MASSACHUSETTS FINANCIAL SERVICES CO /MA/
13F-HR, 2000-08-08
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<PAGE>

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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 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:  James O. Yost
Title: Senior Vice President
Phone: 617-954-5000

Signature, Place, and Date of Signing:
/s/  James O. Yost      Boston, Massachusetts    August 3, 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:      1,004

Form 13F Information Table Value Total:      $125,489,290,049
                                             ----------------
                                              (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: 000630                                                                                                      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> <C>
24 / 7 MEDIA INC              COM          901314104     14899558      377204     377204   0       0             300020  0   77184
724 SOLUTIONS INC             COM          81788Q100       386448        3104       3104   0       0               3104  0       0
A D C TELECOMMUNICATIONS      COM          000886101    132239905     2454569    2454569   0       0            2454569  0       0
ABBOTT LABS                   COM          002824100    345756118     9826246    9826246   0       0            9809106  0   17140
ABGENIX INC                   COM          00339B107     15389888      111420     111420   0       0             111420  0       0
ABITIBI-CONSOLIDATED INC      COM          003924107      1063294      111200     111200   0       0             111200  0       0
ACE LTD                       ORD          G0070K103     15797475      690600     690600   0       0             690600  0       0
ACTIVE SOFTWARE INC           COM          00504E100      7006531      110150     110150   0       0             110150  0       0
ACXIOM CORP                   COM          005125109     29221929      878855     878855   0       0             661609  0  217246
ADELPHIA BUSINESS SOLUTIONS   CL A         006847107    133574899     2167544    2166234   0       0            1968644  0  198900
ADVANCED FIBRE COMMUNICATIONS COM          00754A105     40501193      646086     646086   0       0             497946  0  148140
AES CORP                      COM          00130H105    139546102   517720140   17720140   0       0           17672440  0   47700
AETHER SYS INC                COM          00808V105      9560513       52675      52675   0       0              52675  0       0
AFFILIATED COMPUTER SERVICES  CL A         008190100    146520134     3855793    3855793   0       0            3506561  0  349232
AFFYMETRIX INC                COM          00826T108      2412101       16250      16250   0       0              16250  0       0
AFLAC INC                     COM          001055102     28277144      620630     620630   0       0             615730  0    4900
AGCO CORP                     COM          001084102     42942661     3775179    3775179   0       0            3481179  0  294000
AGENCY COM LTD                COM          008447104       280214       10500      10500   0       0              10500  0       0
AGILE SOFTWARE CORP DEL       COM          00846X105      5893125       94290      94290   0       0              94290  0       0
AGILENT TECHNOLOGIES INC      COM          00846U101     31482672      302718     302718   0       0             300876  0    1842
                                                     ------------
                              PAGE TOTAL               2398666826
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
AGL RES INC                   COM          001204106      1475825       80317      80317   0       0              80317  0       0
AIR PRODS & CHEMS INC         COM          009158106     98883269     3477275    3477275   0       0            3475832  0    1443
AIRGATE PCS INC               COM          009367103      8532313       80875      80875   0       0              80875  0       0
AIRNET COMMUNICATIONS CORP    COM          00941P106      1201833       34400      34400   0       0              34400  0       0
AIRNET SYS INC                COM          009417106       151125       31000      31000   0       0              31000  0       0
AKAMAI TECHNOLOGIES INC       COM          00971T101     16837016      104700     104700   0       0             104700  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
ALBERTSONS INC                COM          013104104     17867579      578707     578707   0       0             578707  0       0
ALCATEL                       SPONSORED
                              ADR          013904305     19512167      452540     452540   0       0             452540  0       0
ALCOA INC                     COM          013817101    104714088     1490592    1490592   0       0            1469852  0   20740
ALKERMES INC                  COM          01642T108      4800750       51900      51900   0       0              51900  0       0
ALLAIRE CORP                  COM          016714107      5668850       74960      74960   0       0              74960  0       0
ALLEGIANCE TELECOM INC        COM          01747T102    245899800     3049920    3049920   0       0            3038320  0   11600
ALLERGAN INC                  COM          018490102     13434750      268695     268695   0       0             268695  0       0
ALLIANCE SEMICONDUCTOR CORP   COM          01877H100      2108758       98370      98370   0       0              98370  0       0
ALLIED WASTE INDS INC         COM
                              PAR$.01NEW   019589308      2122610      323470     323470   0       0             323470  0       0
ALLSCRIPTS INC                COM          019886100       810184       13475      13475   0       0              13475  0       0
ALLSTATE CORP                 COM          020002101      6441932      270533     270533   0       0             270533  0       0
ALLTEL CORP                   COM          020039103    413861954     6543272    6543272   0       0            6532919  0   10353
ALTEON WEBSYSTEMS INC         COM          02145A109     15963760      194680     194680   0       0             158180  0   36500
                                                      -----------
                                 PAGE TOTAL             982921512

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
