MASSACHUSETTS FINANCIAL SERVICES CO /MA/
13F-HR, 2000-04-27
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<PAGE>

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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2000

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: 28-04968

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    April 20, 2000
    ----------------    ---------------------    --------------
      [Signature]            [City, State]           [Date]

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:      1,078

Form 13F Information Table Value Total:      $112,588,029,867
                                             ----------------
                                              (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: 000331                                                                                                      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>
724 SOLUTIONS INC                COM        81788Q100     2277105    18290      18290    0       0            15110      0     3180
A CONSULTING TEAM INC            COM        000881102      200000    20000      20000    0       0            20000      0        0
A D C TELECOMMUNICATIONS         COM        000886101    68836088  1277700    1277700    0       0          1277700      0        0
ABBOTT LABS                      COM        002824100    59291890  1685051    1685051    0       0          1685051      0        0
ABGENIX INC                      COM        00339B107     1802531    13050      13050    0       0            13050      0        0
ABITIBI-CONSOLIDATED INC         COM        003924107     1007835   105400     105400    0       0           105400      0        0
ACE LTD                          ORD        G0070K103    17513100   765600     765600    0       0           765600      0        0
ACME COMMUNICATION INC           COM        004631107      504394    22050      22050    0       0            22050      0        0
ACSYS INC                        COM        00087X103      561750   149800     149800    0       0           149800      0        0
ACTIVE SOFTWARE INC              COM        00504E100     7006531   110150     110150    0       0           110150      0        0
ACXIOM CORP                      COM        005125109    24912396   749245     749245    0       0           531699      0   217546
ADELPHIA BUSINESS SOLUTIONS      CL A       006847107   111877045  1815449    1815449    0       0          1669449      0   146000
ADELPHIA COMMUNICATIONS CORP     CL A       006848105     2038400    41600      41600    0       0            41500      0      100
ADVANCED FIBRE COMMUNICATIONS    COM        00754A105    37151827   592656     592656    0       0           446316      0   146340
AES CORP                         COM        00130H105   478436175  6075380    6075380    0       0          6066080      0     9300
AETHER SYS INC                   COM        00808V105     6656513    36675      36675    0       0            36675      0        0
AETNA INC                        COM        008117103     1387500    25000      25000    0       0            25000      0        0
AFFILIATED COMPUTER SERVICES     CL A       008190100   223044382  5869589    5869589    0       0          5481757      0   387832
AGCO CORP                        COM        001084102    37216952  3271820    3271820    0       0          2984320      0   287500
AGENCY COM LTD                   COM        008447104      280214    10500      10500    0       0            10500      0        0
                                                      -----------
                                         PAGE TOTAL    1082002626
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
AGILE SOFTWARE CORP DEL          COM        00846X105     5893125    94290      94290    0       0            94290      0        0
AGILENT TECHNOLOGIES INC         COM        00846U101     1240720    11930      11930    0       0            11930      0        0
AGL RES INC                      COM        001204106     1321475    71917      71917    0       0            71917      0        0
AIR PRODS & CHEMS INC            COM        009158106   121731261  4280735    4280735    0       0          4280205      0      530
AIRGATE PCS INC                  COM        009367103     5503935    52170      52170    0       0            52170      0        0
AIRNET COMMUNICATIONS CORP       COM        00941P106    10326818   295584     295584    0       0           226934      0    68650
AIRNET SYS INC                   COM        009417106      263250    54000      54000    0       0            54000      0        0
AKAMAI TECHNOLOGIES INC          COM        00971T101     4623345    28750      28750    0       0            28750      0        0
AKZO NOBEL NV                    SPONSORED
                                 ADR        010199305      663155    15400      15400    0       0            15400      0        0
ALAMOSA PCS HOLDINGS             COM        011593100     1969795    52180      52180    0       0            52180      0        0
ALCOA INC                        COM        013817101    24771344   352617     352617    0       0           346561      0     6056
ALKERMES INC                     COM        01642T108    12901900   139480     139480    0       0           139480      0        0
ALLAIRE CORP                     COM        016714107     5668850    74960      74960    0       0            74960      0        0
ALLEGIANCE TELECOM INC           COM        01747T102   133580468  1656812    1656812    0       0          1618692      0    38120
ALLIANCE SEMICONDUCTOR CORP      COM        01877H100     3321449   154940     154940    0       0           154940      0        0
ALLIED WASTE INDS INC            COM
                                 PAR$.01NEW 019589308     2122610   323470     323470    0       0           323470      0        0
ALLSCRIPTS INC                   COM        019886100      799663    13300      13300    0       0            13300      0        0
ALLSTATE CORP                    COM        020002101    16262358   682948     682948    0       0           682948      0        0
ALLTEL CORP                      COM        020039103   289909032  4583542    4583542    0       0          4575189      0     8353
ALTEON WEBSYSTEMS INC            COM        02145A109     1430900    17450      17450    0       0            17450      0        0
ALTERA CORP                      COM        021441100  1050654035 11772034   11772034    0       0         11768534      0     3500
                                                      -----------
                                         PAGE TOTAL    1694959486
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
ALTERNATIVE RESOURCES CORP       COM        02145R102     1173936   507758     507758    0       0           319208      0   188550
AMDOCS LTD                       ORD        G02602103   145747662  1969563    1969563    0       0          1869880      0    99683
AMERICA ONLINE INC DEL           COM        02364J104   146724030  2175720    2175720    0       0          2157620      0    18100
AMERICAN EXPRESS CO              COM        025816109   206668407  1387623    1387623    0       0          1385722      0     1901
AMERICAN HOME PRODS CORP         COM        026609107   644690937 11994250   11994250    0       0         11950330      0    43920
AMERICAN INTL GROUP INC          COM        026874107   776073257  7087427    7087427    0       0          7070020      0    17407
AMERICAN SUPERCONDUCTOR CORP     COM        030111108    12464450   280100     280100    0       0           280100      0        0
AMERICAN TOWER CORP              CL A       029912201   363068546  7353287    7353287    0       0          7128417      0   224870
AMERICAN TOWER CORP              NT CV
                                 144A 09    029912AA0     3783613  1790000    1790000    0       0          1790000      0        0
AMERIHOST PPTYS INC              COM NEW    03070D209     1679549   527000     527000    0       0           527000      0        0
AMERISOURCE HEALTH CORP          CL A       03071P102     2846355   189757     189757    0       0           119167      0    70590
AMFM INC                         COM        001693100    24092075   387800     387800    0       0           387800      0        0
AMGEN INC                        COM        031162100    20499557   334005     334005    0       0           333920      0       85
AMKOR TECHNOLOGY INC             COM        031652100     1613085    30400      30400    0       0            30400      0        0
ANACOMP INC DEL                  COM        032371106     1691014   108663     108663    0       0           108663      0        0
ANADARKO PETE CORP               COM        032511107     7675501   198400     198400    0       0           198400      0        0
ANALOG DEVICES INC               COM        032654105  1336086434 16597347   16597347    0       0         16536235      0    61112
ANCOR COMMUNICATIONS INC         COM        03332K108    68075529  1655332    1655332    0       0          1494737      0   160595
ANGLO AMERN PLC                  ADR        03485P102      431204     9374       9374    0       0             9374      0        0
ANHEUSER BUSCH COS INC           COM        035229103   373689987  6003052    6003052    0       0          5965857      0    37195
ANNTAYLOR STORES CORP            GTD SD
                                 CV 144A19  036115AA1     1725000  4000000    4000000    0       0          4000000      0        0
                                                      -----------
                                         PAGE TOTAL    4140500125
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
ANTEC CORP                       COM        03664P105   126453907  2821876    2821876    0       0          2624606      0   197270
ANTENNA TV SA                    SPONSORED
                                 ADR        03672N100    12454901   532830     532830    0       0           459130      0    73700
ANTIGENICS INC DEL               COM        037032109      473515    23240      23240    0       0            23240      0        0
AON CORP                         COM        037389103    51922403  1609997    1609997    0       0          1609997      0        0
APAC CUSTOMER SERVICES INC       COM        00185E106     2328116   268000     268000    0       0           268000      0        0
APACHE CORP                      COM        037411105   217165317  4365132    4365132    0       0          4152632      0   212500
APACHE CORP                      ACES
                                 C DP 1/50  037411600    11588400   257520     257520    0       0           257520      0        0
APPLE COMPUTER INC               COM        037833100    14752579   108625     108625    0       0           108625      0        0
APPLEBEES INTL INC               COM        037899101   103569300  3682464    3682464    0       0          3535014      0   147450
APPLIED GRAPHICS TECHNOLOGIES    COM        037937109      802200   133700     133700    0       0           133700      0        0
APPLIED MATLS INC                COM        038222105   302472944  3209262    3209262    0       0          3195642      0    13620
APPLIED SCIENCE & TECHNOLOGY     COM        038236105    12200975   403338     403338    0       0           376138      0    27200
APROPOS TECHNOLOGY INC           COM        038334108      350390     9470       9470    0       0             9470      0        0
ARACRUZ CELULOSE S A             SPON ADR
                                 CL B       038496204     1091342    51510      51510    0       0            51510      0        0
ARCHER DANIELS MIDLAND CO        COM        039483102    38717466  3754603    3754603    0       0          3754603      0        0
ARIBA INC                        COM        04033V104    32373437   154435     154435    0       0           154435      0        0
ARM HLDGS PLC                    SPONSORED
                                 ADR        042068106   123694447   695890     695890    0       0           695890      0        0
ART TECHNOLOGY GROUP INC         COM        04289L107      913049    13900      13900    0       0            13900      0        0
ASE TEST LTD                     ORD        Y02516105     6517170   224730     224730    0       0           224730      0        0
ASM INTL N V                     COM        N07045102    30489150  1051350    1051350    0       0          1051350      0        0
ASM LITHOGRAPHY HLDG N V         N Y SHS    N07059111     5605380    50160      50160    0       0            50160      0        0
                                                      -----------
                                         PAGE TOTAL    1095936388
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
ASPECT DEV INC                   COM        045234101    16222500   252000     252000    0       0           252000      0        0
ASPECT MED SYS INC               COM        045235108     1137596    31710      31710    0       0            31500      0      210
ASPEN TECHNOLOGY INC             COM        045327103   117948416  2921323    2921323    0       0          2384827      0   536496
ASSOCIATED MATLS INC             COM        045709102      971250    70000      70000    0       0            70000      0        0
ASSOCIATES FIRST CAP CORP        CL A       046008108   212689953 12689953               0       0         12644443      0    45510
ASTRAZENECA PLC                  SPONSORED
                                 ADR        046353108     2722734    67228      67228    0       0            67228      0        0
ASYST TECHNOLOGY CORP            COM        04648X107    18389358   314348     314348    0       0           314348      0        0
AT & T CDA INC                   DEPS
                                 RCPT CL B  00207Q202    97934890  1605490    1605490    0       0          1605490      0        0
AT&T CORP                        COM        001957109   141554572  2513755    2513755    0       0          2498674      0    15081
AT&T CORP                        COM LIB
                                 GRP A      001957208   298537462  5033340    5033340    0       0          5027040      0     6300
ATLANTIC RICHFIELD CO            COM        048825103   261320090  3074354    3074354    0       0          3038034      0    36320
ATLANTIS PLASTICS INC            COM        049156102     1048950   116550     116550    0       0           116550      0        0
ATLAS AIR INC                    COM        049164106    23868482   871908     871908    0       0           696743      0   175165
ATMEL CORP                       COM        049513104   221616316  4292810    4292810    0       0          4289710      0     3100
ATMI INC                         COM        00207R101      398331     8342       8342    0       0             8342      0        0
ATMOS ENERGY CORP                COM        049560105     7350721   448899     448899    0       0           448899      0        0
ATWOOD OCEANICS INC              COM        050095108     1841153    27765      27765    0       0            27765      0        0
AUTODESK INC                     COM        052769106    32097384   705437     705437    0       0           705437      0        0
AUTOMATIC DATA PROCESSING INC    COM        053015103   360997091  7481805    7481805    0       0          7453635      0    28170
AUTONATION INC                   COM        05329W102    40196143  5064400    5064400    0       0          5064400      0        0
AVADO BRANDS INC                 COM        05336P108     1040440   370000     370000    0       0           370000      0        0
                                                      -----------
                                         PAGE TOTAL    1918441623
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
AVANEX CORP                      COM        05348W109     4717908    31090      31090    0       0            31090      0        0
AVENTIS                          SPONSORED
                                 ADR        053561106      871560    16140      16140    0       0            16140      0        0
AVENUE A INC                     COM        053566105      658800    21600      21600    0       0            21600      0        0
AVT CORP                         COM        002420107    17927450  1517732    1517732    0       0          1308432      0   209300
AWARE INC MASS                   COM        05453N100     9470704   236030     236030    0       0           179210      0    56820
AXA                              SPONSORED
                                 ADR        054536107      497795     6944       6944    0       0             6944      0        0
AXA FINL INC                     COM        002451102   221180173  6165301    6165301    0       0          6145201      0    20100
AZTEC TECHNOLOGY PARTNERS INC    COM        05480L101     7768827   974881     974881    0       0           974881      0        0
BACKWEB TECHNOLOGIES LTD         ORD        M15633106      762266    22175      22175    0       0            22175      0        0
BAKER HUGHES INC                 COM        057224107   242546013  8018050    8018050    0       0          8012850      0     5200
BANK NEW YORK INC                COM        064057102    62125880  1494776    1494776    0       0          1494406      0      370
BANK OF AMERICA CORPORATION      COM        060505104   265665611  5066377    5066377    0       0          5052701      0    13676
BANK ONE CORP                    COM        06423A103    14471888   419475     419475    0       0           419475      0        0
BANYAN SYS INC                   COM        066908104    55548255  3162980    3162980    0       0          2565180      0   597800
BARNETT INC                      COM        068062108     1100000   100000     100000    0       0           100000      0        0
BAUSCH & LOMB INC                COM        071707103   319289094  6118173    6118173    0       0          5979906      0   138267
BAXTER INTL INC                  COM        071813109     7053228   112515     112515    0       0           112515      0        0
BCE INC                          COM        05534B109   143676543  1145408    1145408    0       0          1145108      0      300
BE AEROSPACE INC                 COM        073302101      471175    80200      80200    0       0            80200      0        0
BEA SYS INC                      COM        073325102    56748225   773400     773400    0       0           771200      0     2200
BED BATH & BEYOND INC            COM        075896100    18187313   461900     461900    0       0           461900      0        0
                                                      -----------
                                         PAGE TOTAL    1450738705
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
BELDEN INC                       COM        077459105    10275650   373660     373660    0       0           234000      0   139660
BELL ATLANTIC CORP               COM        077853109   555020807  9080095    9080095    0       0          9016425      0    63670
BELLSOUTH CORP                   COM        079860102    38677313   825116     825116    0       0           814046      0    11070
BERKSHIRE ENERGY RES             COM        084644103     1589469    44076      44076    0       0            44076      0        0
BEST BUY INC                     COM        086516101    35708490   415215     415215    0       0           415215      0        0
BESTFOODS                        COM        08658U101    44344118   947281     947281    0       0           940925      0     6356
BIOGEN INC                       COM        090597105    43683055   625160     625160    0       0           621160      0     4000
BIOSOURCE INTL INC               COM        09066H104     6239622   511990     511990    0       0           511990      0        0
BIOTECH HOLDERS TR               DEPOSTRY
mm                               RCPTS      09067D201    15983850    94300      94300    0       0            94300      0        0
BISYS GROUP INC                  COM        055472104   203986422  3067465    3067465    0       0          2879145      0   188320
BJ SVCS CO                       COM        055482103   146191459  1978903    1978903    0       0          1952803      0    26100
BJS WHOLESALE CLUB INC           COM        05548J106    69099905  1800649    1800649    0       0          1592449      0   208200
BLACK BOX CORP DEL               COM        091826107    13413395   193740     193740    0       0           123050      0    70690
BLOCK H & R INC                  COM        093671105     7395877   165271     165271    0       0           128871      0    36400
BLUESTONE SOFTWARE INC           COM        09623P102      639563    18950      18950    0       0            18950      0        0
BLYTH INDS INC                   COM        09643P108    14756018   540276     540276    0       0           439356      0   100920
BMC SOFTWARE INC                 COM        055921100  1209356342 24493293   24493293    0       0         24392441      0   100852
BOEING CO                        COM        097023105    58485635  1546748    1546748    0       0          1544890      0     1858
BORON LEPORE & ASSOCS INC        COM        10001P102     5773871   650577     650577    0       0           405543      0   245034
BOSTON SCIENTIFIC CORP           COM        101137107    35477511  1664673    1664673    0       0          1664673      0        0
BOWATER INC                      COM        102183100   128416194  2405924    2405924    0       0          2394124      0    11800
                                                      -----------
                                         PAGE TOTAL    2644514566
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
BP AMOCO P L C                   SPONSORED
                                 ADR        055622104   869607006 16330648   16330648    0       0         16282025      0    48623
BRAUN CONSULTING INC             COM        105651103     3856000   120500     120500    0       0           120500      0        0
BRIGHT HORIZON FAMILY SOLUTION   COM        109195107     9433993   436254     436254    0       0           330184      0   106070
BRIO TECHNOLOGY INC              COM        109704106     4548875   120500     120500    0       0           120500      0        0
BRISTOL MYERS SQUIBB CO          COM        110122108  1159167816 19985652   19985652    0       0         19858269      0   127383
BROADBASE SOFTWARE               COM        11130R100     1575063    19750      19750    0       0            19750      0        0
BROADWING INC                    COM        111620100   186049908  5003090    5003090    0       0          4881929      0   121161
BROCADE COMMUNICATIONS SYS INC   COM        111621108    49335904   275140     275140    0       0           274940      0      200
BROOKS AUTOMATION INC            COM        11434A100     9620688   153931     153931    0       0           153931      0        0
BSQUARE CORP                     COM        11776U102      245588    11100      11100    0       0            11100      0        0
BUDGET GROUP INC                 CL A       119003101     1321635   267700     267700    0       0           267700      0        0
BUFFETS INC                      COM        119882108    38212220  4231228    4231228    0       0          3800357      0   430871
BURLINGTON NORTHN SANTA FE CP    COM        12189T104    29704539  1305694    1305694    0       0          1305694      0        0
BURLINGTON RES INC               COM        122014103    14870300   401900     401900    0       0           401900      0        0
BURR BROWN CORP                  COM        122574106   152283332  2800613    2800613    0       0          2496218      0   304395
BUSINESS OBJECTS S A             SPONSORED
                                 ADR        12328X107    39882187   400826     400826    0       0           399726      0     1100
C BRIDGE INTERNET SOL INC        COM        12500B105      698250    12250      12250    0       0            12250      0        0
CABLE & WIRELESS PUB LTD CO      SPONSORED
                                 ADR        126830207      809760    14460      14460    0       0            14460      0        0
CABLE DESIGN TECHNOLOGIES CORP   COM        126924109   123479842  3638502    3638502    0       0          3212462      0   426040
CABLETRON SYS INC                COM        126920107   185807156  6325350    6325350    0       0          6321880      0     3470
CABLEVISION SYS CORP             CL A       12686C109    26001000   428000     428000    0       0           428000      0        0
                                                      -----------
                                         PAGE TOTAL    2906511060
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
CACHEFLOW INC                    COM        126946102     3158025    26650      26650    0       0            26650      0        0
CADENCE DESIGN SYSTEM INC        COM        127387108   514955946 24967561   24967561    0       0         24688791      0   278770
CALICO COMM INC                  COM        129897104      219425     6700       6700    0       0             6700      0        0
CALIFORNIA AMPLIFIER INC         COM        129900106    16105120   519520     519520    0       0           519520      0        0
CALIPER TECHNOLOGIES CORP        COM        130876105     1066741    13190      13190    0       0            13190      0        0
CALL-NET ENTERPRISES INC         CL B
                                 NON-VTG    130910201       71044    12700      12700    0       0            12700      0        0
CALPINE CORP                     COM        131347106   150861070  1604905    1604905    0       0          1604705      0      200
CAMBREX CORP                     COM        132011107    42026003   966115     966115    0       0           956915      0     9200
CAMBRIDGE TECH PARTNERS MASS     COM        132524109    54260138  4000895    4000895    0       0          3592115      0   408780
CAMINUS CORP                     COM        133766105      569800    28490      28490    0       0            28490      0        0
CANADIAN NATL RY CO              COM        136375102    88684504  3323135    3323135    0       0          3145417      0   177718
CANADIAN NATL RY CO              PFD CV
                                 063029     136375409     2438809    58590      58590    0       0            58590      0        0
CANDLEWOOD HOTEL COMPANY INC     COM        13741M108      354471   183000     183000    0       0           183000      0        0
CANON INC                        ADR        138006309      461438    10700      10700    0       0            10700      0        0
CAPITAL ONE FINL CORP            COM        14040H105   158553209  3307533    3307533    0       0          3292900      0    14633
CARDINAL HEALTH INC              COM        14149Y108    16057397   350025     350025    0       0           350025      0        0
CAREMARK RX INC                  COM        141705103   107380468 25646159   25646159    0       0         20327279      0  5318880
CAREMATRIX CORP                  COM        141706101      330624   252000     252000    0       0           252000      0        0
CAREY INTERNATIONAL INC          COM        141750109      499800    29400      29400    0       0            29400      0        0
CARNIVAL CORP                    COM        143658102    63093194  2542850    2542850    0       0          2520550      0    22300
CAROLINA PWR & LT CO             COM        144141108    30704086   946576     946576    0       0           946576      0        0
                                                      -----------
                                         PAGE TOTAL    1251851310
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
CARRAMERICA RLTY CORP            COM        144418100     7316375   344300     344300    0       0           344300      0        0
CARRIER ACCESS CORP              COM        144460102    21965625   412500     412500    0       0           361600      0    50900
CARSON INC                       CL A       145845103      986781   225550     225550    0       0           225550      0        0
CATALINA MARKETING CORP          COM        148867104     8776147    86678      86678    0       0            55228      0    31450
CBS CORP                         COM        12490K107   358521584  6331507    6331507    0       0          6308907      0    22600
CEC ENTMT INC                    COM        125137109    44159500  1628000    1628000    0       0          1628000      0        0
CELESTICA INC                    SUB VTG
                                 SHS        15101Q108    12894066   243000     243000    0       0           243000      0        0
CELGENE CORP                     COM        151020104     3733575    37500      37500    0       0            37500      0        0
CENDANT CORP                     COM        151313103   788689281 42631853   42631853    0       0         42617153      0    14700
CENTRA SOFTWARE INC              COM        15234X103      303030    14430      14430    0       0            14430      0        0
CENTRAL PKG CORP                 COM        154785109     4572000   228600     228600    0       0           228600      0        0
CENTURYTEL INC                   COM        156700106    35565750   958000     958000    0       0           958000      0        0
CERIDIAN CORP                    COM        15677T106    45587218  2375943    2375943    0       0          2126053      0   249890
CHARTERED SEMICONDUCTOR MFG      ADR        16133R106    46191925   490100     490100    0       0           490100      0        0
CHASE MANHATTAN CORP NEW         COM        16161A108   288341882  3307166    3307166    0       0          3295162      0    12004
CHECK POINT SOFTWARE TECH LTD    ORD        M22465104     2849893    16660      16660    0       0            16660      0        0
CHECKFREE HLDGS CORP             COM        162816102    57151248   810656     810656    0       0           717116      0    93540
CHEVRON CORPORATION              COM        166751107    78326677   847352     847352    0       0           838325      0     9027
CHINA TELECOM HONG KONG LTD      SPONSORED
                                 ADR        169428109     6831215    38540      38540    0       0            38540      0        0
CHOICE ONE COMMUNICATION INC     COM        17038P104     1363200    38400      38400    0       0            38400      0        0
CHORDIANT SOFTWARE INC           COM        170404107     6114225   376260     376260    0       0           345570      0    30690
                                                      -----------
                                         PAGE TOTAL    1820241197
<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
CHUBB CORP                      COM        171232101    20365619     301436     301436   0       0           301436      0        0
CIENA CORP                      COM        171779101   360047146    2854685    2854685   0       0          2845985      0     8700
CIGNA CORP                      COM        125509109   126393117    1668556    1668556   0       0          1607481      0    61075
CINTAS CORP                     COM        172908105    67258490    1716347    1716347   0       0          1715431      0      916
CIRCUIT CITY STORE INC          CIRCT CITY
                                GRP        172737108    31652869     519965     519965   0       0           519965      0        0
CISCO SYS INC                   COM        17275R102  6676786164   86361576   86361576   0       0         86250162      0   111414
CIT GROUP INC                   CL A       125577106     5512650     282700     282700   0       0           282700      0        0
CITADEL COMMUNICATIONS CORP     COM        172853202    12348135     292700     292700   0       0           292700      0        0
CITIGROUP INC                   COM        172967101   684417054   11430765   11430765   0       0         11387007      0    43758
CITRIX SYS INC                  COM        177376100    64500337     973590     973590   0       0           968090      0     5500
CLEAR CHANNEL COMMUNICATIONS    COM        184502102   365484461    5292121    5292121   0       0          5292121      0        0
CLOROX CO DEL                   COM        189054109   101815593    3085321    3085321   0       0          3049443      0    35878
CLOSURE MED CORP                COM        189093107     3021900     115120     115120   0       0           115120      0        0
CMS ENERGY CORP                 COM        125896100    69252453    3820825    3820825   0       0          3820825      0        0
CMS ENERGY CORP                 ADJ CV
                                TR8.75%    125896308    32990775    1233300    1233300   0       0          1233300      0        0
CNET NETWORKS INC               COM        12613R104     3015877      59500      59500   0       0            59500      0        0
COAST DENTAL SVCS INC           COM        19034H102      155800      65600      65600   0       0            65600      0        0
COASTAL CORP                    COM        190441105   464596688   10099928   10099928   0       0         10004504      0    95424
COBALT NETWORKS INC             COM        19074R101      832840      17720      17720   0       0            17720      0        0
COCA COLA CO                    COM        191216100    10724213     228481     228481   0       0           227744      0      737
COGNEX CORP                     COM        192422103     6951284     120500     120500   0       0           120500      0        0
                                                    -----------
                                       PAGE TOTAL    9108123464

