400
HYPERION TELECOMMUNICATIONS      CL A       44914K306    19961601  1061110    1061110    0       0           914510      0   146600
ICT GROUP INC                    COM        44929Y101     1390000   278000     278000    0       0           278000      0        0
IDEXX LABS INC                   COM        45168D104   118166057  5068894    5068894    0       0          3962694      0  1106200
IDX SYS CORP                     COM        449491109    35772547  1585522    1585522    0       0          1185982      0   399540
IHOP CORP                        COM        449623107    17286381   718410     718410    0       0           718410      0        0
IKON OFFICE SOLUTIONS INC        COM        451713101    40621500  2708100    2708100    0       0          2708100      0        0
ILLINOIS TOOL WKS INC            COM        452308109   164323631  2010075    2010075    0       0          2003326      0     6749
ILLINOVA CORP                    COM        452317100     6540000   240000     240000    0       0           240000      0        0
IMPATH INC                       COM        45255G101    13832127   512301     512301    0       0           403401      0   108900
IMRGLOBAL CORPORATION            COM        45321W106    66790666  3469645    3469645    0       0          2996545      0   473100
IMS HEALTH INC                   COM        449934108     5522594   176723     176723    0       0           124261      0    52462
INFINITY BROADCASTING CP NEW     CL A       45662S102   332933748 11262220   11262220    0       0         11239420      0    22800
INFORMATICA CORP                 COM        45666Q102      420553    11805      11805    0       0            11605      0      200
INFOSYS TECHNOLOGIES LTD         SPONSORED
                                 ADR        456788108      474440     8180       8180    0       0             8180      0        0
                                            -           ---------
                                           PAGE  TOTAL  862013175
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
INFOUSA INC NEW                  CL B       456818103     4478412   526872     526872    0       0          391672       0   135200
INFOUSA INC NEW                  CL A       456818202     9090592  1024292    1024292    0       0          762192       0   262100
ING GROEP N V                    SPONSORED
                                 ADR        456837103     1650770    30014      30014    0       0           30014       0        0
INGLES MKTS INC                  CL A       457030104     1346575    88300      88300    0       0            88300      0        0
INGRAM MICRO INC                 CL A       457153104     2392175    92900      92900    0       0            92900      0        0
INKTOMI CORP                     COM        457277101    13731887   104425     104425    0       0           104425      0        0
INPUT/OUTPUT INC                 COM        457652105    11766805  1556044    1556044    0       0          1235044      0   321000
INSIGHT ENTERPRISES INC          COM        45765U103    16579579   669882     669882    0       0           669882      0        0
INSPIRE INS SOLUTIONS INC        COM        457732105     1059805    73090      73090    0       0            73090      0        0
INTEGRATED HEALTH SVCS INC       COM        45812C106     9089600  1136200    1136200    0       0          1136200      0        0
INTEL CORP                       COM        458140100   199175238  3347483    3347483    0       0          3346468      0     1015
INTELLIGROUP INC                 COM        45816A106      668674    93849      93849    0       0            66443      0    27406
INTELLIQUEST INFORMATION GROUP   COM        45816H101      403500    53800      53800    0       0            53800      0        0
INTERIM SVCS INC                 COM        45868P100    47563911  2306129    2306129    0       0          2012701      0   293428
INTERMEDIA COMMUNICATIONS INC    COM        458801107   175105920  5836864    5836864    0       0          5085754      0   751110
INTERNATIONAL BUSINESS MACHS     COM        459200101   228614427  1768777    1768777    0       0          1724576      0    44201
INTERNATIONAL FLAVORS&FRAGRANC   COM        459506101    20442884   464611     464611    0       0           464611      0        0
INTERNATIONAL HOME FOODS INC     COM        459655106     1552395    84200      84200    0       0            84200      0        0
INTERNATIONAL NETWORK SVCS       COM        460053101     6105104   151210     151210    0       0           151210      0        0
INTERNATIONAL SPEEDWAY CORP      CL A       460335201      228570     4812       4812    0       0             4812      0        0
INTERNATIONAL TELECOMMUN DATA    COM        46047F104     5528720   345545     345545    0       0           296345      0    49200
                                            -           ---------
                                           PAGE  TOTAL  756575544
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
INTERNET COMM CORP               CL A       46059F109     1106885    85145      85145    0       0            85145      0        0
INTERPUBLIC GROUP COS INC        COM        460690100    73035270   843120     843120    0       0           843120      0        0
INTERSTATE BAKERIES CORP DEL     COM        46072H108    28245311  1258872    1258872    0       0          1250242      0     8630
INTIMATE BRANDS INC              CL A       461156101      746156    15750      15750    0       0            15750      0        0
INTL PAPER CO                    COM        460146103    79289575  1577902    1577902    0       0          1574232      0     3670
INTUIT                           COM        461202103    29045845   322284     322284    0       0           284784      0    37500
ITC DELTACOM INC                 COM        45031T104      364840    13030      13030    0       0            13030      0        0
ITEQ INC                         COM        450430103      628200   300000     300000    0       0           300000      0        0
ITT EDUCATIONAL SERVICES INC     COM        45068B109     3293794   126383     126383    0       0           126383      0        0
IVEX PACKAGING CORP DEL          COM        465855104     6133886   278813     278813    0       0           278813      0        0
IXC COMMUNICATIONS INC           COM        450713102     6683040   170000     170000    0       0           170000      0        0
JABIL CIRCUIT INC                COM        466313103      293313     6500       6500    0       0             6500      0        0
JDA SOFTWARE GROUP INC           COM        46612K108    10028484  1076942    1076942    0       0           817942      0   259000
JEFFERSON PILOT CORP             COM        475070108    44913373   678583     678583    0       0           678583      0        0
JEFFERSON SMURFIT GROUP PLC      SPONSORED
                                 ADR        47508W107     9810958   416389     416389    0       0           416389      0        0
JLK DIRECT DISTRIBUTION INC      CL A       46621C105      158304    17000      17000    0       0            17000      0        0
JOHNSON & JOHNSON                COM        478160104   230788922  2354989    2354989    0       0          2302953      0    52036
JONES APPAREL GROUP INC          COM        480074103     1422919    41470      41470    0       0            41470      0        0
JPM CO                           COM        465933109     1950000   150000     150000    0       0           150000      0        0
KANSAS CITY SOUTHN INDS INC      COM        485170104   169173269  2651120    2651120    0       0          2651120      0        0
KEANE INC                        COM        486665102    11517256   509050     509050    0       0           496650      0    12400
                                            -           ---------
                                           PAGE  TOTAL  708629600
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
KEEBLER FOODS CO                 COM        487256109    28149487   922934     922934    0       0          866234       0    56700
KILROY RLTY CORP                 COM        49427F108    19229828   788916     788916    0       0          706416       0    82500
KIMBERLY CLARK CORP              COM        494368103    38792889   680577     680577    0       0          638377       0    42200
KING PHARMACEUTICALS INC         COM        495582108      483216    18675      18675    0       0           18675       0        0
KLA-TENCORP CORP                 COM        482480100    33540375   517000     517000    0       0          463200       0    53800
KN ENERGY INC                    COM        482620101     9463481   707550     707550    0       0          707550       0        0
KONINKLIJKE AHOLD N V            SPNSRD
                                 ADR NEW    500467303     7440428   214886     214886    0       0          214886       0        0
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD
                                 ADR NEW    500472204    22760527   225631     225631    0       0          225631       0        0
KOOR INDS LTD                    SPONSORED
                                 ADR        500507108      462825    19800      19800    0       0           19800       0        0
KOREA ELECTRIC PWR               SPONSORED
                                 ADR        500631106     2670986   130292     130292    0       0          130292       0        0
KOREA TELECOM                    SPONSORED
                                 ADR        50063P103     8974600   224365     224365    0       0          224365       0        0
KROGER CO                        COM        501044101   746014450 26703456   26703456    0       0        26222450       0   481006
KULICKE & SOFFA INDS INC         COM        501242101    81140405  3026272    3026272    0       0         2570372       0   455900
L-3 COMMUNICATIONS HLDGS INC     COM        502424104      489884    10140      10140    0       0           10140       0        0