ALTERA CORP                   COM          021441100    909699368    10192710   10192710   0       0           10190010  0    2700
ALTERNATIVE RESOURCES CORP    COM          02145R102       213860       92500      92500   0       0              58250  0   34250
ALZA CORP DEL                 COM          022615108     37349399      994340     994340   0       0             992140  0    2200
AMDOCS LTD                    ORD          G02602103    185495652     2506698    2506698   0       0            2407215  0   99483
AMERICA ONLINE INC DEL        COM          02364J104    180496412     2676519    2676519   0       0            2649130  0   27389
AMERICAN EXPRESS CO           COM          025816109    574942246     3860305    3860305   0       0            3854902  0    5403
AMERICAN HOME PRODS CORP      COM          026609107    682327709    12694469   12694469   0       0           12647449  0   47020
AMERICAN INTL GROUP INC       COM          026874107    813939451     7433237    7433237   0       0            7414130  0   19107
AMERICAN TOWER CORP           CL A         029912201    462033376     9357638    9357638   0       0            9017768  0  339870
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      2923755      194917     194917   0       0             124427  0   70490
AMFM INC                      COM          001693100     19911063      320500     320500   0       0             320500  0       0
AMGEN INC                     COM          031162100     68618171     1118015    1118015   0       0            1118015  0       0
AMYLIN PHARMACEUTICALS INC    COM          032346108      1547424      114100     114100   0       0             114100  0       0
ANACOMP INC DEL               COM          032371106      1691014      108663     108663   0       0             108663  0       0
ANADARKO PETE CORP            COM          032511107     31784465      821580     821580   0       0             821580  0       0
ANALOG DEVICES INC            COM          032654105    836116389    10386539   10386539   0       0           10372527  0   14012
ANCOR COMMUNICATIONS INC      COM          03332K108    101524095     2468671    2468671   0       0            2317721  0  150950
ANDREW CORP                   COM          034425108       343125       15000      15000   0       0              15000  0       0
ANDRX CORP                    COM          034551101     24945113      215975     215975   0       0             215975  0       0
                                                     ------------
                                 PAGE TOTAL            4941365247

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
ANGLO AMERN PLC               ADR          03485P102       448178        9743       9743   0       0               9743  0       0
ANHEUSER BUSCH COS INC        COM          035229103    408798987     6567052    6567052   0       0            6529657  0   37395
ANNTAYLOR STORES CORP         GTD SD CV
                              144A19       036115AA1      1725000     4000000    4000000   0       0            4000000  0       0
ANTEC CORP                    COM          03664P105     35766519      798146     798146   0       0             602676  0  195470
ANTENNA TV SA                 SPONSORED
                              ADR          03672N100      8918965      381560     380105   0       0             307860  0   73700
AO TATNEFT                    SPON ADR
                              REG S        03737P306      1555313      118500     118500   0       0             118500  0       0
APAC CUSTOMER SERVICES INC    COM          00185E106      1633156      188000     188000   0       0             188000  0       0
APACHE CORP                   COM          037411105    172150721     3460316    3459266   0       0            3301016  0  159300
APACHE CORP                   ACES C DP
                              1/50         037411600      2250000       50000      50000   0       0              50000  0       0
APPLEBEES INTL INC            COM          037899101    103266675     3671704    3671704   0       0            3524654  0  147050
APPLIED EXTRUSION
  TECHNOLOGIES                COM          038196101       470752       57500      57500   0       0              57500  0       0
APPLIED GRAPHICS TECHNOLOGIES COM          037937109       802200      133700     133700   0       0             133700  0       0
APPLIED MATLS INC             COM          038222105    142308075     1509900    1509900   0       0            1508300  0    1600
APPLIED SCIENCE & TECHNOLOGY  COM          038236105     12652970      418280     418280   0       0             392480  0   25800
APROPOS TECHNOLOGY INC        COM          038334108       350390        9470       9470   0       0               9470  0       0
ARCHER DANIELS MIDLAND CO     COM          039483102     39232551     3804553    3804553   0       0            3804553  0       0
ARIBA INC                     COM          04033V104     61101495      291480     291480   0       0             291480  0       0
ARM HLDGS PLC                 SPONSORED
                              ADR          042068106    544921065     3065660    3065660   0       0            3065660  0       0
ART TECHNOLOGY GROUP INC      COM          04289L107     25706279      391345     391345   0       0             390545  0     800
ASM INTL N V                  COM          N07045102     40516480     1397120    1397120   0       0            1397120  0       0
ASM LITHOGRAPHY HLDG N V      N Y SHS      N07059111     32340450      289400     289400   0       0             289400  0       0
                                                     ------------
                               PAGE TOTAL              1636916220

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
ASPECT MED SYS INC            COM          045235108      1019209       28410      28410   0       0              28410  0       0
ASPEN TECHNOLOGY INC          COM          045327103    129039186     3196017    3196017   0       0            2632521  0  563496
ASSOCIATED MATLS INC          COM          045709102       971250       70000      70000   0       0              70000  0       0
ASSOCIATES FIRST CAP CORP     CL A         046008108    324976864    15203596   15203596   0       0           15152786  0   50810
ASTRAZENECA PLC               SPONSORED
                              ADR          046353108      1431999       35358      35358   0       0              35358  0       0