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
COLDWATER CREEK INC             COM        193068103      510000      30000      30000  0       0              30000    0         0
COLGATE PALMOLIVE CO            COM        194162103   390998509    6935672    6935672  0       0            6904363    0     31309
COLLECTORS UNIVERSE INC         COM        19421R101     2878655     442870     442870  0       0             397700    0     45170
COLT TELECOM GROUP PLC          SPONSORED
                                ADR        196877104    42255415     213546     213546  0       0             213546    0         0
COLUMBIA ENERGY GROUP           COM        197648108    63092362    1064850    1064850  0       0            1061450    0      3400
COMCAST CORP                    CL A SPL   200300200   348893319    8043650    8043650  0       0            8020950    0     22700
COMCAST CORP                    ZONES CV2%
                                PCS        200300507    17619158     139696     139696  0       0             139696    0         0
COMERICA INC                    COM        200340107    23309803     556652     556652  0       0             556382    0       270
COMMAND SYS INC                 COM        200903102       60413      17900      17900  0       0              17900    0         0
COMMONWEALTH TEL ENTERPRISES    COM        203349105     1649038      35133      35133  0       0              35133    0         0
COMPANHIA BRASILEIRA DE DISTRB  ADR        20440T201     2019875      56500      56500  0       0              56500    0         0
COMPANHIA CERVEJARIA BRAHMA     SPON ADR
z                               PFD        20440X103      435175      26780      26780  0       0              26780    0         0
COMPAQ COMPUTER CORP            COM        204493100    28114560    1041280    1041280  0       0            1040530    0       750
COMPLETE BUSINESS SOLUTIONS     COM        20452F107    49461191    2210556    2210556  0       0            1768966    0    441590
COMPUTER ASSOC INTL INC         COM        204912109  1504047437   25411787   25411787  0       0           25215887    0    195900
COMPUTER HORIZONS CORP          COM        205908106    13641313     796573     796573  0       0             597793    0    198780
COMPUTER NETWORK TECHNOLOGY CP  COM        204925101    46919040    2681088    2681088  0       0            2111508    0    569580
COMPUTER SCIENCES CORP          COM        205363104   571409179    7221601    7221601  0       0            7152221    0     69380
COMPUWARE CORP                  COM        205638109   643211744   30538968   30538968  0       0           30404568    0    134400
COMVERSE TECHNOLOGY INC         COM PAR
                                $0.10      205862402    24764670     131030     131030  0       0             131030    0         0
CONCORD COMMUNICATIONS INC      COM        206186108    14173128     398547     398547  0       0             315097    0     83450
                                                     -----------
                                        PAGE TOTAL    3789463982

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
CONCORD EFS INC                 COM        206197105   179101959    7808430    7808430  0       0            6957830    0    850600
CONCUR TECHNOLOGIES INC         COM        206708109     2429501     161300     161300  0       0             161300    0         0
CONDUCTUS INC                   COM        206784100     5749134     177240     177240  0       0             177240    0         0
CONEXANT SYSTEMS INC            COM        207142100     9757530     137430     137430  0       0             136730    0       700
CONMED CORP                     COM        207410101    20719257     826720     826720  0       0             651020    0    175700
CONOCO INC                      CL A       208251306   131146126    5325731    5325731  0       0            5084631    0    241100
CONOCO INC                      CL B       208251405   467159356   18230609   18230609  0       0           18138979    0     91630
CONSECO INC                     COM        208464107     3694311     323014     323014  0       0             323014    0         0
CONSOLIDATED STORES CORP        COM        210149100    14881059    1308225    1308225  0       0            1308225    0         0
CONSTELLATION ENERGY CORP       COM        210371100     5504813     172700     172700  0       0             172700    0         0
COOPER CAMERON CORP             COM        216640102   325693421    4870182    4870182  0       0            4737352    0    132830
COPPER MTN NETWORKS INC         COM        217510106    44114881     538400     538400  0       0             538320    0        80
CORNELL CORRECTIONS INC         COM        219141108     1139000     107200     107200  0       0             107200    0         0
CORNING INC                     COM        219350105  1205984316    6216414    6216414  0       0            6192611    0     23803
COSTCO WHSL CORP NEW            COM        22160K105   423560312    8058299    8058299  0       0            8028655    0     29644
COTELLIGENT INC                 COM        221630106     3586004     617000     617000  0       0             617000    0         0
COX COMMUNICATIONS INC NEW      CL A       224044107    60157024    1240351    1240351  0       0            1240351    0         0
COX RADIO INC                   CL A       224051102    44873472     534208     534208  0       0             534208    0         0
CRAYFISH CO LTD                 SPONSORED
                                ADR        225226109     1665160      43820      43820  0       0              43820    0         0
CREDENCE SYS CORP               COM        225302108    54380701     434611     434611  0       0             372426    0     62185
CROSSROADS SYS INC              COM        22765D100     3766044      36475      36475  0       0              36475    0         0
                                                     -----------
                                        PAGE TOTAL    3009063379