LABOR READY INC                  COM NEW    505401208      893750    27500      27500    0       0           27500       0        0
LADISH INC                       COM NEW    505754200      479725    61900      61900    0       0           61900       0        0
LAIDLAW INC                      COM        50730K503     3540000   480000     480000    0       0          480000       0        0
LAM RESH CORP                    COM        512807108     6937688   148600     148600    0       0          148600       0        0
LAMAR ADVERTISING CO             CL A       512815101     5612667   137105     137105    0       0          137105       0        0
LANDRYS SEAFOOD RESTAURANTS      COM        51508L103     7387080   923385     923385    0       0          694445       0   228940
LANDS END INC                    COM        515086106      544775    11320      11320    0       0           11320       0        0
                                            -          ----------
                                           PAGE TOTAL  1025009066
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
LASERSIGHT INC                   COM        517924106     3378538   207910     207910    0       0           177110      0    30800
LATTICE SEMICONDUCTOR CORP       COM        518415104    64938391  1043187    1043187    0       0           937687      0   105500
LEARNING TREE INTL INC           COM        522015106    31085546  2842237    2842237    0       0          2324437      0   517800
LEVEL ONE COMMUNICATIONS INC     COM        527295109      293475     5997       5997    0       0             5997      0        0
LEXMARK INTL GROUP INC           CL A       529771107      877700    13400      13400    0       0            13400      0        0
LIBERTY FINL COS INC             COM        530512102     3232875   111000     111000    0       0           111000      0        0
LIFEPOINT HOSPITALS INC          COM        53219L109    13171995   980278     980278    0       0           783178      0   197100
LIGHTBRIDGE INC                  COM        532226107     6287319   500503     500503    0       0           382303      0   118200
LINCARE HLDGS INC                COM        532791100    10012350   400494     400494    0       0           335994      0    64500
LINCOLN NATL CORP IND            COM        534187109   492418558  9413109    9413109    0       0          9340923      0    72186
LINEAR TECHNOLOGY CORP           COM        535678106    47539361   706905     706905    0       0           706905      0        0
LINENS N THINGS INC              COM        535679104     6114413   139758     139758    0       0           139758      0        0
LIPOSOME CO INC                  COM        536310105      316997    16575      16575    0       0            16575      0        0
LO-JACK CORP                     COM        539451104     6954525   830391     830391    0       0           781491      0    48900
LOCKHEED MARTIN CORP             COM        539830109    54838631  1472178    1472178    0       0          1466938      0     5240
LONE STAR STEAKHOUSE SALOON      COM        542307103     2580395   265500     265500    0       0           265500      0        0
LOWES COS INC                    COM        548661107   124155017  2190185    2190185    0       0          2190185      0        0
LSI LOGIC CORP                   COM        502161102   460830954  9990915    9990915    0       0          9951715      0    39200
LTX CORP                         COM        502392103     1053379    79130      79130    0       0            79130      0        0
LUCENT TECHNOLOGIES INC          COM        549463107   230025719  3410972    3410972    0       0          3410972      0        0
MACK CALI RLTY CORP              COM        554489104     5967747   192900     192900    0       0           192900      0        0
                                            -          ----------
                                           PAGE TOTAL  1566073883
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
MAGYAR TAVKOZLESI RT             SPONSORED
                                 ADR        559776109    19963350   725940     725940    0       0           725940      0        0
MAIL-WELL INC                    COM        560321200    28650990  1770000    1770000    0       0          1770000      0        0
MANUGISTICS GROUP INC            COM        565011103     4086100   281800     281800    0       0           281800      0        0
MARINER POST-ACUTE NETWORK INC   COM        568459101      918420  1634200    1634200    0       0          1634200      0        0
MARRIOTT INTL INC NEW            CL A       571903202     5158124   138010     138010    0       0           138010      0        0
MARSH SUPERMARKETS INC           CL B       571783208      501725    42700      42700    0       0            42700      0        0
MARTEK BIOSCIENCES CORP          COM        572901106     1909950   224700     224700    0       0           224700      0        0
MARTIN MARIETTA MATLS INC        COM        573284106    14124895   239405     239405    0       0           206681      0    32724
MATRIA HEALTHCARE INC            COM        576817100     3867875   533500     533500    0       0           533500      0        0
MAVESA S A                       SPONSORED
                                 ADR        577717101      134875    41500      41500    0       0            41500      0        0
MAXIM INTEGRATED PRODS INC       COM        57772K101    25638743   385545     385545    0       0           385545      0        0
MAXTOR CORP                      COM NEW    577729205     1513939   300922     300922    0       0           300922      0        0
MAXXAM INC                       COM        577913106     1483500    23000      23000    0       0            23000      0        0
MAZEL STORES INC                 COM        578792103     5425788   498923     498923    0       0           356523      0   142400
MBIA INC                         COM        55262C100    66353728  1024768    1024768    0       0           995998      0    28770
MCCORMICK & CO INC               COM NON
                                 VTG        579780206    14216188   450421     450421    0       0           436121      0    14300
MCDONALDS CORP                   COM        580135101   697224408 16953785   16953785    0       0         16873527      0    80258
MCI WORLDCOM INC                 COM        55268B106  2274117779 26424180   26424180    0       0         26368888      0    55292
MCKESSON HBOC INC                COM        58155Q103    42058656  1306697    1306697    0       0          1306397      0      300
MCN ENERGY GROUP INC             COM        55267J100    34124993  1644578    1644578    0       0          1644578      0        0
MEAD CORP                        COM        582834107     9486018   227210     227210    0       0           227210      0        0
                                            -          ----------
                                           PAGE TOTAL  3250960043
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
MECON INC                        COM        58400M105     3420008   456001     456001    0       0           334701      0   121300
MEDE AMER CORP                   COM        584067102     6133847   162486     162486    0       0           120686      0    41800
MEDIAONE GROUP INC               COM        58440J104   655119916  8808335    8808335    0       0          8728227      0    80108
MEDIAONE GROUP INC               PFD CV
                                 SER D      58440J203     3006727    20070      20070    0       0            20070      0        0
MEDPARTNERS INC NEW              COM        58503X107    36769567  4902609    4902609    0       0          4044809      0   857800
MEDTRONIC INC                    COM        585055106   380115195  4881094    4881094    0       0          4854745      0    26349
MELLON BK CORP                   COM        585509102    93972084  2583425    2583425    0       0          2583425      0        0
MEMBERWORKS INC                  COM        586002107     6690793   230717     230717    0       0           172307      0    58410
MERANT PLC                       SPONSORED
                                 ADR        587336108     1340625    68750      68750    0       0            68750      0        0
MERCK & CO INC                   COM        589331107   137940192  1873551    1873551    0       0          1845335      0    28216
MEREDITH CORP                    COM        589433101    21111832   609728     609728    0       0           592528      0    17200
MERISTAR HOSPITALITY CORP        COM        58984Y103    26802545  1194569    1194569    0       0          1047269      0   147300
MERISTAR HOTELS & RESORTS INC    COM        589988104     3210158   934000     934000    0       0           934000      0        0
MERRILL LYNCH & CO INC           COM        590188108    33106980   416440     416440    0       0           416440      0        0
META GROUP INC                   COM        591002100    16336183  1062516    1062516    0       0           798266      0   264250
METAMOR WORLDWIDE INC            COM        59133P100    30271921  1258080    1258080    0       0          1258080      0        0
METROMEDIA FIBER NETWORK INC     CL A       591689104    36974501  1028870    1028870    0       0          1028870      0        0
MGM GRAND INC                    COM        552953101     2802800    57200      57200    0       0            57200      0        0
MICREL INC                       COM        594793101     3263770    44105      44105    0       0            44105      0        0
MICRO LINEAR CORP                COM        594850109      717750   198000     198000    0       0           198000      0        0
MICRO WHSE INC                   COM        59501B105    77953000  4361007    4361007    0       0          4131357      0   229650
                                            -           ----------