ASYST TECHNOLOGY CORP         COM          04648X107     32892093      562258     562258   0       0             562258  0       0
AT & T CDA INC                DEPS RCPT
                              CL B         00207Q202     85649795     1404095    1403105   0       0            1355495  0   48600
AT&T CORP                     COM          001957109     21877156      388499     388499   0       0             373299  0   15200
AT&T CORP                     COM LIB
                              GRP A        001957208    602777773    10162830   10162830   0       0           10146630  0   16200
ATLANTIS PLASTICS INC         COM          049156102      1048950      116550     116550   0       0             116550  0       0
ATLAS AIR INC                 COM          049164106     23530948      859578     859578   0       0             683013  0  176565
ATMEL CORP                    COM          049513104    297318184     5759190    5759190   0       0            5743490  0   15700
ATMI INC                      COM          00207R101       401578        8410       8410   0       0               8410  0       0
ATMOS ENERGY CORP             COM          049560105      7350721      448899     448899   0       0             448899  0       0
AUDIOCODES LTD                ORD          M15342104      1618547       16125      16125   0       0              16125  0       0
AUSTRALIA&NEW ZEALAND BKG GRP SPONSORED
                              ADR          052528304       382410       12140      12140   0       0              12140  0       0
AUTODESK INC                  COM          052769106     32097384      705437     705437   0       0             705437  0       0
AUTOMATIC DATA PROCESSING INC COM          053015103    699808640    14503806   14503806   0       0           14467075  0   36731
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
AVANEX CORP                   COM          05348W109      4713355       31060      31060   0       0              31060  0       0
                                                     ------------
                                 PAGE TOTAL            2310142623

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
AVENTIS                       SPONSORED
                              ADR          053561106       909900       16850      16850   0       0              16850  0       0
AVENUE A INC                  COM          053566105       658800       21600      21600   0       0              21600  0       0
AVT CORP                      COM          002420107     22379748     1894662    1894662   0       0            1511762  0  382900
AWARE INC MASS                COM          05453N100     46287999     1153595    1153595   0       0             995075  0  158520
AXA                           SPONSORED
                              ADR          054536107       531129        7409       7409   0       0               7409  0       0
AXA FINL INC                  COM          002451102    538236464    15003107   15003107   0       0           14971307  0   31800
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    557234343    18420970   18420970   0       0           18390580  0   30390
BANK NEW YORK INC             COM          064057102     45119167     1085587    1085587   0       0            1085217  0     370
BANK OF AMERICA CORPORATION   COM          060505104     57738223     1101097    1101097   0       0            1100867  0     230
BANK ONE CORP                 COM          06423A103      5622465      162970     162970   0       0             162970  0       0
BARNETT INC                   COM          068062108      1100000      100000     100000   0       0             100000  0       0
BAUSCH & LOMB INC             COM          071707103    314047954     6017743    6015283   0       0            5879476  0  138267
BAXTER INTL INC               COM          071813109      7053228      112515     112515   0       0             112515  0       0
BCE INC                       COM          05534B109    150861575     1202688    1202688   0       0            1202688  0       0
BE AEROSPACE INC              COM          073302101       471175       80200      80200   0       0              80200  0       0
BEA SYS INC                   COM          073325102    140319415     1912360    1912360   0       0            1907160  0    5200
BELDEN INC                    COM          077459105     10419200      378880     378880   0       0             239520  0  139360
BELL ATLANTIC CORP            COM          077853109    508550831     8319850    8319020   0       0            8259280  0   60570
BELLSOUTH CORP                COM          079860102     38815594      828066     828066   0       0             815796  0   12270
                                                     ------------
                            PAGE TOTAL                 2454888301

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
BERKSHIRE ENERGY RES          COM          084644103      1679624       46576      46576   0       0              46576  0       0
BEST BUY INC                  COM          086516101     14499600      168600     168600   0       0             168600  0       0
BESTFOODS                     COM          08658U101       598257       12780      12780   0       0              10420  0    2360
BIOGEN INC                    COM          090597105     15735850      225200     225200   0       0             225200  0       0
BIOSOURCE INTL INC            COM          09066H104      4588527      376510     376510   0       0             376510  0       0
BIOTECH HOLDERS TR            DEPOSTRY
                              RCPTS        09067D201     44133563      260375     260375   0       0             260375  0       0
BISYS GROUP INC               COM          055472104    211975732     3187605    3187605   0       0            2997485  0  190120
BJ SVCS CO                    COM          055482103     43379400      587200     587200   0       0             587200  0       0
BJS WHOLESALE CLUB INC        COM          05548J106    130566409     3402382    3399522   0       0            3065482  0  336900
BLACK BOX CORP DEL            COM          091826107     13457705      194380     194380   0       0             123790  0   70590
BLUESTONE SOFTWARE INC        COM          09623P102       639563       18950      18950   0       0              18950  0       0
BLYTH INDS INC                COM          09643P108     12692050      464706     464706   0       0             363986  0  100720