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
CROWN CASTLE INTL CORP          COM        228227104    53854463    1421900    1421900  0       0            1421900    0         0
CSG SYS INTL INC                COM        126349109    37570694     769702     769702  0       0             654242    0    115460
CSK AUTO CORP                   COM        125965103    19464289    1396591    1396591  0       0            1156991    0    239600
CTG RES INC                     COM        125957100      740319      19908      19908  0       0              19908    0         0
CUMULUS MEDIA INC               CL A       231082108      301875      21000      21000  0       0              21000    0         0
CVS CORP                        COM        126650100   776805524   20680622   20680622  0       0           20494456    0    186166
CYBERONICS INC                  COM        23251P102    21025398    1125135    1125135  0       0             848375    0    276760
CYPRESS COMMUNICATIONS INC      COM        232743104      608825      24850      24850  0       0              24850    0         0
CYPRESS SEMICONDUCTOR CORP      COM        232806109    22197490     453010     453010  0       0             453010    0         0
CYSIVE INC                      COM        23281T108    22473754     328084     328084  0       0             280639    0     47445
CYTYC CORP                      COM        232946103   225184390    4667034    4667034  0       0            3938914    0    728120
DANAHER CORP DEL                COM        235851102     2111400      41400      41400  0       0              41400    0         0
DANKA BUSINESS SYS PLC          SPONSORED
                                ADR        236277109    27122112    4428100    4428100  0       0            4428100    0         0
DATA RETURN CORP                COM        23785M104     1296703      35225      35225  0       0              35225    0         0
DE BEERS CONS MINES LTD         ADR DEFD   240253302      539937      23540      23540  0       0              23540    0         0
DEERE & CO                      COM        244199105   355761928    9362156    9362156  0       0            9179536    0    182620
DEL MONTE FOODS CO              COM        24522P103    72306105    6765800    6765800  0       0            5585450    0   1180350
DELANO TECHNOLOGY CORP          COM        245701107      211581       9430       9430  0       0               9430    0         0
DELL COMPUTER CORP              COM        247025109   518593791    9614806    9614806  0       0            9590170    0     24636
DELPHI AUTOMOTIVE SYS CORP      COM        247126105   101059056    6316191    6316191  0       0            6147831    0    168360
DELTATHREE COM INC              CL A       24783N102      321174      15340      15340  0       0              15340    0         0
                                                     -----------
                                        PAGE TOTAL    2259550806

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
DENDRITE INTL INC               COM        248239105    26885495    1284114    1284114  0       0             988699    0    295415
DEVON ENERGY CORP NEW           COM        25179M103   114251817    2352700    2352700  0       0            2347800    0      4900
DIAL CORP NEW                   COM        25247D101     2085284     151657     151657  0       0             132977    0     18680
DIAMOND OFFSHORE DRILLING INC   COM        25271C102   143047944    3581840    3581840  0       0            3467540    0    114300
DIAMOND TECHNOLOGY PARTNERS     CL A       252762109    33630533     511491     511491  0       0             442591    0     68900
DIGEX INC DEL                   CL A       253756100    84338745     760240     760240  0       0             760240    0         0
DIGIMARC CORP                   COM        253807101     8327880     189270     189270  0       0             188450    0       820
DIGITAL IMPACT INC DEL          COM        25385G106      727599      20460      20460  0       0              20460    0         0
DIGITAL INSIGHT CORP            COM        25385P106    24120966     470653     470653  0       0             393893    0     76760
DIGITAL IS INC DEL              COM        25385N101     6703070     110000     110000  0       0             110000    0         0
DIGITALTHINK INC                COM        25388M100      858724      21800      21800  0       0              20720    0      1080
DIGITAS INC                     COM        25388K104      872690      35620      35620  0       0              34380    0      1240
DII GROUP INC                   COM        232949107   158093464    1398290    1398290  0       0            1392190    0      6100
DISNEY WALT CO                  COM DISNEY 254687106    72018581    1745905    1745905  0       0            1604625    0    141280
DISPATCH MGMT SVCS CORP         COM        254927106      498467     215600     215600  0       0             215600    0         0
DIVERSINET CORP                 COM NEW    25536K204    10855488     607300     607300  0       0             572100    0     35200
DOCUMENTUM INC                  COM        256159104    16072680     206060     206060  0       0             206060    0         0
DONALDSON LUFKIN & JENRETTE NW  COM DLJ    257661108    22825890     441080     441080  0       0             441080    0         0
DOW CHEM CO                     COM        260543103    14204058     124597     124597  0       0             124150    0       447
DPL INC                         COM        233293109     2875435     129600     129600  0       0             129600    0         0
DRIL-QUIP INC                   COM        262037104    15994508     339406     339406  0       0             255936    0     83470
                                                     -----------
                                        PAGE TOTAL     759289318

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
DST SYS INC DEL                 COM        233326107   126448904    1947585    1947585  0       0            1850460    0     97125
DU PONT E I DE NEMOURS & CO     COM        263534109    21286179     402104     402104  0       0             401004    0      1100
DUKE ENERGY CORP                COM        264399106    72047325    1372330    1372330  0       0            1372330    0         0
DUPONT PHOTOMASKS INC           COM        26613X101    85052733    1468021    1468021  0       0            1191401    0    276620
DYCOM INDS INC                  COM        267475101    18894330     387576     387576  0       0             250456    0    137120
DYNAMEX INC                     COM        26784F103           0      97000      97000  0       0              97000    0         0
DYNEGY INC NEW                  CL A       26816Q101    50347245     802500     802500  0       0             799100    0      3400
E M C CORP MASS                 COM        268648102   648557280    5147280    5147280  0       0            5124020    0     23260
E PIPHANY INC                   COM        26881V100     3493314      26155      26155  0       0              26155    0         0
E-TEK DYNAMICS INC              COM        269240107    50259986     213645     213645  0       0             212045    0      1600
EASTERN ENTERPRISES             COM        27637F100    43024499     718572     718572  0       0             718572    0         0
EASTMAN CHEM CO                 COM        277432100     7247695     159290     159290  0       0             159290    0         0
EASTMAN KODAK CO                COM        277461109     2553316      47012      47012  0       0              47012    0         0
EBENX INC                       COM        278668108      251635       8530       8530  0       0               8530    0         0
ECHOSTAR COMMUNICATIONS NEW     CL A       278762109   102658841    1299479    1299479  0       0            1299479    0         0
EDISON INTL                     COM        281020107     7308811     441300     441300  0       0             441300    0         0
EDWARDS AG INC                  COM        281760108   165188440    4129711    4129711  0       0            3895311    0    234400
EFFICIENT NETWORKS INC          COM        282056100     1246000       8000       8000  0       0               8000    0         0
EGAIN COMMUNICATIONS            COM        28225C103     5669040     145360     145360  0       0             145360    0         0
EGL INC                         COM        268484102    26142366    1118390    1118390  0       0             842990    0    275400
EL PASO ELEC CO                 COM NEW    283677854    12563088    1210900    1210900  0       0            1210900    0         0
                                                     -----------
                                        PAGE TOTAL    1450241026

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
EL PASO ENERGY CAP TR I         PFD CV
                                TR SECS    283678209    30603825     582930     582930  0       0             582930    0         0
EL PASO ENERGY CORP DEL         COM        283905107   109426061    2710243    2710243  0       0            2710243    0         0
ELAN PLC                        ADR        284131208    11171763     235195     235195  0       0             235195    0         0
ELECTRONIC DATA SYS NEW         COM        285661104    90044733    1402850    1402850  0       0            1402100    0       750
ELOQUENT INC                    COM        290140102      251224      12330      12330  0       0              12330    0         0
ELOYALTY CORP                   COM        290151109   108436335    4541836    4541836  0       0            3623634    0    918202
EMBRATEL PARTICIPACOES S A      SPON ADR
                                PFD        29081N100     2097406      81850      81850  0       0              81850    0         0
EMERSON ELEC CO                 COM        291011104   270658009    5094739    5094739  0       0            5085244    0      9495
EMMIS COMMUNICATIONS CORP       CL A       291525103    21272541     457474     457474  0       0             401424    0     56050
EMULEX CORP                     COM NEW    292475209    25055100     229600     229600  0       0             214800    0     14800
ENCOMPASS SVCS CORP             COM        29255U104     6859756    1193001    1193001  0       0            1193001    0         0
ENERGEN CORP                    COM        29265N108     7716695     484200     484200  0       0             484200    0         0
ENERGY EAST CORP                COM        29266M109     1068184      53916      53916  0       0              53916    0         0
ENGAGE TECHNOLOGIES INC         COM        292827102     1236254      16200      16200  0       0              16200    0         0
ENRON CORP                      COM        293561106   157814487    2107706    2107706  0       0            2106530    0      1176
ENSCO INTL INC                  COM        26874Q100    12334881     341450     341450  0       0             341450    0         0
ENTERCOM COMMUNICATIONS CORP    CL A       293639100    19171920     375920     375920  0       0             375920    0         0
ENTRUST TECHNOLOGIES INC        COM        293848107     3116407      36630      36630  0       0              36630    0         0
EOG RES INC                     COM        26875P101   270456292   12765200   12765200  0       0           11834700    0    930500
EON COMMUNICATIONS CORP         COM        268763109      920728      62690      62690  0       0              62690    0         0
EQUITY RESIDENTIAL PPTYS TR     SH BEN INT 29476L107    10614753     264134     264134  0       0             264134    0         0
                                                                                                                           --------
                                         PAGE TOTAL    1160327354

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
ERICSSON L M TEL CO             ADR CL
                                B SEK10    294821400   216822141    2311241    2311241  0       0            2311241    0         0
ESPEED INC                      CL A       296643109     3048225      58200      58200  0       0              58200    0         0
EXACTIS COM INC                 COM        30064G104    14344440     652020     652020  0       0             517880    0    134140
EXAR CORP                       COM        300645108     3480060      48630      48630  0       0              48630    0         0
EXCHANGE APPLICATIONS           COM        300867108    29521797     557836     557836  0       0             497036    0     60800
EXODUS COMMUNICATIONS INC       COM        302088109      240255       1710       1710  0       0               1710    0         0
EXPEDIA INC                     COM        302125109      365713      17210      17210  0       0              17210    0         0
EXPRESS SCRIPTS INC             CL A       302182100     6302520     150060     150060  0       0             113260    0     36800
EXTENDED STAY AMER INC          COM        30224P101     2907780     387704     387704  0       0             387704    0         0
EXTENSITY INC                   COM        302255104      403200       8400       8400  0       0               8400    0         0
EXTREME NETWORKS INC            COM        30226D106     4431900      56100      56100  0       0              56100    0         0
EXXON MOBIL CORP                COM        30231G102  1036176935   13295058   13295058  0       0           13244223    0     50835
F Y I INC                       COM        302712104    10996475     405400     405400  0       0             405400    0         0
FAIRCHILD SEMICONDUCTOR INTL    CL A       303726103   132463245    3629130    3629130  0       0            3620430    0      8700
FAIRMARKET INC                  COM        305158107     4052230     178120     178120  0       0             142490    0     35630
FEDERAL HOME LN MTG CORP        COM        313400301   355857751    8053449    8053449  0       0            8026821    0     26628
FEDERAL MOGUL CORP              COM        313549107     6729033     403250     403250  0       0             403250    0         0
FEDERAL NATL MTG ASSN           COM        313586109     1652289      29212      29212  0       0              29212    0         0
FEDERATED DEPT STORES INC DEL   COM        31410H101     6930267     164030     164030  0       0             127630    0     36400
FEDERATED INVS INC PA           CL B       314211103    21406326     783770     783770  0       0             557330    0    226440
FINANCIAL FED CORP              COM        317492106    14530395     798944     798944  0       0             684444    0    114500
                                                     -----------
                                        PAGE TOTAL    1872662977

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
FINISAR                         COM        31787A101     1695190      11570      11570  0       0              11570    0         0
FINOVA FIN TR                   TOPRS
                                CV 9.16%   31808E207     2211000      67000      67000  0       0              67000    0         0
FIREPOND INC                    COM        318224102      469547      11470      11470  0       0              11470    0         0
FIRST DATA CORP                 COM        319963104   451210014   10168113   10168113  0       0           10150406    0     17707
FIRST INDUSTRIAL REALTY TRUST   COM        32054K103      757932      27814      27814  0       0              27814    0         0
FIRSTAR CORP NEW WIS            COM        33763V109      479383      20900      20900  0       0              15900    0      5000
FIRSTCOM CORP                   COM        33763T104      501865      14680      14680  0       0              14680    0         0
FIRSTWORLD COMMUNICATIONS INC   COM SER B  337625305      440304      21610      21610  0       0              20990    0       620
FISERV INC                      COM        337738108   282204297    7588789    7588789  0       0            7303914    0    284875
FLAG TELECOM HOLDINGS LTD       ORD        G3529L102    78399019    3465150    3465150  0       0            3394070    0     71080
FLANDERS CORP                   COM        338494107      405000     108000     108000  0       0             108000    0         0
FLEETBOSTON FINL CORP           COM        339030108     5670786     155364     155364  0       0             155364    0         0
FLEXTRONICS INTL LTD            ORD        Y2573F102   199981490    2839154    2839154  0       0            2826954    0     12200
FLORIDA PROGRESS CORP           COM        341109106    13650382     297556     297556  0       0             297556    0         0
FOMENTO ECONOMICO MEXICANO SA   SPON ADR
                                UNITS      344419106     4488975      99755      99755  0       0              99755    0         0
FORD MTR CO DEL                 COM        345370100    66504557    1447734    1447734  0       0            1447335    0       399
FORTUNE BRANDS INC              COM        349631101    19953050     798122     798122  0       0             798122    0         0
FOUNDATION HEALTH SYS INC       COM        350404109     8804072    1100509    1100509  0       0            1100509    0         0
FOUNDRY NETWORKS INC            COM        35063R100    11885250      82680      82680  0       0              82680    0         0
FOUR SEASONS HOTEL INC          LTD VTG SH 35100E104    15849207     351720     351720  0       0             281140    0     70580
FOUR SEASONS HOTEL INC          LYON ZER0
                                CPN       235100EAD6     1245500    4982000    4982000  0       0            4982000    0         0
                                                     -----------
                                        PAGE TOTAL    1166806819