                                            PAGE TOTAL  1577060394
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
MICROCHIP TECHNOLOGY INC         COM        595017104    14872813   313938     313938    0       0           259138      0    54800
MICRON TECHNOLOGY INC            COM        595112103    12017363   296725     296725    0       0           296725      0        0
MICROSOFT CORP                   COM        594918104  3025775113 33550014   33550014    0       0         33421692      0   128322
MID ATLANTIC MED SVCS INC        COM        59523C107    47355019  4795445    4795445    0       0          4423045      0   372400
MID-AMER APT CMNTYS INC          COM        59522J103     4530188   195900     195900    0       0           195900      0        0
MIDAMERICAN ENERGY HLDGS NEW     COM        59562V107    92594625  2674213    2674213    0       0          2658513      0    15700
MILLENNIUM PHARMACEUTICALS INC   COM        599902103      353340     9815       9815    0       0             9815      0        0
MILLIPORE CORP                   COM        601073109      284948     7025       7025    0       0             7025      0        0
MIPS TECHNOLOGIES INC            CL A       604567107      293087     6114       6114    0       0             6114      0        0
MIRAGE RESORTS INC               COM        60462E104    12754723   761476     761476    0       0           761476      0        0
MKS INSTRUMENT INC               COM        55306N104    21469615  1152731    1152731    0       0           995831      0   156900
MOBIL CORP                       COM        607059102   505003353  5113958    5113958    0       0          5060527      0    53431
MODIS PROFESSIONAL SVCS INC      COM        607830106   126579394  9333387    9333387    0       0          9051591      0   281796
MONDAVI ROBERT CORP              CL A       609200100     5562029   152908     152908    0       0           107308      0    45600
MOOG INC                         CL A       615394202     1366406    39750      39750    0       0            39750      0        0
MORGAN STANLEY DEAN WITTER&CO    COM NEW    617446448   204432079  1992030    1992030    0       0          1987430      0     4600
MORTONS RESTAURANT GROUP INC     COM        619429103    10327658   541793     541793    0       0           536593      0     5200
MOTHERS WK INC                   COM        619903107     2548000   196000     196000    0       0           196000      0        0
MOTOROLA INC                     COM        620076109   866940707  9149770    9149770    0       0          9116248      0    33522
MOVIE GALLERY INC                COM        624581104     1816750   338000     338000    0       0           338000      0        0
MSC INDL DIRECT INC              CL A       553530106     3091400   301600     301600    0       0           301600      0        0
                                            -          ----------
                                           PAGE TOTAL  4959968609
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
MUSICLAND STORES CORP            COM        62758B109      475000    50000      50000    0       0            50000      0        0
NABISCO HLDGS CORP               CL A       629526104   136404170  3172190    3172190    0       0          3153930      0    18260
NABORS INDS INC                  COM        629568106     2878688   118100     118100    0       0           118100      0        0
NATIONAL CITY CORP               COM        635405103    46734316   713501     713501    0       0           709220      0     4281
NATIONAL DATA CORP               COM        635621105     3730921    87273      87273    0       0            87273      0        0
NATIONAL EQUIP SVCS INC          COM        635847106     2586000   215500     215500    0       0           215500      0        0
NATIONAL FUEL GAS CO N J         COM        636180101    44104542   909372     909372    0       0           909372      0        0
NATIONAL PROCESSING INC          COM        637229105    11357931  1121771    1121771    0       0           867971      0   253800
NATIONAL-OILWELL INC             COM        637071101     8441650   602975     602975    0       0           458275      0   144700
NATIONWIDE FINL SVCS INC         CL A       638612101    71270334  1575035    1575035    0       0          1565335      0     9700
NATURAL MICROSYSTEMS CORP        COM        638882100     3857885   403460     403460    0       0           284160      0   119300
NAVARRE CORP                     COM        639208107     1156670   117500     117500    0       0           117500      0        0
NAVIGANT INTL INC                COM        63935R108     2279332   289439     289439    0       0           289439      0        0
NAVISTAR INTL CORP NEW           COM        63934E108      270500     5410       5410    0       0             5410      0        0
NCO GROUP INC                    COM        628858102     2012100    52950      52950    0       0            52950      0        0
NCR CORP NEW                     COM        62886E108      246012     5040       5040    0       0             5040      0        0
NCS HEALTHCARE INC               CL A       628874109     4799055   882666     882666    0       0           677266      0   205400
NETWORK SOLUTIONS INC DEL        CL A       64121Q102    77481969   979235     979235    0       0           804235      0   175000
NETWORKS ASSOCS INC              COM        640938106     4180801   284660     284660    0       0           284660      0        0
NEW CENTURY ENERGIES INC         COM        64352U103    28889984   744357     744357    0       0           736327      0     8030
NEW HOLLAND N V                  ORD        N62648105      304996    17810      17810    0       0            17810      0        0
                                            -           ---------
                                            PAGE TOTAL  453462856
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
NEW YORK TIMES CO                CL A       650111107   112164765  3046962    3046962    0       0          3032894      0    14068
NEWBRIDGE NETWORKS CORP          COM        650901101      523250    18200      18200    0       0            18200      0        0
NEWCOR INC                       COM        651186108      631483   129535     129535    0       0           129535      0        0
NEWCOURT CR GROUP INC            COM        650905102      258740    20000      20000    0       0            20000      0        0
NEWELL RUBBERMAID INC            COM        651229106   440665777  9502227    9502227    0       0          9452906      0    49321
NEWFIELD EXPL CO                 COM        651290108    44589216  1568000    1568000    0       0          1287300      0   280700
NEWPORT NEWS SHIPBUILDING INC    COM        652228107    10480524   355272     355272    0       0           305672      0    49600
NEWS CORP LTD                    SP ADR
                                 PFD        652487802     2847429    90217      90217    0       0            90217      0        0
NEXTEL COMMUNICATIONS INC        CL A       65332V103   134648459  2682935    2682935    0       0          2682935      0        0
NEXTERA ENTERPRISES INC          CL A       65332E101     2596345   403347     403347    0       0           403347      0        0
NEXTLINK COMMUNICATIONS INC      CL A       65333H707    35114446   472127     472127    0       0           387727      0    84400
NICOR INC                        COM        654086107    23975292   629901     629901    0       0           629901      0        0
NIPPON TELEG & TEL CORP          SPONSORED
                                 ADR        654624105     3571504    57030      57030    0       0            57030      0        0
NISOURCE INC                     COM        65473P105    75971427  2943260    2943260    0       0          2870030      0    73230
NL INDS INC                      COM NEW    629156407      639688    57500      57500    0       0            57500      0        0
NOBLE DRILLING CORP              COM        655042109   100256520  5092524    5092524    0       0          4692524      0   400000
NOKIA CORP                       SPONSORED
                                 ADR        654902204   192169685  2098793    2098793    0       0          2098793      0        0
NORDSTROM INC                    COM        655664100    56218394  1678161    1678161    0       0          1660121      0    18040
NORFOLK SOUTHERN CORP            COM        655844108    19208544   637628     637628    0       0           637628      0        0
NORTEK INC                       COM        656559101      576141    18400      18400    0       0            18400      0        0
NORTEL NETWORKS CORP             COM        656569100   295157328  3399960    3399960    0       0          3399670      0      290
                                            -          ----------
                                           PAGE TOTAL  1552264954
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
NORTHERN TR CORP                 COM        665859104   110184531  1135923    1135923    0       0          1128009      0     7914
NOVA CORP GA                     COM        669784100    69729650  2789186    2789186    0       0          2269214      0   519972
NOVELL INC                       COM        670006105     2796413   105525     105525    0       0           105525      0        0
NOVELLUS SYS INC                 COM        670008101    28407424   416226     416226    0       0           381426      0    34800
NS GROUP INC                     COM        628916108     1021200   110400     110400    0       0           110400      0        0
NTL INC                          COM        629407107    81556603   946275     946275    0       0           946275      0        0
NUI CORP                         COM        629430109     3972500   158900     158900    0       0           158900      0        0
OAK INDS INC                     COM NEW    671400505     1793391    40875      40875    0       0            40875      0        0