BMC SOFTWARE INC              COM          0551199367631 24290990    24289290              0       0           24189138  0  101852
BOEING CO                     COM          097023105    435649937    11521473   11519423   0       0           11395525  0  125948
BORON LEPORE & ASSOCS INC     COM          10001P102      5664531      638257     638257   0       0             393723  0  244534
BOSTON SCIENTIFIC CORP        COM          101137107     35477511     1664673    1664673   0       0            1664673  0       0
BOWATER INC                   COM          102183100     56634558     1061069    1061069   0       0            1050669  0   10400
BP AMOCO P L C                SPONSORED
                              ADR          055622104    868638602    16312462   16312462   0       0           16225915  0   86547
BRAUN CONSULTING INC          COM          105651103     13729280      429040     429040   0       0             429040  0       0
BRIGHT HORIZON FAMILY
 SOLUTION                     COM          109195107      9394419      434424     434424   0       0             328554  0  105870
BRIO TECHNOLOGY INC           COM          109704106      4548875      120500     120500   0       0             120500  0       0
                                                    ------------
                              PAGE TOTAL              3123051624
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
BRISTOL MYERS SQUIBB CO       COM          1101071428374 18472903    18472213              0       0           18369620  0  103283
BROADBASE SOFTWARE            COM          11130R100      3150125       39500      39500   0       0              39500  0       0
BROADWING INC                 COM          111620100    191845130     5158930    5157590   0       0            5093869  0   65061
BROCADE COMMUNICATIONS
  SYS INC                     COM          111621108     42409081      236510     236510   0       0             236510  0       0
BROOKS AUTOMATION INC         COM          11434A100      9130688      146091     146091   0       0             146091  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     38146655     4223968    4223968   0       0            3793997  0  429971
BURLINGTON NORTHN SANTA FE CP COM          12189T104     33909194     1490514    1490514   0       0            1490514  0       0
BURLINGTON RES INC            COM          122014103       555000       15000      15000   0       0              15000  0       0
BURR BROWN CORP               COM          122574106    136437097     2509188    2509188   0       0            2272293  0  236895
BUSINESS OBJECTS S A          SPONSORED
                              ADR          12328X107     46993452      472296     472296   0       0             471396  0     900
C BRIDGE INTERNET SOL INC     COM          12500B105       698250       12250      12250   0       0              12250  0       0
C&D TECHNOLOGIES INC          COM          124661109      2702200       45800      45800   0       0              45800  0       0
CABLE & WIRELESS PUB LTD CO   SPONSORED
                              ADR          126830207       801360       14310      14310   0       0              14310  0       0
CABLE DESIGN TECHNOLOGIES
 CORP                         COM          126924109    124076828     3656093    3656093   0       0            3236553  0  419540
CABLETRON SYS INC             COM          126920107    400282344    13626633   13626633   0       0           13251963  0  374670
CABLEVISION SYS CORP          CL A         12686C109     26031375      428500     428500   0       0             428500  0       0
CABOT OIL & GAS CORP          CL A         127097103       270930       15000      15000   0       0              15000  0       0
CACHEFLOW INC                 COM          126946102      5025585       42410      42410   0       0              42410  0       0
CADENCE DESIGN SYSTEM INC     COM          127387108    571677583    27717701   27717701   0       0           27430231  0  287470
                                                    ------------
                            PAGE TOTAL                2707138474

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
CALICO COMM INC               COM          129897104       219425        6700       6700   0       0               6700  0       0
CALIFORNIA AMPLIFIER INC      COM          129900106     12077910      389610     389610   0       0             389610  0       0
CALIPER TECHNOLOGIES CORP     COM          130876105      1066741       13190      13190   0       0              13190  0       0
CALL-NET ENTERPRISES INC      CL B
                              NON-VTG      130910201       134256       24000      24000   0       0              24000  0       0
CALPINE CORP                  COM          131347106    269178400     2863600    2863600   0       0            2863600  0       0
CAMBRIDGE TECH PARTNERS MASS  COM          132524109     53612552     3953145    3953145   0       0            3525665  0  427480
CAMINUS CORP                  COM          133766105       569800       28490      28490   0       0              28490  0       0
CANADIAN NATL RY CO           COM          136375102     89329956     3347321    3343485   0       0            3169603  0  177718
CANADIAN NATL RY CO           PFD CV
                                 063029    136375409      2442971       58690      58690   0       0              58690  0       0
CANDLEWOOD HOTEL COMPANY INC  COM          13741M108       350597      181000     181000   0       0             181000  0       0
CANON INC                     ADR          138006309       577013       13380      13380   0       0              13380  0       0
CAPITAL ONE FINL CORP         COM          14040H105    114010149     2378333    2378333   0       0            2367000  0   11333
CARBO CERAMICS INC            COM          140781105     11043844      392670     392670   0       0             392670  0       0
CARDINAL HEALTH INC           COM          14149Y108     22647341      493675     493675   0       0             493675  0       0
CAREMARK RX INC               COM          141705103    108869491    26001789   26001789   0       0           20682909  0  318880
CAREY INTERNATIONAL INC       COM          141750109      1349800       79400      79400   0       0              79400  0       0
CARRAMERICA RLTY CORP         COM          144418100      7316375      344300     344300   0       0             344300  0       0