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
FPL GROUP INC                   COM        302571104     7158035     155400     155400  0       0             155400    0         0
FRANKLIN RES INC                COM        354613101    50459777    1509100    1509100  0       0            1509100    0         0
FREEMARKETS INC                 COM        356602102     1426348      11788      11788  0       0              11748    0        40
FRIEDMANS INC                   CL A       358438109      800280     130000     130000  0       0             130000    0         0
FRIENDLY ICE CREAM CORP NEW     COM        358497105     1397635     355000     355000  0       0             355000    0         0
FUNDTECH LTD                    ORD        M47095100     6989320     268820     268820  0       0             268820    0         0
GADZOOX NETWORKS INC            COM        362555104     1148571      23960      23960  0       0              23960    0         0
GALILEO INTERNATIONAL INC       COM        363547100    14405751     598693     598693  0       0             598693    0         0
GALILEO TECHNOLOGY LTD          ORD        M47298100    18983285    1040180    1040180  0       0             806580    0    233600
GALLAGHER ARTHUR J & CO         COM        363576109    40599455    1249214    1249214  0       0            1249214    0         0
GAMETECH INTERNATIONAL INC      COM        36466D102     4201905     565000     565000  0       0             565000    0         0
GANNETT INC                     COM        364730101   306758432    4358912    4358912  0       0            4357488    0      1424
GAP INC DEL                     COM        364760108    53718257    1078420    1078420  0       0            1035820    0     42600
GARTNER GROUP INC NEW           COM        366651107    17167736    1090015    1090015  0       0             893805    0    196210
GARTNER GROUP INC NEW           CL B       366651206      248269      18650      18650  0       0              11843    0      6807
GASONICS INTL CORP              COM        367278108    20305617     512044     512044  0       0             512044    0         0
GAYLORD CONTAINER CORP          CL A       368145108     3483938     546500     546500  0       0             546500    0         0
GEMSTAR INTL GROUP LTD          ORD        G3788V106     2077760      24160      24160  0       0              24160    0         0
GENE LOGIC INC                  COM        368689105     1188252      28250      28250  0       0              28250    0         0
GENENTECH INC                   COM NEW    368710406   134409040     884270     884270  0       0             884270    0         0
GENERAL DYNAMICS CORP           COM        369550108   232662641    4676636    4676636  0       0            4643396    0     33240
                                                     -----------
                                        PAGE TOTAL     919590302

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
GENERAL ELEC CO                 COM        369604103  1734578820   11145888   11145888  0       0           11107786    0     38102
GENERAL MLS INC                 COM        370334104    41273228    1140554    1140554  0       0            1140554    0         0
GENERAL MTRS CORP               CL H NEW   370442832     1240020       9960       9960  0       0               8960    0      1000
GETTHERE COM INC                COM        374266104      186038      12100      12100  0       0              12100    0         0
GILLETTE CO                     COM        375766102    21469530     569680     569680  0       0             569404    0       276
GLENAYRE TECHNOLOGIES INC       COM        377899109    20020680    1140000    1140000  0       0            1140000    0         0
GLOBAL CROSSING LTD             COM        G3921A100   564047180   13778420   13778420  0       0           13744080    0     34340
GLOBAL INDS LTD                 COM        379336100   171072808   11697286   11697286  0       0            9841236    0   1856050
GLOBAL MARINE INC               COM        379352404    95552354    3765610    3765610  0       0            3724010    0     41600
GLOBAL TELESYSTEMS GROUP        COM        37936U104     5792849     282578     282578  0       0             282578    0         0
GOLDMAN SACHS GROUP INC         COM        38141G104    34476743     327570     327570  0       0             327570    0         0
GPU INC                         COM        36225X100    11281676     412116     412116  0       0             406466    0      5650
GRAINGER W W INC                COM        384802104   138585857    2554578    2554578  0       0            2499528    0     55050
GRIC COMMUNICATIONS INC         COM        398081109      272363       8070       8070  0       0               8070    0         0
GRUPO TELEVISA SA DE CV         SP ADR
                                REP ORD    40049J206     1932220      28415      28415  0       0              28415    0         0
GT GROUP TELECOM INC            CL B
                                NON VTG    362359408     3150873     150940     150940  0       0             144320    0      6620
GTE CORP                        COM        362320103   336692579    4742149    4742149  0       0            4687749    0     54400
GTECH HLDGS CORP                COM        400518106      750833      40450      40450  0       0              40450    0         0
GUCCI GROUP N V                 COM NY
                                REG        401566104     5869842      66000      66000  0       0              66000    0         0
GUIDANT CORP                    COM        401698105    92344554    1568485    1568485  0       0            1566485    0      2000
GULF CDA RES LTD                ORD        40218L305      392666     106500     106500  0       0             106500    0         0
                                                     -----------
                                        PAGE TOTAL    3280983709

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
GULF ISLAND FABRICATION INC     COM        402307102     3524625     241000     241000  0       0             241000    0         0
GYMBOREE CORP                   COM        403777105     7325583    1775899    1775899  0       0            1422324    0    353575
HAEMONETICS CORP                COM        405024100    30058718    1335943    1335943  0       0            1042263    0    293680
HAGLER BAILLY INC               COM        405183104      324000      72000      72000  0       0              72000    0         0
HALLIBURTON CO                  COM        406216101   332620851    8088045    8088045  0       0            8075445    0     12600
HAMMONS JOHN Q HOTELS INC       CL A       408623106      708750     162000     162000  0       0             162000    0         0
HARBINGER CORP                  COM        41145C103   122224985    4196566    4196566  0       0            3557346    0    639220
HARLEY DAVIDSON INC             COM        412822108    59936063     755100     755100  0       0             751800    0      3300
HARMONIC INC                    COM        413160102    27274365     327620     327620  0       0             300120    0     27500
HARRAHS ENTMT INC               COM        413619107    90412718    4870850    4870850  0       0            4870850    0         0
HARTFORD FINL SVCS GROUP INC    COM        416515104   744887656   14121093   14121093  0       0           13961065    0    160028
HARTFORD LIFE INC               CL A       416592103    11742188     250500     250500  0       0             250500    0         0
HEALTH MGMT ASSOC INC NEW       CL A       421933102    85256012    5982878    5982878  0       0            5687278    0    295600
HEALTHGATE DATA CORP            COM        42222H106     1879746     334177     334177  0       0             251977    0     82200
HEALTHSOUTH CORP                COM        421924101    22910068    4028498    4028498  0       0            4028498    0         0
HEARST-ARGYLE TELEVISION INC    COM        422317107    55269626    2364476    2364476  0       0            2174294    0    190182
HELIX TECHNOLOGY CORP           COM        423319102    11483854     191200     191200  0       0             191200    0         0
HELLER FINANCIAL INC            CL A       423328103     4429593     192591     192591  0       0             192591    0         0
HERSHEY FOODS CORP              COM        427866108    64336643    1319726    1319726  0       0            1315826    0      3900
HEWLETT PACKARD CO              COM        428236103   538894759    4055652    4055652  0       0            4015591    0     40061
HIGHWOODS PPTYS INC             COM        431284108     2311920     108160     108160  0       0             108160    0         0
                                                     -----------
                                        PAGE TOTAL    2217812721

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
HILTON HOTELS CORP              COM        432848109    20330048    2623232    2623232  0       0            2623232    0         0
HISPANIC BROADCASTING CORP      CL A       43357B104    23954640     211520     211520  0       0             211520    0         0
HITACHI LIMITED                 ADR 10 COM 433578507      309563       2540       2540  0       0               2540    0         0
HNC SOFTWARE INC                COM        40425P107    35966432     499104     499104  0       0             378294    0    120810
HOME DEPOT INC                  COM        437076102   342640383    5312254    5312254  0       0            5308633    0      3621
HONEYWELL INTL INC              COM        438516106   196291425    3725614    3725614  0       0            3718299    0      7315
HOTEL RESERVATIONS NETWORK INC  CL A       441451101      255245      14380      14380  0       0              14380    0         0
HOUSEHOLD INTL INC              COM        441815107      522368      14000      14000  0       0              14000    0         0
HOUSTON EXPL CO                 COM        442120101    42831396    2379522    2379522  0       0            2152022    0    227500
HYPERCOM CORP                   COM        44913M105     1698800      99200      99200  0       0              99200    0         0
HYPERION SOLUTIONS CORP         COM        44914M104    43536025    1339570    1339570  0       0            1012370    0    327200
I2 TECHNOLOGIES INC             COM        465754109    85958292     703855     703855  0       0             701655    0      2200
IBASIS INC                      COM        450732102     8715820     212260     212260  0       0             212260    0         0
ICG COMMUNICATIONS INC          COM        449246107     4368958     120940     120940  0       0             110040    0     10900
ICT GROUP INC                   COM        44929Y101      555021      83000      83000  0       0              83000    0         0
IDEXX LABS INC                  COM        45168D104   110566182    4742887    4742887  0       0            3683957    0   1058930
IDX SYS CORP                    COM        449491109    26395523     964220     964220  0       0             718430    0    245790
IGATE CAPITAL CORP              COM        45169U105    60992304    1351630    1351630  0       0            1084860    0    266770
IHOP CORP                       COM        449623107     9506000     679000     679000  0       0             679000    0         0
IKON OFFICE SOLUTIONS INC       COM        451713101    16755015    2708100    2708100  0       0            2708100    0         0
ILLINOIS TOOL WKS INC           COM        452308109    21203735     383778     383778  0       0             383540    0       238
                                                     -----------
                                        PAGE TOTAL    1053353172

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
ILLUMINET HLDGS INC             COM        452334105     1433940      29125      29125  0       0              29125    0         0
IMMERSION CORP                  COM        452521107      716400      11940      11940  0       0              11940    0         0
IMMUNEX CORP NEW                COM        452528102   159696304    2517400    2517400  0       0            2517400    0         0
IMPATH INC                      COM        45255G101    22888415     622814     622814  0       0             453574    0    169240
IMPSAT FIBER NETWORKS INC       COM        45321T103    19031040     679680     679680  0       0             676130    0      3550
IMRGLOBAL CORPORATION           COM        45321W106    70825136    4926966    4926966  0       0            4070126    0    856840
INDEPENDENT ENERGY HLDGS PLC    SPONSORED
                                ADR        45384X108    15235063     339500     339500  0       0             339500    0         0
INFINITY BROADCASTING CP NEW    CL A       45662S102   596727518   18431738   18431738  0       0           18393962    0     37776
INFORMATICA CORP                COM        45666Q102      522322       6800       6800  0       0               6800    0         0
INFORMATION HLDGS INC           COM        456727106     3773096     120500     120500  0       0             120500    0         0
INFORTE CORP                    COM        45677R107      309190       6310       6310  0       0               6310    0         0
INFOSPACE COM INC               COM        45678T102     1454370      10000      10000  0       0              10000    0         0
INFOSYS TECHNOLOGIES LTD        SPONSORED
                                ADR        456788108     3391010      17570      17570  0       0              17570    0         0
INFOUSA INC NEW                 COM        456818301    18661711    2045119    2045119  0       0            1554319    0    490800
ING GROEP N V                   SPONSORED
                                ADR        456837103     1383800      25160      25160  0       0              25160    0         0
INGERSOLL-RAND CO               COM        456866102   253517941    5729219    5729219  0       0            5616955    0    112264
INGLES MKTS INC                 CL A       457030104      921587      88300      88300  0       0              88300    0         0
INGRAM MICRO INC                CL A       457153104      890213      57900      57900  0       0              57900    0         0
INKTOMI CORP                    COM        457277101      280800       1440       1440  0       0               1440    0         0
INPUT/OUTPUT INC                COM        457652105    16931650    2764351    2764351  0       0            2173901    0    590450
INSIGHT COMMUNICATIONS INC      CL A       45768V108     3691875     179000     179000  0       0             179000    0         0
                                                     -----------
                                        PAGE TOTAL    1192283379

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
INSIGHT ENTERPRISES INC         COM        45765U103    18432822     505882     505882  0       0             505882    0         0
INSPIRE INS SOLUTIONS INC       COM        457732105     7386048    2272630    2272630  0       0            1920110    0    352520
INTEGRATED DEVICE TECHNOLOGY    COM        458118106    30825199     777923     777923  0       0             588663    0    189260
INTEL CORP                      COM        458140100  1470487605   11145377   11145377  0       0           11121181    0     24196
INTELLIGROUP INC                COM        45816A106    10961239     368445     368445  0       0             314025    0     54420
INTERCEPT GROUP INC             COM        45845L107    14392963     558950     558950  0       0             513050    0     45900
INTERIM SVCS INC                COM        45868P100    46032646    2479940    2479940  0       0            2165892    0    314048
INTERLIANT INC                  COM        458742103     5895775     208700     208700  0       0             208700    0         0
INTERMEDIA COMMUNICATIONS INC   COM        458801107   303590965    6283966    6283966  0       0            5798001    0    485965
INTERNAP NETWORK SVCS CORP      COM        45885A102     5244000     114000     114000  0       0             114000    0         0
INTERNATIONAL BUSINESS MACHS    COM        459200101   334771310    2837045    2837045  0       0            2782809    0     54236
INTERNATIONAL FLAVORS&FRAGRANC  COM        459506101    15078518     430053     430053  0       0             430053    0         0
INTERNATIONAL SPEEDWAY CORP     CL A       460335201      540278      12023      12023  0       0              12023    0         0
INTERNET COM CORP               COM        460967102     4452276     106323     106323  0       0              69383    0     36940
INTERNET COMM CORP              CL A       46059F109     2552445      54020      54020  0       0              54020    0         0
INTERSIL HLDG CORP              CL A       46069S109     2141909      41440      41440  0       0              41440    0         0
INTERSPEED INC                  COM        46070W107      658884      30825      30825  0       0              30825    0         0
INTERTAPE POLYMER GROUP INC     COM        460919103     4846091     426030     426030  0       0             426030    0         0
INTERTRUST TECHNOLOGIES CORP    COM        46113Q109     4823750     113500     113500  0       0             113500    0         0
INTERWAVE COMMUNCTNS INTL LTD   ORD        G4911N102     1636089      54310      54310  0       0              54310    0         0
INTERWORLD CORP                 COM        46114Q108     8821345     156130     156130  0       0             154930    0      1200
                                                     -----------
                                        PAGE TOTAL    2293572157

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
INTERWOVEN INC                  COM        46114T102     4985394      45425      45425  0       0              45425    0         0
INTL PAPER CO                   COM        460146103     8979638     210050     210050  0       0             210050    0         0
INTUIT                          COM        461202103     3561563      65500      65500  0       0              65500    0         0
ITC DELTACOM INC                COM        45031T104      463838      13020      13020  0       0              13020    0         0
ITEQ INC                        COM        450430103      365700     300000     300000  0       0             300000    0         0
ITXC CORP                       COM        45069F109     4989749     106025     106025  0       0             106025    0         0
IVEX PACKAGING CORP DEL         COM        465855104    20488127    2709353    2709353  0       0            2292973    0    416380
J D EDWARDS & CO                COM        281667105     3545676     108890     108890  0       0             108890    0         0
JABIL CIRCUIT INC               COM        466313103      487860      11280      11280  0       0              11280    0         0
JAZZTEL P L C                   SPONSORED
                                ADR        47214R152     5745313      70985      70985  0       0              70985    0         0
JDA SOFTWARE GROUP INC          COM        46612K108     8978127     613889     613889  0       0             381579    0    232310
JDS UNIPHASE CORP               COM        46612J101   577513319    4790177    4790177  0       0            4786177    0      4000
JEFFERSON PILOT CORP            COM        475070108    38114400     572615     572615  0       0             572615    0         0
JEFFERSON SMURFIT GROUP PLC     SPONSORED
                                ADR        47508W107     7956657     294691     294691  0       0             294691    0         0
JNI CORP                        COM        46622G105      922109      18125      18125  0       0              18125    0         0
JOHNSON & JOHNSON               COM        478160104    23382010     332840     332840  0       0             320444    0     12396
JPM CO                          COM        465933109     1237500     150000     150000  0       0             150000    0         0
JUNIPER NETWORKS INC            COM        48203R104      263562       1000       1000  0       0               1000    0         0
JUPITER COMMUNICATIONS INC      COM        482050101     4158860     180820     180820  0       0             180045    0       775
KANA COMMUNICATIONS             COM        483600102     2074000      30500      30500  0       0              30500    0         0
KANSAS CITY SOUTHN INDS INC     COM        485170104   133306763    1551215    1551215  0       0            1551215    0         0
                                                     -----------
                                        PAGE TOTAL     851520164