OCEANEERING INTL INC             COM        675232102     1886625   117000     117000    0       0           117000      0        0
OFFICE DEPOT INC                 COM        676220106   637700146 28904911   28904911    0       0         28571086      0   333825
OFFICEMAX INC                    COM        67622M108    10716000   893000     893000    0       0           893000      0        0
OMNICARE INC                     COM        681904108     1547699   122590     122590    0       0           105490      0    17100
OMNICOM GROUP INC                COM        681919106     3804000    47550      47550    0       0            47550      0        0
OMNIPOINT CORP                   COM        68212D102     6152006   212600     212600    0       0           212600      0        0
ONEOK INC NEW                    COM        682680103     3841750   121000     121000    0       0           121000      0        0
ONLINE RES & COMMUNICATIONS      COM        68273G101     1105303    81500      81500    0       0            69700      0    11800
OPEN JT STK CO-VIMPEL COMMUNIC   SPONSORED
                                 ADR        68370R109      322624    13914      13914    0       0            13914      0        0
OPTICAL COATING LAB INC          COM        683829105      449903     5380       5380    0       0             5380      0        0
ORACLE CORP                      COM        68389X105  2257271763 60801933   60801933    0       0         60714737      0    87196
ORTHODONTIC CTRS AMER INC        COM        68750P103    50950174  3607092    3607092    0       0          3380792      0   226300
OSHAP TECHNOLOGIES LTD           ORD        671039105     9194025   721100     721100    0       0           721100      0        0
                                            -          ----------
                                           PAGE TOTAL  3284403730
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
OSTEOTECH INC                    COM        688582105     3092350   107560     107560    0       0           82060       0    25500
OUTDOOR SYS INC                  COM        690057104    67011883  1835942    1835942    0       0         1835942       0        0
OUTSOURCE INTL INC               COM        690131107      579043   151900     151900    0       0          151900       0        0
OWENS ILL INC                    COM NEW    690768403    80872999  2474164    2474164    0       0         2458564       0    15600
OWENS ILL INC                    PFD CONV
                                 $.01       690768502    10903200   247800     247800    0       0          247800       0        0
OXFORD HEALTH PLANS INC          COM        691471106     7611374   489100     489100    0       0          489100       0        0
PACIFICARE HEALTH SYS DEL        CL A       695112102    26969181   374900     374900    0       0          374900       0        0
PACIFICARE HEALTH SYS DEL        CL B       695112201           0   636641     636641    0       0          636641       0        0
PACIFICORP                       COM        695114108     2400326   130630     130630    0       0          130630       0        0
PAINE WEBBER GROUP INC           COM        695629105    16086441   344095     344095    0       0          344095       0        0
PANAMERICAN BEVERAGES INC        CL A       P74823108     7424986   311817     311817    0       0          311817       0        0
PAPA JOHNS INTL INC              COM        698813102    15004107   335760     335760    0       0          287260       0    48500
PAREXEL INTL CORP                COM        699462107    24645610  1851383    1851383    0       0         1388183       0   463200
PARKER HANNIFIN CORP             COM        701094104      387091     8461       8461    0       0            8461       0        0
PAYMENTECH INC                   COM        704384106    20328648   801129     801129    0       0          676329       0   124800
PEAK INTL LTD                    ORD        G69586108     1017150   150000     150000    0       0          150000       0        0
PECO ENERGY CO                   COM        693304107    93947986  2243534    2243534    0       0         2232285       0    11249
PEDIATRIX MED GROUP              COM        705324101     8511496   400541     400541    0       0          300641       0    99900
PEERLESS SYS CORP                COM        705536100     5349351   509462     509462    0       0          392562       0   116900
PEGASUS SYSTEMS INC              COM        705906105      217958     5822       5822    0       0            5822       0        0
PENSKE MOTORSPORTS INC           COM        709598106      344149     6935       6935    0       0            6935       0        0
                                            -           ---------
                                            PAGE TOTAL  392705332
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
PEOPLESOFT INC                   COM        712713106     5375100   311600     311600    0       0          311600       0        0
PEPSICO INC                      COM        713448108    29863927   771937     771937    0       0          737337       0    34600
PERSONNEL GROUP AMER INC         COM        715338109     7713230   771323     771323    0       0          666023       0   105300
PETCO ANIMAL SUPPLIES            COM        716016100    28361167  1800709    1800709    0       0         1444509       0   356200
PFIZER INC                       COM        717081103   303264378  2782242    2782242    0       0         2767168       0    15074
PHARMACIA & UPJOHN INC           COM        716941109   553099248  9735606    9735606    0       0         9682252       0    53354
PHILIP MORRIS COS INC            COM        718154107   132689236  3301795    3301795    0       0         3266622       0    35173
PHILIPPINE LONG DISTANCE TEL     SPONSORED
                                 ADR        718252604     4589390   152032     152032    0       0          152032       0        0
PHILLIPS PETE CO                 COM        718507106    13201869   262400     262400    0       0          262400       0        0
PHONE COM INC                    COM        71920Q100     5502000    98250      98250    0       0           97650       0      600
PHOTRONICS INC                   COM        719405102    28998028  1183593    1183593    0       0          956393       0   227200
PHYMATRIX CORP                   COM        718925100      144256    98200      98200    0       0           98200       0        0
PIER 1 IMPORTS INC               COM        720279108     1662008   147734     147734    0       0          147734       0        0
PINNACLE HLDGS INC               COM        72346N101    30027298  1225604    1225604    0       0          972104       0   253500
PINNACLE WEST CAP CORP           COM        723484101   163908304  4072256    4072256    0       0         4005585       0    66671
PLX TECHNOLOGY INC               COM        693417107      307938     6500       6500    0       0            6500       0        0
PMC-SIERRA INC                   COM        69344F106    25028010   424657     424657    0       0          349657       0    75000
PNC BK CORP                      COM        693475105   227164204  3942112    3942112    0       0         3920372       0    21740
POHANG IRON & STL LTD            SPONSORED
                                 ADR        730450103      791869    23550      23550    0       0           23550       0        0
POLICY MGMT SYS CORP             COM        731108106    24701430   823381     823381    0       0          747781       0    75600
POLYMER GROUP INC                COM        731745105     2405225   204700     204700    0       0          204700       0        0
                                            -          ----------
                                            PAGE TOTAL 1588798113
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
POWERWAVE TECHNOLOGIES INC       COM        739363109      280575     8700       8700    0       0            8700       0        0
PPG INDS INC                     COM        693506107    33401923   565540     565540    0       0          563600       0     1940
PRECISION DRILLING CORP          COM        74022D100     2239785   117500     117500    0       0          117500       0        0
PRECISION RESPONSE CORP          COM        740314109      531430    95000      95000    0       0           95000       0        0
PREMIER PKS INC                  COM NEW    740540208    57251355  1557860    1557860    0       0         1557860       0        0
PREMIERE TECHNOLOGIES INC        COM        74058F102      210910    18340      18340    0       0           18340       0        0
PRIME HOSPITALITY CORP           COM        741917108     3408492   284041     284041    0       0          199341       0    84700
PROCTER & GAMBLE CO              COM        742718109   393574829  4409802    4409802    0       0         4377618       0    32184
PROFESSIONAL DETAILING INC       COM        74312N107     3560391   151506     151506    0       0          119006       0    32500
PROGRESSIVE CORP OHIO            COM        743315103   200186275  1380595    1380595    0       0         1369897       0    10698
PROMUS HOTEL CORP NEW            COM        74342P106   181760750  5863250    5863250    0       0         5863250       0        0
PROVIDENCE ENERGY CORP           COM        743743106      792871    29710      29710    0       0           29710       0        0
PROVIDIAN FINL CORP              COM        74406A102    70995421   761345     761345    0       0          758745       0     2600
PROXIM INC                       COM        744284100    24082702   415219     415219    0       0          311219       0   104000
PRT GROUP INC                    COM        693579104     1466538   510100     510100    0       0          510100       0        0
PSINET INC                       COM        74437C101    17648750   403400     403400    0       0          403400       0        0