CARRIER ACCESS CORP           COM          144460102     24069000      452000     452000   0       0             378500  0   73500
CARSON INC                    CL A         145845103       986781      225550     225550   0       0             225550  0       0
CATALINA MARKETING CORP       COM          148867104      8890560       87808      87808   0       0              56458  0   31350
CEC ENTMT INC                 COM          125137109     44159500     1628000    1628000   0       0            1628000  0       0
                                                     ------------
                            PAGE TOTAL                  772902461

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
CELESTICA INC                 SUB VTG
                              SHS          15101Q108     12894066      243000     243000   0       0             243000  0       0
CELGENE CORP                  COM          151020104      6620873       66500      66500   0       0              66500  0       0
CENDANT CORP                  COM          151313103    780799031    42205353   42205353   0       0           42195453  0    9900
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
CERIDIAN CORP                 COM          15677T106     44644369     2326803    2326803   0       0            2077413  0  249390
CERNER CORP                   COM          156782104     13476240      499120     499120   0       0             460920  0   38200
CHARTER ONE FINL INC          COM          160903100      8342670      397270     397270   0       0             397270  0       0
CHARTERED SEMICONDUCTOR MFG   ADR          16133R106     53631455      569034     569034   0       0             569034  0       0
CHASE MANHATTAN CORP NEW      COM          16161A108    339370428     3892443    3892443   0       0            3876137  0   16306
CHECK POINT SOFTWARE TECH LTD ORD          M22465104    254449593     1487470    1487470   0       0            1486270  0    1200
CHECKFREE HLDGS CORP          COM          162816102    263715613     3740647    3740647   0       0            3353507  0  387140
CHESAPEAKE ENERGY CORP        COM          165167107      1137500      350000     350000   0       0             350000  0       0
CHEVRON CORPORATION           COM          166751107     67243573      727453     727453   0       0             718426  0    9027
CHINA TELECOM HONG KONG LTD   SPONSORED
                              ADR          169428109      5555192       31341      31341   0       0              31341  0       0
CHORDIANT SOFTWARE INC        COM          170404107      6649500      409200     409200   0       0             378010  0   31190
CHUBB CORP                    COM          171232101     18155666      268726     268726   0       0             268726  0       0
CIENA CORP                    COM          171779101    324453409     2572475    2572475   0       0            2563775  0    8700
CIGNA CORP                    COM          125509109    127630493     1684891    1683941   0       0            1631816  0   53075
CINTAS CORP                   COM          172908105     36980654      943697     943697   0       0             942781  0     916
CISCO SYS INC                 COM          17275R102   6482100863    83843399   83843399   0       0           83726127  0  117272
                                                    ------------
                              PAGE TOTAL              8852726219

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
CIT GROUP INC                 CL A         125577106      5317650      272700     272700   0       0             272700  0       0
CITADEL COMMUNICATIONS CORP   COM          172853202     12348135      292700     292700   0       0             292700  0       0
CITIGROUP INC                 COM          172967101    741839275    12389800   12389800   0       0           12341292  0   48508
CITRIX SYS INC                COM          177376100       646733        9762       9762   0       0               9762  0       0
CLARENT CORP DEL              COM          180461105      1112006       12330      12330   0       0              12330  0       0
CLEAR CHANNEL COMMUNICATIONS  COM          184502102    383026692     5546128    5546128   0       0            5546128  0       0
CLOROX CO DEL                 COM          189054109    123352251     3737947    3737947   0       0            3704469  0   33478
CLOSURE MED CORP              COM          189093107      5350013      203810     203810   0       0             203810  0       0
CMS ENERGY CORP               COM          125896100     50678678     2796065    2796065   0       0            2796065  0       0
CMS ENERGY CORP               ADJ CV
                              TR8.75%      125896308     32988100     1233200    1233200   0       0            1233200  0       0
COAST DENTAL SVCS INC         COM          19034H102       136800       57600      57600   0       0              57600  0       0
COASTAL CORP                  COM          190441105    549931748    11955038   11953088   0       0           11844914  0  110124
COBALT NETWORKS INC           COM          19074R101       605830       12890      12890   0       0              12890  0       0
COCA COLA CO                  COM          191216100    278993575     5944001    5944001   0       0            5933794  0   10207
COGNEX CORP                   COM          192422103      6287883      109000     109000   0       0             109000  0       0
COHERENT INC                  COM          192479103      1773200       34100      34100   0       0              34100  0       0
COLGATE PALMOLIVE CO          COM          194162103    274496302     4869114    4869114   0       0            4842605  0   26509
COLLECTORS UNIVERSE INC       COM          19421R101      2906410      447140     447140   0       0             404670  0   42470
COLT TELECOM GROUP PLC        SPONSORED
                              ADR          196877104     14788386       74736      74736   0       0              74736  0       0
COLUMBIA ENERGY GROUP         COM          197648108     86678069     1462921    1462921   0       0            1458421  0    4500
COMCAST CORP                  CL A SPL     200300200    538838516    12422790   12422790   0       0           12392890  0   29900
                                                     ------------
                              PAGE TOTAL               3112096251

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