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
KEANE INC                       COM        486665102    10100000     400000     400000  0       0             400000    0         0
KEEBLER FOODS CO                COM        487256109    48538088    1691989    1691989  0       0            1464629    0    227360
KEMET CORP                      COM        488360108     4957535      78380      78380  0       0              78380    0         0
KERR MCGEE CORP                 COM        492386107    62156903    1076310    1076310  0       0            1076310    0         0
KEY ENERGY SVCS INC             COM        492914106     5804818     502060     502060  0       0             502060    0         0
KEYNOTE SYS INC                 COM        493308100     2746946      26865      26865  0       0              26865    0         0
KEYSPAN CORP                    COM        49337W100    70452590    2550320    2550320  0       0            2550320    0         0
KILROY RLTY CORP                COM        49427F108     9682581     459718     459718  0       0             375438    0     84280
KIMBERLY CLARK CORP             COM        494368103    17732971     316310     316310  0       0             311810    0      4500
KINDER MORGAN INC KANS          COM        49455P101    25588650     741700     741700  0       0             741700    0         0
KLA-TENCOR CORP                 COM        482480100    34503914     409542     409542  0       0             402642    0      6900
KOHLS CORP                      COM        500255104    31579738     308095     308095  0       0             308095    0         0
KOREA ELECTRIC PWR              SPONSORED
                                ADR        500631106      411776      26042      26042  0       0              26042    0         0
KOREA TELECOM                   SPONSORED
                                ADR        50063P103     9306808     212426     212426  0       0             212426    0         0
KROGER CO                       COM        501044101   421063913   23975852   23975852  0       0           23140423    0    835429
KULICKE & SOFFA INDS INC        COM        501242101    22644059     353471     353471  0       0             272641    0     80830
L90 INC                         COM        539441105     5172427     272233     272233  0       0             219133    0     53100
LABOR READY INC                 COM NEW    505401208      407344      41250      41250  0       0              41250    0         0
LAM RESEARCH CORP               COM        512807108   234563707    5205355    5205355  0       0            5199755    0      5600
LAMAR ADVERTISING CO            CL A       512815101     6028750     132500     132500  0       0             132500    0         0
LANDRYS SEAFOOD RESTAURANTS     COM        51508L103     2965982     465252     465252  0       0             294052    0    171200
                                                     -----------
                                        PAGE TOTAL    1026409498

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
LANTE CORP                      COM        516540101    10831118     356580     356580  0       0             289090    0     67490
LATTICE SEMICONDUCTOR CORP      COM        518415104    51813248     765483     765483  0       0             634753    0    130730
LEARNING TREE INTL INC          COM        522015106    48592116    1368792    1368792  0       0            1173632    0    195160
LEGG MASON INC                  COM        524901105      929875      21500      21500  0       0              21500    0         0
LEHMAN BROS HLDGS INC           COM        524908100    47399050     488650     488650  0       0             485350    0      3300
LENNOX INTL INC                 COM        526107107      938000     107200     107200  0       0             107200    0         0
LEVEL 3 COMMUNICATIONS INC      COM        52729N100   150796327    1425970    1425970  0       0            1423470    0      2500
LEXMARK INTL GROUP INC          CL A       529771107    13144725     124300     124300  0       0             124300    0         0
LIBERATE TECHNOLOGIES           COM        530129105    59012610     940440     940440  0       0             935690    0      4750
LIFEMINDERS COM INC             COM        53219H108     1290983      19020      19020  0       0              19020    0         0
LIFEPOINT HOSPITALS INC         COM        53219L109    18753831    1128050    1128050  0       0             840930    0    287120
LIGHTSPAN PARTNERSHIP INC       COM        532262102    21591810    1216440    1216440  0       0            1216440    0         0
LINCARE HLDGS INC               COM        532791100    35970420    1267680    1267680  0       0            1010580    0    257100
LINCOLN NATL CORP IND           COM        534187109   233554128    6971765    6971765  0       0            6968219    0      3546
LINEAR TECHNOLOGY CORP          COM        535678106    56936000    1035200    1035200  0       0            1035200    0         0
LINENS N THINGS INC             COM        535679104     2448875      71500      71500  0       0              71500    0         0
LO-JACK CORP                    COM        539451104     5214696     672864     672864  0       0             628464    0     44400
LOUDEYE TECHNOLOGIES INC        COM        545754103      294694       8450       8450  0       0               8210    0       240
LOUIS DREYFUS NAT GAS CORP      COM        546011107    11701100     344150     344150  0       0             344150    0         0
LOWES COS INC                   COM        548661107    28599022     489919     489919  0       0             489590    0       329
LSI LOGIC CORP                  COM        502161102   924883006   12735050   12735050  0       0           12668850    0     66200
                                                     -----------
                                        PAGE TOTAL    1724695633

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
LTX CORP                        COM        502392103    12939659     286358     286358  0       0             272758    0     13600
LUCENT TECHNOLOGIES INC         COM        549463107    75365920    1230464    1230464  0       0            1192164    0     38300
LUMINANT WORLDWIDE CORP         COM        550260103     5954643     358174     358174  0       0             277299    0     80875
LYONDELL CHEMICAL CO            COM        552078107     1899063     128750     128750  0       0             128750    0         0
MACROMEDIA INC                  COM        556100105    75480421     835774     835774  0       0             787064    0     48710
MAGYAR TAVKOZLESI RT            SPONSORED
                                ADR        559776109    33895365     759560     759560  0       0             759560    0         0
MAIL-WELL INC                   COM        560321200    15375990    1770000    1770000  0       0            1770000    0         0
MANAGEMENT NETWORK GROUP INC    COM        561693102      426413      15830      15830  0       0              15830    0         0
MARINE DRILLING COS INC         COM PAR
                                $ 0.01     568240204    29669192    1081357    1081357  0       0             866797    0    214560
MARK IV INDS INC                COM        570387100      970728      44000      44000  0       0              44000    0         0
MARSH & MCLENNAN COS INC        COM        571748102   356832845    3234760    3234760  0       0            3190630    0     44130
MARSH SUPERMARKETS INC          CL B       571783208      384300      42700      42700  0       0              42700    0         0
MARTEK BIOSCIENCES CORP         COM        572901106     7649250     582800     582800  0       0             582800    0         0
MARTIN MARIETTA MATLS INC       COM        573284106     5118410     107756     107756  0       0              99112    0      8644
MATRIA HEALTHCARE INC           COM        576817100     1043808     196500     196500  0       0             196500    0         0
MATRIXONE INC                   COM        57685P304      888199      22240      22240  0       0              22240    0         0
MATTSON TECHNOLOGY INC          COM        577223100     9560788     224300     224300  0       0             224300    0         0
MAVESA S A                      SPONSORED
                                ADR        577717101      884861     337090     337090  0       0             337090    0         0
MAXIM INTEGRATED PRODS INC      COM        57772K101    50431280     709680     709680  0       0             709680    0         0
MAXTOR CORP                     COM NEW    577729205      195633      15122      15122  0       0              15122    0         0
MAXXAM INC                      COM        577913106      655500      23000      23000  0       0              23000    0         0
                                                     -----------
                                        PAGE TOTAL     685622268

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
MAYTAG CORP                     COM        578592107      331250      10000      10000  0       0              10000    0         0
MBIA INC                        COM        55262C100      367558       7060       7060  0       0               7060    0         0
MCAFEE COM CORP                 CL A       579062100      797530      15430      15430  0       0              15430    0         0
MCCORMICK & CO INC              COM NON
                                VTG        579780206    10925139     338764     338764  0       0             338764    0         0
MCDONALDS CORP                  COM        580135101    62039510    1659920    1659920  0       0            1659398    0       522
MCI WORLDCOM INC                COM        55268B106  1084154668   23926436   23926436  0       0           23884059    0     42377
MCK COMMUNICATIONS INC          COM        581243102      233391       4875       4875  0       0               4875    0         0
MCKESSON HBOC INC               COM        58155Q103    21983451    1046831    1046831  0       0            1046531    0       300
MEDAREX INC                     COM        583916101     1200975      23900      23900  0       0              23900    0         0
MEDIACOM COMMUNICATIONS CORP    CL A       58446K105     1120674      80410      80410  0       0              80410    0         0
MEDIAONE GROUP INC              COM        58440J104    72361674     893354     893354  0       0             891754    0      1600
MEDIAPLEX INC                   COM        58446B105      873600      16800      16800  0       0              16800    0         0
MEDICALOGIC INC                 COM        584642102      415784      23930      23930  0       0              23930    0         0
MEDIMMUNE INC                   COM        584699102   100387416     576525     576525  0       0             576525    0         0
MEDTRONIC INC                   COM        585055106   681044603   13240364   13240364  0       0           13204929    0     35435
MELLON FINL CORP                COM        58551A108    57044614    1917466    1917466  0       0            1917466    0         0
MERCK & CO INC                  COM        589331107     1956938      31500      31500  0       0              21000    0     10500
MERCURY INTERACTIVE CORP        COM        589405109    14331570     180840     180840  0       0             180840    0         0
MEREDITH CORP                   COM        589433101     1592003      57500      57500  0       0              57500    0         0
MERISTAR HOSPITALITY CORP       COM        58984Y103     7091192     406675     406675  0       0             254915    0    151760
MERISTAR HOTELS & RESORTS INC   COM        589988104     2743158     934000     934000  0       0             934000    0         0
                                                     -----------
                                        PAGE TOTAL    2122996696

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
MERRILL LYNCH & CO INC          COM        590188108   694148280    6610936    6610936  0       0            6594076    0     16860
META GROUP INC                  COM        591002100    19007460     729317     729317  0       0             529287    0    200030
METALINK LTD                    ORD        M69897102      684610      17840      17840  0       0              17840    0         0
METAMOR WORLDWIDE INC           COM        59133P100    37343528    1319000    1319000  0       0            1319000    0         0
METASOLV SOFTWARE INC           COM        591393103     1005826      17030      17030  0       0              17030    0         0
METHODE ELECTRS INC             CL A       591520200     7448750     147500     147500  0       0             147500    0         0
METROMEDIA FIBER NETWORK INC    CL A       591689104   571546852    5907461    5907461  0       0            5900561    0      6900
METTLER TOLEDO INTERNATIONAL    COM        592688105    18405562     449607     449607  0       0             338387    0    111220
MGC COMMUNICATIONS INC          COM        552763302   127094325    1777543    1777543  0       0            1703183    0     74360
MGC COMMUNICATIONS INC          PFD CV
                                SER D      552763500    20165850     327900     327900  0       0             327900    0         0
MGM GRAND INC                   COM        552953101     2541600     105900     105900  0       0             105900    0         0
MICREL INC                      COM        594793101     8468160      88210      88210  0       0              88210    0         0
MICRO LINEAR CORP               COM        594850109     1640500     193000     193000  0       0             193000    0         0
MICROCELL TELECOMMUNICATIONS    CL B
                                NON VTG    59501T304     1955606      44070      44070  0       0              44070    0         0
MICROCHIP TECHNOLOGY INC        COM        595017104    19792525     301027     301027  0       0             230497    0     70530
MICRON TECHNOLOGY INC           COM        595112103   612500490    4861115    4861115  0       0            4849615    0     11500
MICROSOFT CORP                  COM        594918104  3638960819   34249043   34249043  0       0           34172005    0     77038
MID ATLANTIC MED SVCS INC       COM        59523C107    33235047    3592978    3592978  0       0            3195918    0    397060
MILLIPORE CORP                  COM        601073109     7737513     137100     137100  0       0             137100    0         0
MIPS TECHNOLOGIES INC           CL A       604567107      340091       6114       6114  0       0               6114    0         0
MIRAE CORP                      SPONSORED
                                ADR        60461U109      893310      82500      82500  0       0              82500    0         0
                                                      -----------
                                         PAGE TOTAL    5824916702

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
MKS INSTRUMENT INC              COM        55306N104    44192348     875096     875096  0       0             741096    0    134000
MMC NETWORKS INC                COM        55308N102   111770703    3386991    3386991  0       0            2772041    0    614950
MODIS PROFESSIONAL SVCS INC     COM        607830106   153796042   12427963   12427963  0       0           11660277    0    767686
MONSANTO CO                     COM        611662107   505352505    9812670    9812670  0       0            9685900    0    126770
MOOG INC                        CL A       615394202      730406      39750      39750  0       0              39750    0         0
MORGAN J P & CO INC             COM        616880100      500650       3800       3800  0       0               3800    0         0
MORGAN STANLEY DEAN WITTER&CO   COM NEW    617446448   293672121    3543555    3543555  0       0            3531855    0     11700
MORTONS RESTAURANT GROUP INC    COM        619429103     7967916     418000     418000  0       0             418000    0         0
MOTHERS WK INC                  COM        619903107     2304000     192000     192000  0       0             192000    0         0
MOTOROLA INC                    COM        620076109  1463217548   10022038   10022038  0       0            9947765    0     74273
MOVIE GALLERY INC               COM        624581104     1404728     338000     338000  0       0             338000    0         0
MSC INDL DIRECT INC             CL A       553530106     5428800     301600     301600  0       0             301600    0         0
MUSICLAND STORES CORP           COM        62758B109      318750      50000      50000  0       0              50000    0         0
NABISCO HLDGS CORP              CL A       629526104     2967323      92010      92010  0       0              92010    0         0
NABORS INDS INC                 COM        629568106    19204178     494800     494800  0       0             494800    0         0
NATIONAL DATA CORP              COM        635621105    84180174    3237699    3237699  0       0            2637939    0    599760
NATIONAL EQUIP SVCS INC         COM        635847106     1294375     207100     207100  0       0             207100    0         0
NATIONAL FUEL GAS CO N J        COM        636180101    73068668    1639708    1639708  0       0            1639708    0         0
NATIONAL PROCESSING INC         COM        637229105     8890727     935866     935866  0       0             670606    0    265260
NATIONAL SEMICONDUCTOR CORP     COM        637640103   326867866    5380541    5380541  0       0            5375691    0      4850
NATIONAL-OILWELL INC            COM        637071101    21704754     702988     702988  0       0             522398    0    180590
                                                    -----------
                                        PAGE TOTAL    3128834581