PSINET INC                       PFD C
                                 CV 6 3/4   74437C309    10847565   224820     224820    0       0          224820       0        0
PSS WORLD MED INC                COM        69366A100    26791545  2394882    2394882    0       0         1959782       0   435100
PUBLIC SVC CO N C INC            COM        744516105     4712702   161118     161118    0       0          161118       0        0
PUBLIC SVC CO N MEX              COM        744499104     6185100   311200     311200    0       0          311200       0        0
PUBLIC SVC ENTERPRISE GROUP      COM        744573106    17759342   435150     435150    0       0          435150       0        0
                                            -          ----------
                                           PAGE TOTAL  1057689250
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
QLOGIC CORP                      COM        747277101     2597628    19679      19679    0       0           19679       0        0
QLT PHOTOTHERAPEUTICS INC        COM        746927102      318615     5793       5793    0       0            5793       0        0
QUAKER OATS CO                   COM        747402105    97103837  1462958    1462958    0       0         1454760       0     8198
QUALCOMM INC                     COM        747525103   181270635  1263210    1263210    0       0         1263210       0        0
QUANTA SVCS INC                  COM        74762E102      400400     9100       9100    0       0            9100       0        0
QUIKSILVER INC                   COM        74838C106      227990     8748       8748    0       0            8748       0        0
QUILMES INDL QUINSA SOCIETE      SPN ADR
                                 NV PFD     74838Y108     6843375   553000     553000    0       0          553000       0        0
QUINTILES TRANSNATIONAL CORP     COM        748767100    81796680  1947540    1947540    0       0         1586462       0   361078
QUORUM HEALTH GROUP INC          COM        749084109    13828689  1100835    1100835    0       0          827235       0   273600
QWEST COMMUNICATIONS INTL INC    COM        749121109   196556962  5945102    5945102    0       0         5945102       0        0
RADIANT SYSTEMS INC              COM        75025N102     2158875   151500     151500    0       0          151500       0        0
RADIO ONE INC                    CL A       75040P108     1046250    22500      22500    0       0           22100       0      400
RAINFOREST CAFE INC              COM        75086K104      488483    96500      96500    0       0           96500       0        0
RALSTON PURINA CO                COM RAL-
                                 PUR GP     751277302   336271446 11048114   11048114    0       0        10912006       0   136108
RATIONAL SOFTWARE CORP           COM NEW    75409P202    12544682   380869     380869    0       0          380869       0        0
RAYTHEON CO                      CL A       755111309   255642511  3711688    3711688    0       0         3633783       0    77905
RAYTHEON CO                      CL B       755111408   105023850  1489700    1489700    0       0         1480800       0     8900
RCM TECHNOLOGIES INC             COM NEW    749360400     6819775   514700     514700    0       0          514700       0        0
READERS DIGEST ASSN INC          CL A NON
                                 VTG        755267101      271095     6820       6820    0       0            6820       0        0
REDBACK NETWORKS INC             COM        757209101     2448459    19500      19500    0       0           18900       0      600
REGIS CORP MINN                  COM        758932107    19821092  1033048    1033048    0       0          775448       0   257600
                                            -          ----------
                                           PAGE TOTAL  1323481330
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
RELIASTAR FINL CORP              COM        75952U103   235659112  5386494    5386494    0       0         5149864       0   236630
REMEDYTEMP INC                   CL A       759549108     1080000    80000      80000    0       0           80000       0        0
RENAISSANCE WORLDWIDE INC        COM        75968A109    32104463  4028669    4028669    0       0         3644769       0   383900
RENAL CARE GROUP INC             COM        759930100     1563083    60409      60409    0       0           60409       0        0
RENEX CORP                       COM        759683105     1534321   282200     282200    0       0          282200       0        0
RENT A CTR INC NEW               COM        76009N100     5424000   226000     226000    0       0          226000       0        0
RENTAL SERVICE CORP              COM        76009V102     3228900   112800     112800    0       0          112800       0        0
REPSOL S A                       SPONSORED
                                 ADR        76026T205      741388    36500      36500    0       0           36500       0        0
REPUBLIC SVCS INC                CL A       760759100   176742473  7141110    7141110    0       0         7141110       0        0
RESPIRONICS INC                  COM        761230101      223094    14750      14750    0       0           14750       0        0
REUTERS GROUP PLC                SPONSORED
                                 ADR        76132M102    56799495   700692     700692    0       0          700322       0      370
RF MICRODEVICES INC              COM        749941100      323873     4340       4340    0       0            4340       0        0
RHYTHMS NETCONNECTIONS INC       COM        762430205    17503744   299850     299850    0       0          299850       0        0
RITE AID CORP                    COM        767754104   535599389 21750229   21750229    0       0        21499589       0   250640
RMH TELESERVICES INC             COM        749938106      937006   238000     238000    0       0          238000       0        0
ROGERS COMMUNICATIONS INC        CL B       775109200      566545    35000      35000    0       0           35000       0        0
ROHM & HAAS CO                   COM        775371107    70362205  1641101    1641101    0       0         1639251       0     1850
ROMAC INTL INC                   COM        775835101     6881107   775336     775336    0       0          775336       0        0
ROWAN COS INC                    COM        779382100     1084963    59450      59450    0       0           59450       0        0
ROYAL CARIBBEAN CRUISES LTD      COM        V7780T103    79019500  1806160    1806160    0       0         1806160       0        0
ROYAL DUTCH PETE CO              NY REG
                                 GLD1.25    780257804    58363753   968693     968693    0       0          968693       0        0
                                            -          ----------
                                           PAGE TOTAL  1285742414
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
RURAL / METRO CORP               COM        781748108     4104100   426400     426400    0       0          426400       0        0
S I HANDLING SYS INC             COM        784255101     1663725   158450     158450    0       0          158450       0        0
SAFEWAY INC                      COM NEW    786514208   479963633  9696235    9696235    0       0         9587694       0   108541
SANMINA CORP                     COM        800907107     7257444    95650      95650    0       0           95650       0        0
SANTA FE INTL CORP               ORD        G7805C108     7787800   338600     338600    0       0          338600       0        0
SAP AKTIENGESELLSCHAFT           SPONSORED
                                 ADR        803054204    43176682  1246980    1246980    0       0         1246980       0        0
SBC COMMUNICATIONS INC           COM        78387G103   412775444  7116818    7116818    0       0         7025783       0    91035
SCANA CORP                       COM        805898103     4558125   195000     195000    0       0          195000       0        0
SCB COMPUTER TECHNOLOGY INC      COM        78388N107     2478541   472103     472103    0       0          331103       0   141000
SCC COMMUNICATIONS CORP          COM        78388X105     1411375   322600     322600    0       0          322600       0        0
SCHEIN HENRY INC                 COM        806407102    10836827   341996     341996    0       0          258096       0    83900
SCHERING PLOUGH CORP             COM        806605101   145763310  2776444    2776444    0       0         2683764       0    92680
SCHLOTZSKYS INC                  COM        806832101     4398861   402200     402200    0       0          402200       0        0
SCHLUMBERGER LTD                 COM        806857108    33552222   526830     526830    0       0          526830       0        0
SCHOLASTIC CORP                  COM        807066105    86211641  1702946    1702946    0       0         1392246       0   310700
SCHOOL SPECIALTY INC             COM        807863105      324452    20200      20200    0       0           20200       0        0
SCHWAB CHARLES CORP NEW          COM        808513105    35316000   324000     324000    0       0          321600       0     2400
SCI SYS INC                      COM        783890106     8465297   178687     178687    0       0          178687       0        0
SCIENTIFIC ATLANTA INC           COM        808655104    21026880   584080     584080    0       0          584080       0        0
SCRIPPS E W CO OHIO              CL A       811054204    23899905   502500     502500    0       0          502500       0        0
SEAGATE TECHNOLOGY               COM        811804103      256506    10010      10010    0       0           10010       0        0
                                            -          ----------
                                           PAGE TOTAL  1335228771
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
SEAGRAM LTD                      COM        811850106     2921750    58000      58000    0       0           58000       0        0