COMCAST CORP                  ZONES
                              CV2% PCS     200300507      3493663       27700      27700   0       0              27700  0       0
COMERICA INC                  COM          200340107     12101456      288990     288990   0       0             288990  0       0
COMMAND SYS INC               COM          200903102        53663       15900      15900   0       0              15900  0       0
COMMERCE ONE INC DEL          COM          200693109    104483955      700060     700060   0       0             698760  0    1300
COMMONWEALTH TEL ENTERPRISES  COM          203349105      1649038       35133      35133   0       0              35133  0       0
COMPANHIA BRASILEIRA DE
  DISTRB                      ADR          20440T201      2219682       62089      62089   0       0              62089  0       0
COMPANHIA CERVEJARIA BRAHMA   SPON ADR
                              PFD          20440X103      1043998       64246      64246   0       0              64246  0       0
COMPAQ COMPUTER CORP          COM          204493100    226879326     8402938    8402938   0       0            8378050  0   24888
COMPLETE BUSINESS SOLUTIONS   COM          20452F107     51002828     2279456    2279456   0       0            1838766  0  440690
COMPUTER ASSOC INTL INC       COM          204912109   1386883338    23432229   23427659   0       0           23191369  0  240860
COMPUTER HORIZONS CORP        COM          205908106     13980388      816373     816373   0       0             617993  0  198380
COMPUTER NETWORK TECHNOLOGY
  CP                          COM          204925101     49281120     2816064    2816064   0       0            2223184  0  592880
COMPUTER SCIENCES CORP        COM          205363104    872468015    11026452   11025192   0       0           10942472  0   83980
COMPUWARE CORP                COM          205638109    621990726    29531418   29528588   0       0           29399318  0  132100
COMVERSE TECHNOLOGY INC       COM
                              PAR $0.10    205862402    727514865     3849285    3849285   0       0            3817285  0   32000
CONCORD COMMUNICATIONS INC    COM          206186108     14861253      417897     417897   0       0             334647  0   83250
CONCORD EFS INC               COM          206197105    144697147     6308460    6308460   0       0            5577260  0  731200
CONDUCTUS INC                 COM          206784100      5216518      160820     160820   0       0             160820  0       0
CONEXANT SYSTEMS INC          COM          207142100      2435300       34300      34300   0       0              34300  0       0
CONMED CORP                   COM          207410101     25624141     1022430    1022430   0       0             801630  0  220800
CONOCO INC                    CL A         208251306    132844512     5394701    5390201   0       0            5153601  0  241100
                                                             ------------
                                                              4400724929
                              PAGE TOTAL
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
CONOCO INC                    CL B         208251405    423086149    16510679   16510679   0       0           16427649  0   83030
CONSECO INC                   COM          208464107      3692710      322874     322874   0       0             322874  0       0
CONSOLIDATED STORES CORP      COM          210149100     14881059     1308225    1308225   0       0            1308225  0       0
CONSTELLATION ENERGY CORP     COM          210371100     15019500      471200     471200   0       0             471200  0       0
COOPER CAMERON CORP           COM          216640102    153160469     2290250    2290250   0       0            2180620  0  109630
COPPER MTN NETWORKS INC       COM          217510106     18444019      225100     225100   0       0             225100  0       0
CORNELL CORRECTIONS INC       COM          219141108      1139000      107200     107200   0       0             107200  0       0
CORNING INC                   COM          219350105   1406521146     7250109    7249939   0       0            7226506  0   23603
COSTCO WHSL CORP NEW          COM          22160K105      3485386       66310      66310   0       0              57410  0    8900
COTELLIGENT INC               COM          221630106      3586004      617000     617000   0       0             617000  0       0
COVAD COMMUNICATIONS GROUP
  INC                         COM          222814204     19778725      272810     272810   0       0             252810  0   20000
COX COMMUNICATIONS INC NEW    CL A         224044107     59168594     1219971    1219971   0       0            1219971  0       0
COX RADIO INC                 CL A         224051102    134649816     1602974    1602974   0       0            1602974  0       0
CREDENCE SYS CORP             COM          225302108    100044695      799558     799558   0       0             703188  0   96370
CROSSROADS SYS INC            COM          22765D100      3766044       36475      36475   0       0              36475  0       0
CROWN CASTLE INTL CORP        COM          228227104     26320095      694920     694920   0       0             694920  0       0
CSG SYS INTL INC              COM          126349109    129962829     2662518    2662518   0       0            2404858  0  257660
CSK AUTO CORP                 COM          125965103     10818192      776221     776221   0       0             647121  0  129100
CUMULUS MEDIA INC             CL A         231082108       301875       21000      21000   0       0              21000  0       0
CV THERAPEUTICS INC           COM          126667104      1269731       25300      25300   0       0              25300  0       0
CVS CORP                      COM          126650100    884647002    23551648   23549108   0       0           23353182  0  198466
                                                     ------------
                                                       3413743039

                              PAGE TOTAL
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
CYBERONICS INC                COM          23251P102     21911909     1172575    1172575   0       0             896415  0  276160
CYPRESS SEMICONDUCTOR CORP    COM          232806109      7448000      152000     152000   0       0             152000  0       0
CYSIVE INC                    COM          23281T108     55043723      803558     803558   0       0             694468  0  109090