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
NATIONWIDE FINL SVCS INC        CL A       638612101    21116891     721945     721945  0       0             721945    0         0
NATURAL MICROSYSTEMS CORP       COM        638882100    42954404     500926     500926  0       0             378236    0    122690
NAVIGANT CONSULTING INC         COM        63935N107     9994490     908590     908590  0       0             908590    0         0
NAVIGANT INTL INC               COM        63935R108      308750      32500      32500  0       0              32500    0         0
NAVISITE INC                    COM        63935M109      879644       7225       7225  0       0               7225    0         0
NCO GROUP INC                   COM        628858102    28302569     886200     886200  0       0             708100    0    178100
NCS HEALTHCARE INC              CL A       628874109       65594      36200      36200  0       0              36200    0         0
NDS GROUP PLC                   SPONSORED
xx                              ADR        628891103     6628410      94020      94020  0       0              88920    0      5100
NEOFORMA COM INC                COM        640475109      836271      51070      51070  0       0              51070    0         0
NET GENESIS CORP                COM        64107E107      250600       5600       5600  0       0               5530    0        70
NET PERCEPTIONS INC             COM        64107U101     4533278     122730     122730  0       0             122730    0         0
NET2000 COMMUNICATIONS INC      COM        64122G103     1356600      57120      57120  0       0              50950    0      6170
NETIQ CORP                      COM        64115P102     1503270      22500      22500  0       0              22500    0         0
NETOPIA INC                     COM        64114K104    15370635     213668     213668  0       0             157848    0     55820
NETSOLVE INC                    COM        64115J106      421669      13075      13075  0       0              13075    0         0
NETWORK APPLIANCE INC           COM        64120L104   103253795    1247780    1247780  0       0            1247180    0       600
NETWORK SOLUTIONS INC DEL       COM        64121Q102   737973292    4801294    4801294  0       0            4612994    0    188300
NETWORKS ASSOCS INC             COM        640938106    33420675    1036300    1036300  0       0            1036300    0         0
NETZEE INC                      COM        64122W108    17953828    1206980    1206980  0       0            1132380    0     74600
NEW ERA OF NETWORKS INC         COM        644312100     5466348     139270     139270  0       0             139270    0         0
NEW YORK TIMES CO               CL A       650111107   224005206    5217067    5217067  0       0            5209549    0      7518
                                                     -----------
                                        PAGE TOTAL    1256596219

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
NEWFIELD EXPL CO                COM        651290108   188544706    5348786    5348786  0       0            4727316    0    621470
NEWS CORP LTD                   SP ADR
                                PFD        652487802     4307862      90217      90217  0       0              90217    0         0
NEXT LEVEL COMM INC             COM        65333U104     1801988      16570      16570  0       0              16570    0         0
NEXTCARD INC                    COM        65332K107    16982729    1110200    1110200  0       0            1110200    0         0
NEXTEL COMMUNICATIONS INC       CL A       65332V103   471816744    3182575    3182575  0       0            3180175    0      2400
NEXTEL PARTNERS INC             CL A       65333F107     8142040     280760     280760  0       0             280760    0         0
NEXTERA ENTERPRISES INC         CL A       65332E101     4150662     522951     522951  0       0             522951    0         0
NEXTLINK COMMUNICATIONS INC     CL A       65333H707    59753932     483106     483106  0       0             432746    0     50360
NIAGARA MOHAWK HLDGS INC        COM        653520106     2628032     194669     194669  0       0             194669    0         0
NICOR INC                       COM        654086107    20299370     616309     616309  0       0             616309    0         0
NIKU CORP                       COM        654113109     1516350      32050      32050  0       0              32050    0         0
NIPPON TELEG & TEL CORP         SPONSORED
                                ADR        654624105    39938690     506759     506759  0       0             506759    0         0
NISOURCE INC                    COM        65473P105    31183768    1847927    1847927  0       0            1816007    0     31920
NL INDS INC                     COM NEW    629156407     1046500      80500      80500  0       0              80500    0         0
NOBLE AFFILIATES INC            COM        654894104     7891286     240500     240500  0       0             240500    0         0
NOBLE DRILLING CORP             COM        655042109   660378266   15960804   15960804  0       0           15170104    0    790700
NOKIA CORP                      SPONSORED
                                ADR        654902204   338274276    1523758    1523758  0       0            1523758    0         0
NORTEK INC                      COM        656559101      407100      18400      18400  0       0              18400    0         0
NORTEL NETWORKS CORP            COM        656569100  1421188860   11268098   11268098  0       0           11238597    0     29501
NORTHEAST UTILS                 COM        664397106    22207350    1032900    1032900  0       0            1032900    0         0
NORTHERN TR CORP                COM        665859104   105690480    1564348    1564348  0       0            1563278    0      1070
                                                     -----------
                                        PAGE TOTAL    3408150989

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
NOVA CORP GA                    COM        669784100   189008202    6489552    6489552  0       0            5494170    0    995382
NOVELLUS SYS INC                COM        670008101   387127856    6897601    6897601  0       0            6869301    0     28300
NSTAR                           COM        67019E107    43673406    1039843    1039843  0       0            1038103    0      1740
NTL INC                         COM        629407107   381353463    4108881    4108881  0       0            4047953    0     60928
NUCOR CORP                      COM        670346105     5875000     117500     117500  0       0             117500    0         0
NUEVO GROUP IUSACELL SA DE DV   SPON ADR V 670512102    25388640    1253760    1253760  0       0            1253760    0         0
OCCIDENTAL PETE CORP DEL        COM        674599105    12145556     585328     585328  0       0             585328    0         0
OCEAN ENERGY INC TEX            COM        67481E106     1147700      79840      79840  0       0              79840    0         0
OCEANEERING INTL INC            COM        675232102    12899250     687960     687960  0       0             687960    0         0
OFFICE DEPOT INC                COM        676220106   363172421   31410865   31410865  0       0           31046375    0    364490
OFFICEMAX INC                   COM        67622M108     5252000     808000     808000  0       0             808000    0         0
OFFICIAL PMTS CORP              COM        676235104      917280      21840      21840  0       0              21840    0         0
OMNICOM GROUP INC               COM        681919106     3155163      33700      33700  0       0              33700    0         0
ONDISPLAY INC                   COM        68232L100      379249       4590       4590  0       0               4590    0         0
ONESOURCE INFORMATION SVCS INC  COM        68272J106     2845755     344940     344940  0       0             344940    0         0
ONVIA COM INC                   COM        68338T106      243783      11540      11540  0       0              11540    0         0
OPENTV CORP                     CL A       G67543101     1070110       9040       9040  0       0               9040    0         0
ORACLE CORP                     COM        68389X105  7394155822   94721578   94721578  0       0           94677776    0     43802
ORTHODONTIC CTRS AMER INC       COM        68750P103    76857964    4045156    4045156  0       0            3715666    0    329490
OSTEOTECH INC                   COM        688582105    22319946    1668781    1668781  0       0            1240311    0    428470
OTG SOFTWARE INC                COM        671059103      463185      11490      11490  0       0              11170    0       320
                                                     -----------
                                        PAGE TOTAL    8929451750

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
OWENS ILL INC                   COM NEW    690768403    45291437    2683937    2683937  0       0            2667037    0     16900
OWENS ILL INC                   PFD CONV
                                $.01       690768502    16642183     614965     614965  0       0             614965    0         0
OXFORD HEALTH PLANS INC         COM        691471106     7458775     489100     489100  0       0             489100    0         0
PACIFICARE HEALTH SYS DEL       COM        695112102    50241382    1007346    1007346  0       0            1007346    0         0
PACKETEER INC                   COM        695210104      608300      17380      17380  0       0              17380    0         0
PALM INC                        COM        696642107     1355225      30200      30200  0       0              30200    0         0
PAPA JOHNS INTL INC             COM        698813102    50744925    1537725    1537725  0       0            1249225    0    288500
PARADYNE NETWORKS INC           COM        69911G107    13678719     441249     441249  0       0             330029    0    111220
PAREXEL INTL CORP               COM        699462107    18321190    1941421    1941421  0       0            1446351    0    495070
PARK PL ENTMT CORP              COM        700690100     1393221     120500     120500  0       0             120500    0         0
PARTNER COMMUNICATIONS CO LTD   ADR        70211M109    67368856    4052262    4052262  0       0            4052262    0         0
PC-TEL INC                      COM        69325Q105     3051388      40550      40550  0       0              40550    0         0
PCORDER COM INC                 CL A       70453H107     2204550      97980      97980  0       0              97980    0         0
PE CORP                         COM PE
                                BIO GRP    69332S102    92731193     960945     960945  0       0             959345    0      1600
PE CORP                         CELERA
                                GEN GRP    69332S201     5938378      64460      64460  0       0              64460    0         0
PEAK INTL LTD                   ORD        G69586108     1481250     150000     150000  0       0             150000    0         0
PECO ENERGY CO                  COM        693304107   181026529    4909194    4909194  0       0            4904433    0      4761
PEGASUS COMMUNICATIONS CORP     CL A       705904100    17885806     127075     127075  0       0             127075    0         0
PEOPLESOFT INC                  COM        712713106     4874000     243700     243700  0       0             243700    0         0
PEPSICO INC                     COM        713448108    20745115     594842     594842  0       0             592712    0      2130
PERKINELMER INC                 COM        714046109    35544250     534500     534500  0       0             533800    0       700
                                                     -----------
                                        PAGE TOTAL     638586669

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
PERSONNEL GROUP AMER INC        COM        715338109     2608025     425800     425800  0       0             425800    0         0
PETCO ANIMAL SUPPLIES           COM        716016100    17700412    1490561    1490561  0       0            1161891    0    328670
PFIZER INC                      COM        717081103   288956798    7903200    7903200  0       0            7899722    0      3478
PFSWEB INC                      COM        717098107      196480      12280      12280  0       0              12280    0         0
PHARMACIA & UPJOHN INC          COM        716941109  1032149951   17347058   17347058  0       0           17304554    0     42504
PHILIP MORRIS COS INC           COM        718154107     3057696     144743     144743  0       0             144743    0         0
PHILIPPINE LONG DISTANCE TEL    SPONSORED
                                ADR        718252604     2726769     124300     124300  0       0             124300    0         0
PHILLIPS PETE CO                COM        718507106    28021441     605869     605869  0       0             605869    0         0
PHOTRONICS INC                  COM        719405102    79306620    2245883    2245883  0       0            1888483    0    357400
PINNACLE HLDGS INC              COM        72346N101    78910375    1468100    1468100  0       0            1220130    0    247970
PINNACLE WEST CAP CORP          COM        723484101    58180026    2064073    2064073  0       0            2047603    0     16470
PMC-SIERRA INC                  COM        69344F106    20877918     102500     102500  0       0             102500    0         0
PNC BK CORP                     COM        693475105    81571593    1810208    1810208  0       0            1810208    0         0
POLAROID CORP                   COM        731095105    16655258     701274     701274  0       0             608674    0     92600
POLICY MGMT SYS CORP            COM        731108106      561600      46800      46800  0       0              46800    0         0
POLYMER GROUP INC               COM        731745105     1844925     144700     144700  0       0             144700    0         0
PORTAL SOFTWARE INC             COM        736126103    20284945     356270     356270  0       0             356270    0         0
PPG INDS INC                    COM        693506107    14470859     276626     276626  0       0             276626    0         0
PRECISION DRILLING CORP         COM        74022D100     3921563     117500     117500  0       0             117500    0         0
PREDICTIVE SYS INC              COM        74036W102      241934       5310       5310  0       0               5310    0         0
PREMIER PKS INC                 COM NEW    740540208    35263200    1679200    1679200  0       0            1679200    0         0
                                                     -----------
                                        PAGE TOTAL    1787508388

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
PRICELINE COM INC               COM        741503106    43864000     548300     548300  0       0             548300    0         0
PROBUSINESS SERVICES INC        COM        742674104    18653377     722663     722663  0       0             528653    0    194010
PROCTER & GAMBLE CO             COM        742718109    97753249    1730146    1730146  0       0            1714110    0     16036
PROFESSIONAL DETAILING INC      COM        74312N107     4677175     187087     187087  0       0             116707    0     70380
PROVIDENCE ENERGY CORP          COM        743743106     1212732      31967      31967  0       0              31967    0         0
PROVIDIAN FINL CORP             COM        74406A102   230669988    2662857    2662857  0       0            2653217    0      9640
PROXICOM INC                    COM        744282104    28613145     645720     645720  0       0             645700    0        20
PROXIM INC                      COM        744284100    25233491     210829     210829  0       0             157419    0     53410
PRT GROUP INC                   COM        693579104      906181     500100     500100  0       0             500100    0         0
PSINET INC                      COM        74437C101    26884001     790334     790334  0       0             657852    0    132482
PSS WORLD MED INC               COM        69366A100     8860997    1306739    1306739  0       0            1032099    0    274640
QUAKER OATS CO                  COM        747402105   279216561    4605634    4605634  0       0            4584366    0     21268
QUALCOMM INC                    COM        747525103   571399107    3826880    3826880  0       0            3822860    0      4020
QUANTA SVCS INC                 COM        74762E102      552252       9100       9100  0       0               9100    0         0
QUANTUM EFFECT DEVICES INC      COM        74764T107     1980274      24870      24870  0       0              24870    0         0
QUEST SOFTWARE INC              COM        74834T103    16161585     143340     143340  0       0             143340    0         0
QUINTILES TRANSNATIONAL CORP    COM        748767100     1194374      70002      70002  0       0              70002    0         0
QUINTUS CORP                    COM        748798105      711894      23980      23980  0       0              23980    0         0
QUORUM HEALTH GROUP INC         COM        749084109     7986209     793700     793700  0       0             501440    0    292260
QWEST COMMUNICATIONS INTL INC   COM        749121109   393750816    8203142    8203142  0       0            8180032    0     23110
R & B FALCON CORP               COM        74912E101     9607256     488000     488000  0       0             488000    0         0
                                                     -----------
                                        PAGE TOTAL    1769888664

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
R O C TAIWAN FD                 SH BEN INT 749651105     8448556     855550     855550  0       0             855550    0         0
RADIANT SYSTEMS INC             COM        75025N102    79167987    1259133    1259133  0       0            1206643    0     52490
RADIO ONE INC                   CL A       75040P108    11769373     176651     176651  0       0             166071    0     10580
RADIO UNICA COMMUNICATIONS CP   COM        75040Q106      402494      34075      34075  0       0              34075    0         0
RADWARE LTD                     ORD        M81873107      816656      21075      21075  0       0              21075    0         0
RALSTON PURINA CO               COM
                                RAL-PUR
                                GP         751277302     1859000      67600      67600  0       0              66400    0      1200
RATIONAL SOFTWARE CORP          COM NEW    75409P202   158188613    2067825    2067825  0       0            2064455    0      3370
RAVISENT TECHNOLOGIES INC       COM        754440105     8092871     583270     583270  0       0             583270    0         0
RCM TECHNOLOGIES INC            COM NEW    749360400     6433750     514700     514700  0       0             514700    0         0
REDBACK NETWORKS INC            COM        757209101    22615250      75400      75400  0       0              75400    0         0
REGENT COMMUNICATIONS INC DEL   COM        758865109     1056206      85350      85350  0       0              85350    0         0
REGIS CORP MINN                 COM        758932107    10266242     693103     693103  0       0             439203    0    253900
REGISTER COM INC                COM        75914G101     2925950      42100      42100  0       0              33500    0      8600
RELIANT ENERGY INC              COM        75952J108    19075795     809600     809600  0       0             809600    0         0
RELIASTAR FINL CORP             COM        75952U103   153030279    4517499    4517499  0       0            4280469    0    237030
REMEDYTEMP INC                  CL A       759549108     1117313      50500      50500  0       0              50500    0         0
RENAISSANCE WORLDWIDE INC       COM        75968A109    21713811    4160531    4160531  0       0            3798131    0    362400
RENT A CTR INC NEW              COM        76009N100     3390000     226000     226000  0       0             226000    0         0
REPUBLIC SVCS INC               COM        760759100    70537088    6449400    6449400  0       0            6449400    0         0
REUTERS GROUP PLC               SPONSORED
                                ADR        76132M102   114403270     958352     958352  0       0             957892    0       460
REYNOLDS METALS CO              COM        761763101      668750      10000      10000  0       0              10000    0         0
                                                     -----------
                                        PAGE TOTAL     695979254