SEAGRAM LTD                      PFD ADJ
                                 CV SEC     811850205    23051286   465100     465100    0       0          465100       0        0
SEALED AIR CORP NEW              COM        81211K100    54922267   846586     846586    0       0          846586       0        0
SEALED AIR CORP NEW              PFD CV
                                 A $2       81211K209     4703125    75250      75250    0       0           75250       0        0
SECURITY DYNAMICS TECHNOLOGIES   COM        814208104    99478347  4681334    4681334    0       0         3754434       0   926900
SECURITY FIRST TECHNOLOGIES CP   COM        814279105     6958275   154200     154200    0       0          108700       0    45500
SEMPRA ENERGY                    COM        816851109    11519971   509170     509170    0       0          509170       0        0
SEPRACOR INC                     COM        817315104    40745819   501487     501487    0       0          470687       0    30800
SERVICE CORP INTL                COM        817565104      488373    25370      25370    0       0           25370       0        0
SERVICE EXPERTS INC              COM        817567100     3500000   160000     160000    0       0          160000       0        0
SHAW GROUP INC                   COM        820280105     1793875   113000     113000    0       0          113000       0        0
SHERWIN WILLIAMS CO              COM        824348106    17442762   628568     628568    0       0          628568       0        0
SHIRE PHARMACEUTICALS GRP PLC    SPONSORED
                                 ADR        82481R106    16759600   644600     644600    0       0          644600       0        0
SHOLODGE INC                     COM        825034101     3987231   787679     787679    0       0          649947       0   137732
SIEBEL SYS INC                   COM        826170102    30554978   460776     460776    0       0          460776       0        0
SIERRA HEALTH SVCS INC           COM        826322109     1653037   114500     114500    0       0          114500       0        0
SIERRA PAC RES                   COM        826425100    51236988  1408577    1408577    0       0         1408577       0        0
SILGAN HOLDINGS INC              COM        827048109     1494600    75200      75200    0       0           75200       0        0
SILVERLEAF RESORTS INC           COM        828395103      347598    54000      54000    0       0           54000       0        0
SINCLAIR BROADCAST GROUP INC     CL A       829226109     2084865   127320     127320    0       0          118320       0     9000
SIPEX CORP                       COM        829909100    47343417  2309435    2309435    0       0         1808125       0   501310
                                            -           ---------
                                            PAGE TOTAL  422988165
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
SITEL CORP                       COM        82980K107      811787   276400     276400    0       0          276400       0        0
SK TELECOM LTD                   SPONSORED
                                 ADR        78440P108     2471239   145367     145367    0       0          145367       0        0
SKYWEST INC                      COM        830879102     7077270   283806     283806    0       0          213806       0    70000
SL GREEN RLTY CORP               COM        78440X101     5317707   260200     260200    0       0          260200       0        0
SMITH INTL INC                   COM        832110100     3107049    71530      71530    0       0           71530       0        0
SMITHKLINE BEECHAM PLC           ADR REP
                                 ORD        832378301    42677175   646017     646017    0       0          646017       0        0
SMUCKER J M CO                   CL B       832696207      982072    51688      51688    0       0           51688       0        0
SMURFIT-STONE CONTAINER CORP     COM        832727101    39961856  1943481    1943481    0       0         1936438       0     7043
SNYDER COMMUNICATIONS INC        COM        832914105    10276950   313800     313800    0       0          313800       0        0
SODEXHO MARRIOTT SVCS INC        COM        833793102    33482792  1745077    1745077    0       0         1594077       0   151000
SOLECTRON CORP                   COM        834182107    20532927   307900     307900    0       0          307900       0        0
SONAT INC                        COM        835415100    57083948  1723289    1723289    0       0         1723289       0        0
SONIC CORP                       COM        835451105    46148976  1414528    1414528    0       0         1271578       0   142950
SOTHEBYS HLDGS INC               CL A       835898107      304238     7980       7980    0       0            7980       0        0
SOURCE MEDIA INC                 COM NEW    836153304      180625    10625      10625    0       0           10625       0        0
SOUTHERN CO                      COM        842587107    27896523  1052699    1052699    0       0         1052699       0        0
SPEEDWAY MOTORSPORTS INC         COM        847788106      236855     6025       6025    0       0            6025       0        0
SPORTSLINE USA INC               COM        848934105    99148491  2763721    2763721    0       0         2293021       0   470700
SPR INC                          COM        784922106     1171296   220500     220500    0       0          220500       0        0
SPRINT CORP                      COM FON
                                 GROUP      852061100   402322629  7590993    7590993    0       0         7533131       0    57862
SPRINT CORP                      PCS COM
                                 SER 1      852061506   531122637  9317941    9317941    0       0         9274941       0    43000
                                            -          ----------
                                           PAGE TOTAL  1332315043
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
SPX CORP                         COM        784635104    31350993   375461     375461    0       0          374161       0     1300
ST PAUL COS INC                  COM        792860108    44252401  1391060    1391060    0       0         1391060       0        0
STAFFMARK INC                    COM        852389105     9106142   907800     907800    0       0          907800       0        0
STANLEY WKS                      COM        854616109     2584616    80300      80300    0       0           80300       0        0
STAPLES INC                      COM        855030102    26563746   858640     858640    0       0          858640       0        0
STAR BUFFET INC                  COM        855086104      179375    35000      35000    0       0           35000       0        0
STATE STR CORP                   COM        857477103   115228845  1349679    1349679    0       0         1339759       0     9920
STEELCASE INC                    CL A       858155203      742000    37100      37100    0       0           37100       0        0
STERIS CORP                      COM        859152100    39078755  2016968    2016968    0       0         1647668       0   369300
STERLING COMM INC                COM        859205106     2198606    59826      59826    0       0           59826       0        0
STERLING SOFTWARE INC            COM        859547101    27454587  1038491    1038491    0       0          758191       0   280300
STET HELLAS COMMUNICATIONS S A   ADR        859823106     6397281   285912     285912    0       0          275212       0    10700
STEWART ENTERPRISES INC          CL A       860370105     9829350   675000     675000    0       0          675000       0        0
STMICROELECTRONICS N V           COM        861012102    18308765   264150     264150    0       0          264150       0        0
STRATESEC INC                    COM        862792108       56976    48000      48000    0       0           48000       0        0
STUDENT LN CORP                  COM        863902102    17637174   396341     396341    0       0          277741       0   118600
SUIZA FOODS CORP                 COM        865077101    42654629  1018618    1018618    0       0          990418       0    28200
SUMMIT DESIGN INC                COM        86605U101     3954453  1318151    1318151    0       0         1012751       0   305400
SUN MICROSYSTEMS INC             COM        866810104   441768314  6414059    6414059    0       0         6346454       0    67605
SUNGARD DATA SYS INC             COM        867363103   136733471  3963289    3963289    0       0         3509009       0   454280
SUNTERRA CORP                    COM        86787D109     2160235   155000     155000    0       0          155000       0        0
                                            -           ---------
                                            PAGE TOTAL  978240712
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
SUPERIOR CONSULTANT HLDGS CORP   COM        868146101     6561410   265784     265784    0       0          200984       0    64800
SUPERIOR SVCS INC                COM        868316100    14751213   552749     552749    0       0          440749       0   112000
SYLVAN LEARNING SYS INC          COM        871399101     3319533   122100     122100    0       0          121600       0      500
SYNOPSYS INC                     COM        871607107   334394092  6059291    6059291    0       0         5783963       0   275328
SYNTEL INC                       COM        87162H103     1282500   142500     142500    0       0          142500       0        0
SYNTHETIC INDS INC               COM        871914107     1768968    59965      59965    0       0           59965       0        0
SYSTEM SOFTWARE ASSOC INC        COM        871839106     3920168  2367251    2367251    0       0         2367251       0        0
TACO CABANA INC                  COM        873425102     9559878   938439     938439    0       0          832439       0   106000