CYTYC CORP                    COM          232946103    227119891     4707148    4707148   0       0            3969928  0  737220
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       552117       24071      24071   0       0              24071  0       0
DEERE & CO                    COM          244199105    521401268    13721086   13718116   0       0           13534786  0  186300
DEL MONTE FOODS CO            COM          24522P103     71627587     6702310    6702310   0       0            5554360  0 1147950
DELANO TECHNOLOGY CORP        COM          245701107       211581        9430       9430   0       0               9430  0       0
DELL COMPUTER CORP            COM          247025109    737460698    13672631   13672631   0       0           13637995  0   34636
DELPHI AUTOMOTIVE SYS CORP    COM          247126105     87286496     5455406    5455406   0       0            5455146  0     260
DELTA & PINE LD CO            COM          247357106      8648525      437900     437900   0       0             437900  0       0
DELTATHREE COM INC            CL A         24783N102       321174       15340      15340   0       0              15340  0       0
DENDRITE INTL INC             COM          248239105     28013162     1337974    1337974   0       0            1043159  0  294815
DEVON ENERGY CORP NEW         COM          25179M103    120311627     2477485    2477485   0       0            2473085  0    4400
DIAL CORP NEW                 COM          25247D101       178434       12977      12977   0       0               9597  0    3380
DIAMOND OFFSHORE DRILLING INC COM          25271C102     60482150     1514439    1514439   0       0            1424139  0   90300
DIAMOND TECHNOLOGY PARTNERS   CL A         252762109     29944588      455431     455431   0       0             383431  0   72000
DIANON SYS INC                COM          252826102      2508564      122000     122000   0       0             122000  0       0
DIGEX INC DEL                 CL A         253756100    122201543     1101540    1101540   0       0            1101540  0       0
                                                     ------------
                              PAGE TOTAL               2131091851
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
DIGIMARC CORP                 COM          253807101      6771160      153890     153890   0       0             153370  0     520
DIGITAL IMPACT INC DEL        COM          25385G106       727599       20460      20460   0       0              20460  0       0
DIGITAL INSIGHT CORP          COM          25385P106     24499704      478043     478043   0       0             402483  0   75560
DIGITAL IS INC DEL            COM          25385N101     10968660      180000     180000   0       0             180000  0       0
DIGITAL LIGHTWAVE INC         COM          253855100      3156103       50650      50650   0       0              50650  0       0
DIGITALTHINK INC              COM          25388M100       737400       18720      18720   0       0              18720  0       0
DIGITAS INC                   COM          25388K104       567910       23180      23180   0       0              23180  0       0
DISNEY WALT CO                COM
                              DISNEY       254687106     29171464      707187     704297   0       0             565907  0  141280
DISPATCH MGMT SVCS CORP       COM          254927106       498467      215600     215600   0       0             215600  0       0
DITECH COMMUNICATIONS CORP    COM          25500M103      4354906       41060      41060   0       0              41060  0       0
DIVERSINET CORP               COM NEW      25536K204     19832134     1109490    1109490   0       0            1023490  0   86000
DONALDSON
 LUFKIN & JENRETTE NW         COM DLJ      257661108     23341838      451050     451050   0       0             451050  0       0
DOW CHEM CO                   COM          260543103     32110494      281671     281671   0       0             280330  0    1341
DRIL-QUIP INC                 COM          262037104     16615144      352576     352576   0       0             269306  0   83270
DST SYS INC DEL               COM          233326107     87305148     1344687    1344687   0       0            1264962  0   79725
DU PONT E I DE NEMOURS & CO   COM          263534109     21380407      403884     403884   0       0             402784  0    1100
DUKE ENERGY CORP              COM          264399106     94488975     1799790    1799790   0       0            1799790  0       0
DUPONT PHOTOMASKS INC         COM          26613X101     86319989     1489894    1489894   0       0            1216474  0  273420
DYCOM INDS INC                COM          267475101     18757342      384766     384766   0       0             247946  0  136820
DYNEGY INC NEW                CL A         26816Q101    139465006     2222975    2222975   0       0            2216075  0    6900
E M C CORP MASS               COM          268648102   1887349590    14978965   14978965   0       0           14923245  0   55720
                                                     ------------
                              PAGE TOTAL               2508419438
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
E PIPHANY INC                 COM          26881V100    133104550      996575     996575   0       0             993675  0    2900
E-TEK DYNAMICS INC            COM          269240107       574010        2440       2440   0       0               2440  0       0
EASTERN ENTERPRISES           COM          27637F100     41495590      693037     693037   0       0             693037  0       0
EASTMAN CHEM CO               COM          277432100      1099735       24170      24170   0       0              24170  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     46977666      594654     594654   0       0             594654  0       0
EDWARDS AG INC                COM          281760108     84527160     2113179    2113179   0       0            2032079  0   81100
EFFICIENT NETWORKS INC        COM          282056100      1246000        8000       8000   0       0               8000  0       0
EGAIN COMMUNICATIONS          COM          28225C103      5940480      152320     152320   0       0             152320  0       0
EGL INC                       COM          268484102     35742479     1529090    1529090   0       0            1175390  0  353700
EL PASO ELEC CO               COM NEW      283677854     12563088     1210900    1210900   0       0            1210900  0       0