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
RF MICRODEVICES INC             COM        749941100    22784625     169560     169560  0       0             169560    0         0
RITE AID CORP                   COM        767754104    41937919    7455630    7455630  0       0            7455630    0         0
RMH TELESERVICES INC            COM        749938106     1111500     114000     114000  0       0             114000    0         0
ROGERS CANTEL MOBILE COMMN      CL B
                                RSTRG VTG  775102205      638905      15800      15800  0       0              15800    0         0
ROGERS COMMUNICATIONS INC       CL B       775109200     1150743      38600      38600  0       0              38600    0         0
ROHM & HAAS CO                  COM        775371107   103661599    2322949    2322949  0       0            2314751    0      8198
ROMAC INTL INC                  COM        775835101     5115499     564500     564500  0       0             564500    0         0
ROWAN COS INC                   COM        779382100     3791486     128800     128800  0       0             128800    0         0
ROYAL DUTCH PETE CO             NY REG
                                GLD1.25    780257804    85451223    1478088    1478088  0       0            1478088    0         0
ROYAL PTT NEDERLAND N V         SPONSORED
                                ADR        780641205     3349950      29130      29130  0       0              29130    0         0
RSA SEC INC                     COM        749719100   258975961    4998378    4998378  0       0            4229068    0    769310
RSL COMMUNICATIONS LTD          CL A       G7702U102    14714400     613100     613100  0       0             613100    0         0
RUDOLPH TECHNOLOGIES INC        COM        781270103      346950       7710       7710  0       0               7710    0         0
S1 CORPORATION                  COM        78463B101    84019959     980545     980545  0       0             879324    0    101221
SAFEWAY INC                     COM NEW    786514208  1228822485   27156298   27156298  0       0           26946359    0    209939
SANMINA CORP                    COM        800907107     8875620     131370     131370  0       0             131370    0         0
SANTA FE INTL CORP              ORD        G7805C108     8732000     236000     236000  0       0             236000    0         0
SANTA FE SNYDER CORP            COM        80218K105     7984370     840460     840460  0       0             840460    0         0
SAP AKTIENGESELLSCHAFT          SPONSORED
                                ADR        803054204    67621644    1131743    1131743  0       0            1131743    0         0
SATYAM INFOWAY LTD              SPONSORED
                                ADR        804099109     2266193      42260      42260  0       0              42260    0         0
SAWTEK INC                      COM        805468105    14458492     275075     275075  0       0             217125    0     57950
                                                     -----------
                                        PAGE TOTAL    1965811522

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
SBC COMMUNICATIONS INC          COM        78387G103   331935859    7879783    7879783  0       0            7863032    0     16751
SCANA CORP NEW                  COM        80589M102    15079201     613924     613924  0       0             613924    0         0
SCC COMMUNICATIONS CORP         COM        78388X105     2301000     230100     230100  0       0             230100    0         0
SCHEIN HENRY INC                COM        806407102     8469540     523231     523231  0       0             332171    0    191060
SCHERING PLOUGH CORP            COM        806605101    66225097    1783841    1783841  0       0            1764452    0     19389
SCHLOTZSKYS INC                 COM        806832101     2413200     402200     402200  0       0             402200    0         0
SCHLUMBERGER LTD                COM        806857108   168625125    2204250    2204250  0       0            2202650    0      1600
SCHOLASTIC CORP                 COM        807066105   110380560    2046472    2046472  0       0            1720832    0    325640
SCHWAB CHARLES CORP NEW         COM        808513105    45480847     800550     800550  0       0             797450    0      3100
SCI SYS INC                     COM        783890106    72650650    1351640    1351640  0       0            1346640    0      5000
SCIENTIFIC ATLANTA INC          COM        808655104     2530000      40000      40000  0       0              40000    0         0
SCIQUEST COM INC                COM        80908Q107      435175      16900      16900  0       0              16900    0         0
SDL INC                         COM        784076101    35445816     166510     166510  0       0             166510    0         0
SEACOR SMIT INC                 COM        811904101     2819513      46700      46700  0       0              46700    0         0
SEAGATE TECHNOLOGY              COM        811804103   350346344    5673625    5673625  0       0            5583325    0     90300
SEAGRAM LTD                     COM        811850106     8056776     135408     135408  0       0             129308    0      6100
SEAGRAM LTD                     PFD ADJ
                                CV SEC     811850205    36854720     664049     664049  0       0             664049    0         0
SELECTICA INC                   COM        816288104    13357520     151360     151360  0       0             149650    0      1710
SEMPRA ENERGY                   COM        816851109      176311      10526      10526  0       0              10526    0         0
SEPRACOR INC                    COM        817315104    98036261    1346430    1346430  0       0            1343430    0      3000
SEQUENOM INC                    COM        817337108     2017969      51250      51250  0       0              51250    0         0
                                                     -----------
                                        PAGE TOTAL    1373637483

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
SHERWIN WILLIAMS CO             COM        824348106      531000      24000      24000  0       0              24000    0         0
SHIRE PHARMACEUTICALS GRP PLC   SPONSORED
                                ADR        82481R106    15079800     294240     294240  0       0             294240    0         0
SIEBEL SYS INC                  COM        826170102   322210808    2697747    2697747  0       0            2694757    0      2990
SIERRA PAC RES NEW              COM        826428104    29083088    2326647    2326647  0       0            2326647    0         0
SILGAN HOLDINGS INC             COM        827048109      875425      72200      72200  0       0              72200    0         0
SILICON IMAGE INC               COM        82705T102      954403      13325      13325  0       0              13325    0         0
SILVERLEAF RESORTS INC          COM        828395103      216000      54000      54000  0       0              54000    0         0
SILVERSTREAM SOFTWARE INC       COM        827907106     3747309      50725      50725  0       0              50725    0         0
SINCLAIR BROADCAST GROUP INC    CL A       829226109      561190      62794      62794  0       0              54494    0      8300
SIPEX CORP                      COM        829909100    82746680    2343302    2343302  0       0            1867162    0    476140
SITEL CORP                      COM        82980K107      848375     123400     123400  0       0             123400    0         0
SKILLSOFT CORP                  COM        83066P101     1360973      46830      46830  0       0              46830    0         0
SKYWEST INC                     COM        830879102    19386946     495513     495513  0       0             364903    0    130610
SMARTFORCE PUB LTD CO           SPONSORED
                                ADR        83170A206   157523281    3433750    3433750  0       0            3393010    0     40740
SMITH INTL INC                  COM        832110100    42433963     547535     547535  0       0             547535    0         0
SMITHKLINE BEECHAM PLC          ADR REP
                                ORD        832378301    12495165     189143     189143  0       0             189143    0         0
SMUCKER J M CO                  CL B       832696207     2097195     146534     146534  0       0             146534    0         0
SMURFIT-STONE CONTAINER CORP    COM        832727101    72037448    4253259    4253259  0       0            3875859    0    377400
SNYDER COMMUNICATIONS INC       COM SNC    832914105     7060500     313800     313800  0       0             313800    0         0
SNYDER COMMUNICATIONS INC       COM CIRCLE
                                COM        832914204      647213      78450      78450  0       0              78450    0         0
SODEXHO MARRIOTT SVCS INC       COM        833793102    15046140    1003076    1003076  0       0             772486    0    230590
                                                     -----------
                                        PAGE TOTAL     786942902

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
SOLECTRON CORP                  COM        834182107    76983424    1918590    1918590  0       0            1907910    0     10680
SONERA GROUP PLC                SPONSORED
                                ADR        835433202     2502338      37700      37700  0       0              37700    0         0
SONIC CORP                      COM        835451105    42031354    1542435    1542435  0       0            1354865    0    187570
SONICWALL INC                   COM        835470105     1118634      16790      16790  0       0              16790    0         0
SONY CORP                       ADR NEW    835699307      336150       1200       1200  0       0               1200    0         0
SOUTHERN CO                     COM        842587107     6283575     288900     288900  0       0             288900    0         0
SOVEREIGN BANCORP INC           UNIT EX
                                111229     845905306     2428725      49820      49820  0       0              49820    0         0
SPANISH BROADCASTING SYS INC    CL A       846425882    12367588     527335     527335  0       0             415410    0    111925
SPECTRASITE HLDGS INC           COM        84760T100    71894927    2539380    2539380  0       0            2526380    0     13000
SPORTSLINE COM INC              COM        848934105    94809748    3220768    3220768  0       0            2738758    0    482010
SPR INC                         COM        784922106     1276800     212800     212800  0       0             212800    0         0
SPRINT CORP                     COM FON
                                GROUP      852061100   453799585    7174697    7174697  0       0            7093403    0     81294
SPRINT CORP                     PCS COM
                                SER 1      852061506  1080559919   16497098   16497098  0       0           16367198    0    129900
SPX CORP                        COM        784635104    60780832     533460     533460  0       0             528460    0      5000
ST PAUL COS INC                 COM        792860108   115254696    3377427    3377427  0       0            3377427    0         0
STAFFMARK INC                   COM        852389105     7205209     907800     907800  0       0             907800    0         0
STAPLES INC                     COM        855030102    10580000     529000     529000  0       0             529000    0         0
STAR BUFFET INC                 COM        855086104      111545      35000      35000  0       0              35000    0         0
STATE STR CORP                  COM        857477103   549734819    5674682    5674682  0       0            5668912    0      5770
STERIS CORP                     COM        859152100    16068669    1567675    1567675  0       0            1062815    0    504860
STERLING SOFTWARE INC           COM        859547101    17284861     527782     527782  0       0             334992    0    192790
                                                     -----------
                                        PAGE TOTAL    2623413395

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
STEWART ENTERPRISES INC         CL A       860370105     4551914     922000     922000  0       0             922000    0         0
STMICROELECTRONICS N V          COM        861012102   108130255     577659     577659  0       0             577459    0       200
STONE & WEBSTER INC             COM        861572105     1219015      84070      84070  0       0              84070    0         0
STRATESEC INC                   COM        862792108       83864      22000      22000  0       0              22000    0         0
STUDENT LN CORP                 COM        863902102    10620777     259442     259442  0       0             166212    0     93230
SUMMIT TECHNOLOGY INC           COM        86627E101     9300757    1019261    1019261  0       0             757971    0    261290
SUN MICROSYSTEMS INC            COM        866810104  1237282617   13204301   13204301  0       0           13138991    0     65310
SUNGARD DATA SYS INC            COM        867363103   125725280    3330471    3330471  0       0            2808631    0    521840
SUNTERRA CORP                   COM        86787D109      310000     155000     155000  0       0             155000    0         0
SUPERIOR CONSULTANT HLDGS CORP  COM        868146101    12633192     751439     751439  0       0             545689    0    205750
SUPERIOR ENERGY SVCS INC        COM        868157108     2866500     294000     294000  0       0             294000    0         0
SWITCHBOARD INC                 COM        871045100    29645000     862400     862400  0       0             787270    0     75130
SYCAMORE NETWORKS INC           COM        871206108    11029500      85500      85500  0       0              85500    0         0
SYLVAN LEARNING SYS INC         COM        871399101    10172906     638320     638320  0       0             638320    0         0
SYNOPSYS INC                    COM        871607107   159426833    3270294    3270294  0       0            3270294    0         0
SYNTEL INC                      COM        87162H103     2119688     142500     142500  0       0             142500    0         0
TAIWAN SEMICONDUCTOR MFG LTD    SPONSORED
                                ADR        874039100    13041657     228801     228801  0       0             228801    0         0
TALISMAN ENERGY INC             COM        87425E103      571240      20000      20000  0       0              20000    0         0
TALK COM INC                    COM        874264104   105660880    6603805    6603805  0       0            6603805    0         0
TANDY CORP                      COM        875382103   349874560    6894080    6894080  0       0            6873580    0     20500
TANNING TECHNOLOGY CORP         COM        87588P101     2335037      54225      54225  0       0              54225    0         0
                                                     -----------
                                        PAGE TOTAL    2196601471

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
TARGET CORP                     COM        87612E106    19566560     261760     261760  0       0             261678    0        82
TECHNOLOGY SOLUTIONS CO         COM        87872T108    31975186    3504130    3504130  0       0            2760768    0    743362
TEKELEC                         COM        879101103    70547969    1900282    1900282  0       0            1741572    0    158710
TEKTRONIX INC                   COM        879131100    55671280     994130     994130  0       0             994130    0         0
TELAXIS COMMUNICATIONS CORP     COM        879202109     1324802      22040      22040  0       0              22040    0         0
TELE CENTRO OESTE CELULAR S A   SPON ADR
                                PFD        87923P105     5507344     473750     473750  0       0             473750    0         0
TELE CENTRO SUL PART S A        SPON ADR
                                PFD        879239101     8075295      99695      99695  0       0              99695    0         0
TELE NORTE CELULAR PART S A     SPON ADR
                                PFD        87924Y105     2831850      45675      45675  0       0              45675    0         0
TELE NORTE LESTE PART S A       SPON ADR
                                PFD        879246106      377010      14160      14160  0       0              14160    0         0
TELE SUDESTE CELULAR PART S A   SPON ADR
                                PFD        879252104     6826388     136700     136700  0       0             136700    0         0
TELECOM CORP NEW ZEALAND LTD    SPONSORED
                                ADR        879278208      234797       6400       6400  0       0               6400    0         0
TELECOM ITALIA SPA              SPON ADR
                                ORD        87927W106      456000       3000       3000  0       0               3000    0         0
TELECOMUNICACOES BRASILEIRAS S  SPONSORE
                                ADR        879287308     2720900      18200      18200  0       0              18200    0         0
TELECOMUNICACOES DE SAO PAULO   SPON ADR
                                PFD        87929A102    94266022    3175330    3175330  0       0            3175330    0         0
TELECORP PCS INC                CL A       879299105     7452000     144000     144000  0       0             144000    0         0
TELEFONICA DEL PERU S A         SPON ADR
                                CL B       879384105     5088100     299300     299300  0       0             299300    0         0
TELEFONICA S A                  SPONSORED
                               ADR        879382208    65736418     883851     883851  0       0             883851    0         0
TELEFONOS DE MEXICO S A         SPON ADR
                                ORD L      879403780    47735480     716480     716480  0       0             716480    0         0
TELEMIG CELULAR PART S A        SPON ADR
                                PFD        87944E105     2445197      27610      27610  0       0              27610    0         0
TELEPHONE & DATA SYS INC        COM        879433100    51552951     464441     464441  0       0             464441    0         0
TELESYSTEM INTL WIRELESS INC    SUB VTG
                                SHS        879946101    97578370    2673380    2673380  0       0            2673380    0         0
                                                     -----------
                                        PAGE TOTAL     577969919