TAIWAN SEMICONDUCTOR MFG LTD     SPONSORED
                                 ADR        874039100      459170    13505      13505    0       0           13505       0        0
TALBOTS INC                      COM        874161102      324063     8500       8500    0       0            8500       0        0
TALK COM INC                     COM        874264104    82226250  7309000    7309000    0       0         7309000       0        0
TANDY CORP                       COM        875382103    30527325   624600     624600    0       0          624600       0        0
TCA CABLE TV INC                 COM        872241104      379121     6831       6831    0       0            6831       0        0
TECHNOLOGY SOLUTIONS CO          COM        87872T108    56980710  5270136    5270136    0       0         4143744       0  1126392
TEKELEC                          COM        879101103      565964    46440      46440    0       0           46440       0        0
TELE CENTRO SUL PART S A         SPONS ADR
                                 ADR NEW    879239101      388500     7000       7000    0       0            7000       0        0
TELE NORTE LESTE PART S A        SPONS ADR
                                 PFD        879246106     2498854   134622     134622    0       0          134622       0        0
TELECOMM ARGENTINA STET-FRANCE   SPNS ADR
                                 REP B      879273209      222159     8305       8305    0       0            8305       0        0
TELECOMUNICACOES BRASILEIRAS S   SPONSORED
                                 ADR        879287100       34019   548700     548700    0       0          548700       0        0
TELECOMUNICACOES BRASILEIRAS S   SPONSORED
                                 ADR        879287308     1638000    18200      18200    0       0           18200       0        0
TELEFONICA DE ARGENTINA S A      SPNSR ADR
                                 CL B       879378206     8525843   271740     271740    0       0          271740       0        0
                                            -           ---------
                                           PAGE  TOTAL  560327737
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
TELEFONICA DEL PERU S A          SPONS ADR
                                 CL B       879384105      348631    23050      23050    0       0           23050       0        0
TELEFONICA S A                   SPONSORED
                                 ADR        879382208    26259164   178482     178482    0       0          178482       0        0
TELEFONOS DE MEXICO S A          SR DB CV
                                 4.25%04    879403AD5     5605635  5516000    5516000    0       0         5516000       0        0
TELEPHONE & DATA SYS INC         COM        879433100    36376324   497454     497454    0       0          497454       0        0
TELETECH HOLDINGS INC            COM        879939106     6078949   600390     600390    0       0          450790       0   149600
TELIGENT INC                     CL A       87959Y103     1160353    19400      19400    0       0           19400       0        0
TELLABS INC                      COM        879664100   228097217  3376117    3376117    0       0         3376117       0        0
TERADYNE INC                     COM        880770102   156251051  2177715    2177715    0       0         2124815       0    52900
TEVA PHARMACEUTICAL INDS LTD     ADR        881624209      918015    18735      18735    0       0           18735       0        0
TEXACO INC                       COM        881694103    22330874   358010     358010    0       0          358010       0        0
TEXAS INSTRS INC                 COM        882508104   308126304  2139766    2139766    0       0         2139766       0        0
TEXAS UTILS CO                   COM        882848104   176893931  4268985    4268985    0       0         4219616       0    49369
TEXTRON INC                      COM        883203101      979513    11900      11900    0       0           11900       0        0
THOMAS & BETTS CORP              COM        884315102    29731212   629232     629232    0       0          629232       0        0
TIER TECHNOLOGIES INC            CL B       88650Q100     4620308   660044     660044    0       0          660044       0        0
TIFFANY & CO NEW                 COM        886547108     4881549    50586      50586    0       0           50586       0        0
TIME WARNER INC                  COM        887315109  1374456304 18925388   18925388    0       0        18784246       0   141142
TIME WARNER TELECOM INC          CL A       887319101     2558525    88225      88225    0       0           87525       0      700
TIMKEN CO                        COM        887389104      243165    12470      12470    0       0           12470       0        0
TJX COS INC NEW                  COM        872540109   398309219 11956929   11956929    0       0        11902607       0    54322
TMP WORLDWIDE INC                COM        872941109     7111619   111994     111994    0       0          111994       0        0
                                            -          ----------
                                           PAGE TOTAL  2791337861
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
TOKIO MARINE & FIRE INS LTD      ADR NEW    889090403      252563     4500       4500    0       0            4500       0        0
TOOTSIE ROLL INDS INC            COM        890516107    16837255   435916     435916    0       0          339350       0    96566
TORCHMARK CORP                   COM        891027104    62889577  1842918    1842918    0       0         1793318       0    49600
TORONTO DOMINION BK ONT          COM NEW    891160509     4718487   103703     103703    0       0          103703       0        0
TOTAL ENTMT RESTAURANT CORP      COM        89150E100      169500    56500      56500    0       0           56500       0        0
TOTAL RENAL CARE HLDGS INC       COM        89151A107   160408941 10307733   10307733    0       0         8662649       0  1645084
TRANSACTION NETWORK SVCS INC     COM        893414102    34499673  1179476    1179476    0       0          948376       0   231100
TRANSACTION SYS ARCHITECTS       CL A       893416107    54603939  1400101    1400101    0       0         1104201       0   295900
TRANSKARYOTIC THERAPIES INC      COM        893735100      239415     7255       7255    0       0            7255       0        0
TRANSOCEAN OFFSHORE INC CAYMON   ORD        G90076103    25749412   980930     980930    0       0          885530       0    95400
TRANSWITCH CORP                  COM        894065101     8231406   173750     173750    0       0          173750       0        0
TRIAD HOSPITALS INC              COM        89579K109      186584    13821      13821    0       0           13821       0        0
TRIBUNE CO NEW                   COM        896047107   152856892  1754455    1754455    0       0         1739097       0    15358
TRICON GLOBAL RESTAURANTS        COM        895953107     1315779    24310      24310    0       0           24310       0        0
TRIGON HEALTHCARE INC            COM        89618L100     2546250    70000      70000    0       0           70000       0        0
TRINET CORP RLTY TR INC          COM        896287109    36261553  1309696    1309696    0       0         1309696       0        0
TRW INC                          COM        872649108   132401577  2412785    2412785    0       0         2370395       0    42390
TUBOS DE ACERO DE MEXICO S A     ADR NEW    898592506      355613    32700      32700    0       0           32700       0        0
TV GUIDE INC                     CL A       87307Q109      212974     5815       5815    0       0            5815       0        0
TYCO INTL LTD NEW                COM        902124106  3148152168 33225880   33225880    0       0        33110023       0   115857
U S CAN CORP                     COM        90328W105      246975    11100      11100    0       0           11100       0        0
                                            -          ----------
                                           PAGE TOTAL  3843136532
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
U S FRANCHISE SVCS INC           CL A NEW   902956309    12813136   552600     552600    0       0          552600       0        0
U S OFFICE PRODS CO              COM NEW    912325305     6516381  1212350    1212350    0       0         1212350       0        0
U S TR CORP NEW                  COM        91288L105     1893105    20466      20466    0       0           20466       0        0
UBICS INC                        COM        90261L108      336820   110000     110000    0       0          110000       0        0
UGI CORP NEW                     COM        902681105     5402041   267600     267600    0       0          267600       0        0
UNICOM CORP                      COM        904911104    74042742  1920096    1920096    0       0         1861796       0    58300
UNILEVER N V                     N Y SHS
                                 NEW        904784709     7564388   108450     108450    0       0          108450       0        0
UNION PAC CORP                   COM        907818108     4336955    74375      74375    0       0           74375       0        0
UNIPHASE CORP                    COM        909149106    29567090   178115     178115    0       0          178115       0        0
UNISYS CORP                      COM        909214108    23253176   597200     597200    0       0          597200       0        0
UNITED HEALTHCARE CORP           COM        910581107  1070962149 17101192   17101192    0       0        17064502       0    36690
UNITED PAYORS&UTD PROVIDERS      COM        911319101     3246180   140000     140000    0       0          140000       0        0
UNITED RENTALS INC               COM        911363109     3910579   132562     132562    0       0          132562       0        0
UNITED STATIONERS INC            COM        913004107     1014970    46135      46135    0       0           46135       0        0