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
TELETECH HOLDINGS INC           COM        879939106    30451425     882650     882650  0       0             882650    0         0
TELLABS INC                     COM        879664100   121026590    1921545    1921545  0       0            1864005    0     57540
TERADYNE INC                    COM        880770102   305991610    3731605    3731605  0       0            3719405    0     12200
TEVA PHARMACEUTICAL INDS LTD    ADR        881624209    15757231     422310     422310  0       0             422310    0         0
TEXACO INC                      COM        881694103      295625       5500       5500  0       0               5500    0         0
TEXAS INSTRS INC                COM        882508104   360406560    2252541    2252541  0       0            2251481    0      1060
TEXAS UTILS CO                  COM        882848104    78793840    2654153    2654153  0       0            2634555    0     19598
THERMA-WAVE INC                 COM        88343A108     1574540      46310      46310  0       0              46310    0         0
THERMO ELECTRON CORP            COM        883556102    21444688    1052500    1052500  0       0            1052500    0         0
TIBCO SOFTWARE INC              COM        88632Q103    10660200     130800     130800  0       0             130800    0         0
TICKETMASTER ONLINE-CITYSEARCH  CL B       88633P203     9837261     392517     392517  0       0             281977    0    110540
TIDEWATER INC                   COM        886423102     7666692     241000     241000  0       0             241000    0         0
TIER TECHNOLOGIES INC           CL B       88650Q100     8489148    1344922    1344922  0       0            1344922    0         0
TIME WARNER INC                 COM        887315109  1082003100   10820031   10820031  0       0           10726942    0     93089
TIME WARNER TELECOM INC         CL A       887319101    67206518     845365     845365  0       0             816765    0     28600
TJX COS INC NEW                 COM        872540109   126745967    5712623    5712623  0       0            5687321    0     25302
TOOTSIE ROLL INDS INC           COM        890516107     9182250     291500     291500  0       0             184120    0    107380
TORCHMARK CORP                  COM        891027104      287906      12450      12450  0       0              12450    0         0
TOTAL FINA S A                  SPONSORED
                                ADR        89151E109    21697656     294705     294705  0       0             294705    0         0
TOTAL RENAL CARE HLDGS INC      COM        89151A107    32763653   10484369   10484369  0       0            8851145    0   1633224
TRANSACTION SYS ARCHITECTS      CL A       893416107    61636286    2134590    2134590  0       0            1670800    0    463790
                                                     -----------
                                        PAGE TOTAL    2373918745

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
TRANSOCEAN SEDCO FOREX INC      ORD        G90078109   556783382   10850939   10850939  0       0           10567939    0    283000
TRANSWITCH CORP                 COM        894065101     8603188      89500      89500  0       0              89500    0         0
TRAVELERS PPTY CAS CORP         CL A       893939108    71077050    1723080    1723080  0       0            1707980    0     15100
TRIBUNE CO NEW                  COM        896047107   299085240    8180221    8180221  0       0            8159227    0     20994
TRICO MARINE SERVICES INC       COM        896106101    10785095    1223910    1223910  0       0            1223910    0         0
TRICOM SA                       SPON ADR
xx                              REP A      89612A100      479280      19970      19970  0       0              19970    0         0
TRIGON HEALTHCARE INC           COM        89618L100     1787500      50000      50000  0       0              50000    0         0
TRINTECH GROUP PLC              SPONSORED
xx                              ADR        896682101    48584367    1245753    1245753  0       0            1238203    0      7550
TRIQUINT SEMICONDUCTOR INC      COM        89674K103    13264986     180476     180476  0       0             137256    0     43220
TRITEL INC                      CL A       89675X104     1256513      32850      32850  0       0              32850    0         0
TRITON PCS HLDGS INC            CL A       89677M106     3579025      59900      59900  0       0              59900    0         0
TRW INC                         COM        872649108   200742808    3431501    3431501  0       0            3387611    0     43890
TSI INTERNATIONAL SOFTWARE LTD  COM        872879101     3540102      42620      42620  0       0              42620    0         0
TUBOS DE ACERO DE MEXICO S A    ADR NEW    898592506      534808      32660      32660  0       0              32660    0         0
TURNSTONE SYSTEMS INC           COM        900423104     1633000      14200      14200  0       0              14200    0         0
TYCO INTL LTD NEW               COM        902124106  2987038925   59591799   59591799  0       0           59480321    0    111478
U S AGGREGATES INC              COM        90334D109      586141      40775      40775  0       0              35250    0      5525
U S FOODSERVICE                 COM        90331R101    16977233     659310     659310  0       0             659310    0         0
U S FRANCHISE SYS INC           CL A NEW   902956309     2598000     519600     519600  0       0             519600    0         0
U S OFFICE PRODS CO             COM NEW    912325305     3030875    1212350    1212350  0       0            1212350    0         0
U S WEST INC NEW                COM        91273H101    34264475     471800     471800  0       0             471800    0         0
                                                     -----------
                                        PAGE TOTAL    4266231992

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
UAL CORP                        COM PAR
                                $    0.01  902549500      526350       8700       8700  0       0               5800    0      2900
UBICS INC                       COM        90261L108      270000      54000      54000  0       0              54000    0         0
UNIBANCO-UNIAO DE BANCOS BRASL  GDR REP
                                PFD UT     90458E107     1607661      50635      50635  0       0              50635    0         0
UNICOM CORP                     COM        904911104    49527434    1356916    1356916  0       0            1353386    0      3530
UNION PAC CORP                  COM        907818108     1416325      36200      36200  0       0              29100    0      7100
UNISYS CORP                     COM        909214108    24007070     934600     934600  0       0             934600    0         0
UNITED HEALTHCARE CORP          COM        910581107   529270972    8876662    8876662  0       0            8869431    0      7231
UNITED PARCEL SERVICE INC       CL B       911312106    26328354     417990     417990  0       0             404370    0     13620
UNITED RENTALS INC              COM        911363109     2286695     132562     132562  0       0             132562    0         0
UNITED STATES CELLULAR CORP     COM        911684108    16407319     231089     231089  0       0             231089    0         0
UNITED STATIONERS INC           COM        913004107      450548      12625      12625  0       0              12625    0         0
UNITED TECHNOLOGIES CORP        COM        913017109   604488545    9566660    9566660  0       0            9546492    0     20168
UNITED THERAPEUTICS CORP DEL    COM        91307C102    34797868     447561     447561  0       0             408861    0     38700
UNITEDGLOBALCOM                 CV PFD
                                1/20       913247102    31383158     333420     333420  0       0             333420    0         0
UNITEDGLOBALCOM                 CL A       913247508   225099679    2998850    2998850  0       0            2995550    0      3300
UNITEDGLOBALCOM                 PFD D
                                DEP1/20    913247805    11554560     169920     169920  0       0             169920    0         0
UNIVISION COMMUNICATIONS INC    CL A       914906102   325885672    2883944    2883944  0       0            2882244    0      1700
UNOCAL CORP                     COM        915289102    64084505    2154101    2154101  0       0            2153161    0       940
US BANCORP DEL                  COM        902973106   102310644    4677058    4677058  0       0            4673477    0      3581
USA NETWORKS INC                COM        902984103      495236      21950      21950  0       0              21950    0         0
USEC INC                        COM        90333E108     2245325     472700     472700  0       0             472700    0         0
                                                     -----------
                                        PAGE TOTAL    2054443919

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      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>
USINTERNETWORKING INC           COM        917311805     2737688      70650      70650  0       0              70650    0         0
USX MARATHON GROUP              COM NEW    902905827      213969       8210       8210  0       0               8210    0         0
UTSTARCOM INC                   COM        918076100     3899978      49960      49960  0       0              49960    0         0
VA LINUX SYSTEMS INC            COM        91819B105     1105466      18310      18310  0       0              18310    0         0
VALERO ENERGY CORP NEW          COM        91913Y100     2757534      89860      89860  0       0              89860    0         0
VARCO INTL INC                  COM        922126107     6097875     483000     483000  0       0             483000    0         0
VARIAN INC                      COM        922206107    28577594     744693     744693  0       0             556833    0    187860
VARIAN SEMICONDUCTOR EQUIPMNT   COM        922207105    70366641    1105959    1105959  0       0             982479    0    123480
VASTAR RES INC                  COM        922380100    26025697     350222     350222  0       0             319622    0     30600
VDI MULTIMEDIA                  COM        917916108     3541239     248508     248508  0       0             187658    0     60850
VEECO INSTRS INC DEL            COM        922417100    83411320    1127180    1127180  0       0            1053580    0     73600
VENTIV HEALTH INC               COM        922793104     1052485     104600     104600  0       0             104600    0         0
VENTRO CORP                     COM        922815105     2621738      46300      46300  0       0              46300    0         0
VERIO INC                       COM        923433106     1423959      31600      31600  0       0              31600    0         0
VERISIGN INC                    COM        92343E102   155529335    1040330    1040330  0       0            1033730    0      6600
VERITAS SOFTWARE CO             COM        923436109   307245828    2345388    2345388  0       0            2337163    0      8225
VERITY INC                      COM        92343C106    35921451     881508     881508  0       0             650868    0    230640
VERSATA INC                     COM        925298101     8926334     148310     148310  0       0             141360    0      6950
VESTCOM INTL INC                COM        924904105      826968     152100     152100  0       0             152100    0         0
VI TECHNOLOGIES INC             COM        917920100     8731274    1034879    1034879  0       0             810099    0    224780
VIA NET WRKS INC                COM        925912107    17417500     655730     655730  0       0             651090    0      4640
                                                     -----------
                                        PAGE TOTAL     768431873

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      PAGE:     50
<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>
VIADOR INC                      COM        92553R108     2189600      44800      44800  0       0              44800    0         0
VIATEL INC                      COM        925529208     2580616      51420      50701  0       0              51420    0         0
VICINITY CORP                   COM        925653107     2439450      70200      70200  0       0              70200    0         0
VIGNETTE CORP                   COM        926734104    23718603     148010     148010  0       0             148010    0         0
VIRATA CORP                     COM        927646109     1723843      17260      17260  0       0              17260    0         0
VISX INC DEL                    COM        92844S105   152390420    8350160    8350160  0       0            7794240    0    555920
VITESSE SEMICONDUCTOR CORP      COM        928497106   105914463    1100410    1100410  0       0            1099510    0       900
VITRIA TECHNOLOGY               COM        92849Q104     7385487      73260      73260  0       0              73260    0         0
VODAFONE AIRTOUCH PLC           SPONSORE
                                ADR        92857T107    17678550     318177     318177  0       0             318087    0        90
VOICESTREAM WIRELESS CORP       COM        928615103   244824209    1900632    1900632  0       0            1900632    0         0
WACKENHUT CORP                  COM SER B  929794303     1851408     184000     184000  0       0             184000    0         0
WADDELL & REED FINL INC         CL A       930059100    23859271     563889     563889  0       0             364409    0    199480
WAL MART STORES INC             COM        931142103   610938116   10813064   10813064  0       0           10791881    0     21183
WALTER INDS INC                 COM        93317Q105      616900      79600      79600  0       0              79600    0         0
WARNER LAMBERT CO               COM        934488107   632080510    6470467    6470467  0       0            6412613    0     57854
WASHINGTON GAS LT CO            COM        938837101    16921569     622414     622414  0       0             622414    0         0
WASHINGTON MUT INC              COM        939322103      453150      17100      17100  0       0              17100    0         0
WASTE MGMT INC DEL              COM        94106L109    15090930    1102574    1102574  0       0            1102574    0         0
WATERLINK INC                   COM        94155N105      519750     189000     189000  0       0             189000    0         0
WATERS CORP                     COM        941848103   264257314    2774355    2774355  0       0            2774355    0         0
WAVECOM S A                     SPONSORED
                                ADR        943531103     5884224      51616      51616  0       0              51616    0         0
                                                     -----------
                                        PAGE TOTAL    2133318383

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      PAGE:     51
<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>
WEATHERFORD INTL INC            COM        947074100   118203872    2020579    2020579  0       0            1875459    0    145120
WEBMETHODS INC                  COM        94768C108     4256648      17635      17635  0       0              17635    0         0
WEBVAN GROUP INC                COM        94845V103      907066     118000     118000  0       0             118000    0         0
WELLPOINT HEALTH NETWORK NEW    COM        94973H108    44007275     629800     629800  0       0             629800    0         0
WELLS FARGO & CO NEW            COM        949746101   148886889    3653666    3653666  0       0            3651455    0      2211
WENDYS INTL INC                 COM        950590109    19466526     964310     964310  0       0             964310    0         0
WESTERN WIRELESS CORP           CL A       95988E204    21706184     473810     473810  0       0             473810    0         0
WESTPOINT STEVENS INC           COM        961238102     1434500      75500      75500  0       0              75500    0         0
WEYERHAEUSER CO                 COM        962166104   195831651    3435643    3435643  0       0            3419531    0     16112
WHITEHALL JEWELLERS INC         COM        965063100     4253500     181000     181000  0       0             181000    0         0
WHOLE FOODS MKT INC             COM        966837106      580118      14000      14000  0       0              14000    0         0
WICOR INC                       COM        929253102     1666994      53774      53774  0       0              53774    0         0
WILLIAMS COMMUNICATIONS GROUP   CL A       969455104   269407106    5193390    5193390  0       0            5181990    0     11400
WILLIAMS COS INC DEL            COM        969457100   499535043   11369348   11369348  0       0           11350822    0     18526
WILMAR INDS INC                 COM        971426101     1136329      66600      66600  0       0              66600    0         0
WIND RIVER SYSTEMS INC          COM        973149107    21296984     587503     587503  0       0             445443    0    142060
WINK COMMUNICATIONS             COM        974168106      382144      11450      11450  0       0              11450    0         0
WINSTAR COMMUNICATIONS INC      COM        975515107   123912720    2065212    2065212  0       0            2062962    0      2250
WIRELESS FACILITIES INC         COM        97653A103     2006065      19060      19060  0       0              19060    0         0
WITNESS SYS INC                 COM        977424100      282488       9300       9300  0       0               9300    0         0
WMF GROUP LTD                   COM        929289106      294000      56000      56000  0       0              56000    0         0
                                                     -----------
                                        PAGE TOTAL    1479454101

<PAGE>

                                                           MFS 13F REPORT
DATE: 000331                                                                                                      PAGE:     52
<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>
WORKFLOW MGMT INC               COM        98137N109     5744396     213253     213253  0       0             213253    0         0
XEROX CORP                      COM        984121103    12987624     499524     499524  0       0             492424    0      7100
XILINX INC                      COM        983919101   518812460    6264943    6264943  0       0            6264943    0         0
YAHOO INC                       COM        984332106      856875       5000       5000  0       0               3300    0      1700
YOUNG & RUBICAM INC             COM        987425105    56153908    1194764    1194764  0       0            1194764    0         0
YOUNG BROADCASTING INC          CL A       987434107      716300      37700      37700  0       0              30253    0      7447
YOUTHSTREAM MEDIA NETWORKS INC  COM        987819109     1131375      86200      86200  0       0              86200    0         0
Z TEL TECHNOLOGIES INC          COM        988792107     1472100      35050      35050  0       0              35050    0         0
                                                     -----------
                                        PAGE TOTAL     597875038
                                                     -----------
                                        GRAND TOTAL  12588029867
</TABLE>


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