UNITED TECHNOLOGIES CORP         COM        913017109   794665440 11037020   11037020    0       0        10960210       0    76810
UNIVISION COMMUNICATIONS INC     CL A       914906102   204661925  3148645    3148645    0       0         3148645       0        0
UNOCAL CORP                      COM        915289102    48469379  1223202    1223202    0       0         1223102       0      100
UNUM CORP                        COM        903192102      377775     6900       6900    0       0            6900       0        0
US BANCORP DEL                   COM        902973106   210322008  6301783    6301783    0       0         6219932       0    81851
USA NETWORKS INC                 COM        902984103      440773    10985      10985    0       0           10985       0        0
USEC INC                         COM        90333E108    22628683  1521256    1521256    0       0         1521256       0        0
                                            -          ----------
                                           PAGE TOTAL  2526425696
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
USINTERNETWORKING INC            COM        917311805     1810200    43100      43100    0       0           42600       0      500
USX MARATHON GROUP               COM NEW    902905827    25943708   796748     796748    0       0          792148       0     4600
VALENTIS INC                     COM        91913E104       76240    20000      20000    0       0           14869       0     5131
VALLEY MEDIA INC                 COM        91972C106     2577287   173263     173263    0       0          158363       0    14900
VANTIVE CORP                     COM        922091103    21812955  1907227    1907227    0       0         1499127       0   408100
VARCO INTL INC                   COM        922126107     4643213   429450     429450    0       0          429450       0        0
VDI MEDIA                        COM        917916108     5233027   805081     805081    0       0          651781       0   153300
VENTANA MED SYS INC              COM        92276H106    16957621   886673     886673    0       0          685873       0   200800
VERISIGN INC                     COM        92343E102    58384954   676927     676927    0       0          610327       0    66600
VERITAS DGC INC                  COM        92343P107      275412    15040      15040    0       0           15040       0        0
VERITAS SOFTWARE CO              COM        923436109    21579465   227303     227303    0       0          227303       0        0
VERITY INC                       COM        92343C106     3511318    64800      64800    0       0           64800       0        0
VESTCOM INTL INC                 COM        924904105      532350   152100     152100    0       0          152100       0        0
VI TECHNOLOGIES INC              COM        917920100     4316475   863295     863295    0       0          671535       0   191760
VIATEL INC                       COM        925529208    15248826   271694     270975    0       0          271694       0        0
VISTANA INC                      COM        92839P108     3740625   237500     237500    0       0          237500       0        0
VISX INC DEL                     COM        92844S105     7615414    96170      96170    0       0           95270       0      900
VODAFONE GROUP PLC               SPONSORED
                                 ADR        92857T107   221308618  1123394    1123394    0       0         1123394       0        0
WACKENHUT CORP                   COM SER B  929794303     4416000   184000     184000    0       0          184000       0        0
WADDELL & REED FINL INC          CL A       930059100    23666332   858658     858658    0       0          641458       0   217200
WADDELL & REED FINL INC          CL B       930059209     2008800    74400      74400    0       0           74400       0        0
                                            -           ---------
                                            PAGE TOTAL  445658840
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             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>
WAL MART STORES INC              COM        931142103   437059308  9058224    9058224    0       0         9015422       0    42802
WALTER INDS INC                  COM        93317Q105     1029785    79600      79600    0       0           79600       0        0
WARNER LAMBERT CO                COM        934488107   159798820  2311737    2311737    0       0         2295803       0    15934
WASHINGTON GAS LT CO             COM        938837101    20704710   796335     796335    0       0          796335       0        0
WASHINGTON MUT INC               COM        939322103     4228144   118895     118895    0       0          118895       0        0
WASTE INDUSTRIES INC             COM        941058109      301122    16846      16846    0       0           16846       0        0
WASTE MGMT INC DEL               COM        94106L109    31415477   584474     584474    0       0          584474       0        0
WATERLINK INC                    COM        94155N105      646875   225000     225000    0       0          225000       0        0
WATERS CORP                      COM        941848103    37957281   714490     714490    0       0          714490       0        0
WATSCO INC                       COM        942622200     2424908   148086     148086    0       0          148086       0        0
WAVECOM S A                      SPONSORED
                                 ADR        943531103     9267628   706105     706105    0       0          706105       0        0
WEATHERFORD INTL INC             COM        947074100    17616808   481005     481005    0       0          396635       0    84370
WELLPOINT HEALTH NETWORK NEW     COM        94973H108   102950829  1212970    1212970    0       0         1212970       0        0
WELLS FARGO & CO NEW             COM        949746101   627000656 14666682   14666682    0       0        14586886       0    79796
WENDYS INTL INC                  COM        950590109    99711268  3498641    3498641    0       0         3498641       0        0
WESLEY JESSEN VISIONCARE INC     COM        951018100     3195413    98700      98700    0       0           98700       0        0
WESTERN WIRELESS CORP            CL A       95988E204     3262005   120815     120815    0       0          120815       0        0
WESTPOINT STEVENS INC            COM        961238102     2250806    75500      75500    0       0           75500       0        0
WESTVACO CORP                    COM        961548104     7206529   248501     248501    0       0          248501       0        0
WESTWOOD ONE INC                 COM        961815107      254984     7145       7145    0       0            7145       0        0
WEYERHAEUSER CO                  COM        962166104    69318081  1008263    1008263    0       0         1008263       0        0
                                            -          ----------
                                           PAGE TOTAL  1637601438
</TABLE>
<PAGE>
<TABLE>
                                           MFS 13F REPORT
DATE: 990630                                                                                             PAGE:   49
<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>
WHITEHALL JEWELLERS INC          COM        965063100     3042318   114000     114000    0       0          114000       0        0
WHITTAKER CORP DEL               COM PAR
                                 $0.01      966680407      305900    10925      10925    0       0           10925       0        0
WICOR INC                        COM        929253102     1413361    50591      50591    0       0           50591       0        0
WILLAMETTE INDS INC              COM        969133107     4804267   104300     104300    0       0          104300       0        0
WILLIAMS COS INC DEL             COM        969457100   139621449  3280425    3280425    0       0         3280425       0        0
WILMAR INDS INC                  COM        971426101      865800    66600      66600    0       0           66600       0        0
WIND RIVER SYSTEMS INC           COM        973149107    15002968   934066     934066    0       0          696416       0   237650
WINSTAR COMMUNICATIONS INC       COM        975515107    28606500   586800     586800    0       0          586800       0        0
WISCONSIN CENT TRANSN CORP       COM        976592105     6193548   328135     328135    0       0          328135       0        0
WMF GROUP LTD                    COM        929289106      431250    69000      69000    0       0           69000       0        0
WORKFLOW MGMT INC                COM        98137N109     7271105   510253     510253    0       0          510253       0        0
WORLDGATE COMMUNICATIONS INC     COM        98156L307      215250     4200       4200    0       0            4200       0        0
XEROX CORP                       COM        984121103   763270865 12923214   12923214    0       0        12830901       0    92313
XILINX INC                       COM        983919101   195365282  3412494    3412494    0       0         3412494       0        0
XIONICS DOCUMENT TECHNOLOGIES    COM        98412X103     3383510   762567     762567    0       0          533067       0   229500
XL CAP LTD                       CL A       G98255105     7160697   126738     126738    0       0          118634       0     8104
YOUNG & RUBICAM INC              COM        987425105   157815287  3473277    3473277    0       0         3473277       0        0
YOUNG BROADCASTING INC           CL A       987434107     4213340    98993      98993    0       0           98993       0        0
                                            -         -----------
                                           PAGE TOTAL  1338982696
                                            -         -----------
                                          GRAND TOTAL 80938376599
</TABLE>



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