EL PASO ENERGY CAP TR I       PFD CV
                              TR SECS      283678209     25138575      478830     478830   0       0             478830  0       0
EL PASO ENERGY CORP DEL       COM          283905107     83438491     2066588    2066588   0       0            2066588  0       0
ELAN PLC                      ADR          284131208     10079500      212200     212200   0       0             212200  0       0
ELANTEC SEMICONDUCTOR INC     COM          284155108       684127        9300       9300   0       0               9300  0       0
ELECTRONIC DATA SYS NEW       COM          285661104      3552750       55350      55350   0       0              44350  0   11000
ELOQUENT INC                  COM          290140102       251224       12330      12330   0       0              12330  0       0
ELOYALTY CORP                 COM          290151109    118034801     4943866    4943866   0       0            3977764  0  966102
EMBRATEL PARTICIPACOES S A    SPON
                              ADR PFD      29081N100      2627254      102527     102527   0       0             102527  0       0
EMERSON ELEC CO               COM          291011104    272449384     5128459    5128459   0       0            5116964  0   11495
                                                       ---------
                              PAGE TOTAL               882331814

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
EMMIS COMMUNICATIONS CORP     CL A         291525103     30477681      655434     655434   0       0             591684  0   63750
EMULEX CORP                   COM NEW      292475209    276842923     2536934    2536934   0       0            2405434  0  131500
ENCOMPASS SVCS CORP           COM          29255U104      6859756     1193001    1193001   0       0            1193001  0       0
ENERGEN CORP                  COM          29265N108      9294458      583200     583200   0       0             583200  0       0
ENGAGE TECHNOLOGIES INC       COM          292827102      2472509       32400      32400   0       0              32400  0       0
ENRON CORP                    COM          293561106    193969378     2590576    2590576   0       0            2590000  0     576
ENTERCOM COMMUNICATIONS CORP  CL A         293639100     13596600      266600     266600   0       0             266600  0       0
ENTRUST TECHNOLOGIES INC      COM          293848107     34170303      401635     401635   0       0             375435  0   26200
EOG RES INC                   COM          26875P101    282699264    13343053   13338313   0       0           12531353  0  811700
EON COMMUNICATIONS CORP       COM          268763109       649753       44240      44240   0       0              44240  0       0
EQUITY OFFICE PROPERTIES
  TRUST                       COM          294741103     14353913      571300     571300   0       0             571300  0       0
EQUITY RESIDENTIAL PPTYS TR   SH BEN
                              INT          29476L107     37431136      931424     931424   0       0             931424  0       0
ERICSSON L M TEL CO           ADR CL B
                              SEK10        294821400    687965987     7333454    7333454   0       0            7333454  0       0
ESPEED INC                    CL A         296643109      1911688       36500      36500   0       0              36500  0       0
EXCHANGE APPLICATIONS         COM          300867108     44038301      832136     832136   0       0             752136  0   80000
EXPRESS SCRIPTS INC           CL A         302182100     11050200      263100     263100   0       0             226400  0   36700
EXTENDED STAY AMER INC        COM          30224P101      2870280      382704     382704   0       0             382704  0       0
EXTREME NETWORKS INC          COM          30226D106     18230830      230770     230770   0       0             230770  0       0
EXXON MOBIL CORP              COM          30231G102    836543102    10733581   10733581   0       0           10689346  0   44235
F Y I INC                     COM          302712104     10996475      405400     405400   0       0             405400  0       0
FAIRCHILD SEMICONDUCTOR INTL  CL A         303726103     95405160     2613840    2613840   0       0            2607640  0    6200
                                                     ------------
                              PAGE TOTAL               2611829696
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
FEDERAL HOME LN MTG CORP      COM          313400301    681082643    15413643   15413643   0       0           15370921  0   42722
FEDERAL NATL MTG ASSN         COM          313586109    151615685     2680522    2680522   0       0            2680002  0     520
FEDERATED INVS INC PA         CL B         314211103     27271578      998520     998520   0       0             772580  0  225940
FINANCIAL FED CORP            COM          317492106     14741546      810554     810554   0       0             696054  0  114500
FINISAR                       COM          31787A101    170386387     1162920    1162920   0       0            1162920  0       0
FIREPOND INC                  COM          318224102       469547       11470      11470   0       0              11470  0       0
FIRST DATA CORP               COM          319963104    539737252    12163093   12163093   0       0           12140486  0   22607
FIRST INDUSTRIAL REALTY TRUST COM          32054K103      1616307       59314      59314   0       0              59314  0       0
FIRSTAR CORP NEW WIS          COM          33763V109       681229       29700      29700   0       0              18400  0   11300
FIRSTWORLD COMMUNICATIONS INC COM
                              SER B        337625305       306848       15060      15060   0       0              15060  0       0
FISERV INC                    COM          337738108    156418934     4206280    4206280   0       0            4133380  0   72900
FLAG TELECOM HOLDINGS LTD     ORD          G3529L102    101974269     4507150    4505470   0       0            4412470  0   94680
FLANDERS CORP                 COM          338494107       120000       32000      32000   0       0              32000  0       0
FLEETBOSTON FINL CORP         COM          339030108      5733566      157084     157084   0       0             157084  0       0
FLEXTRONICS INTL LTD          ORD          Y2573F102    478901163     6799000    6799000   0       0            6781757  0   17243
FLORIDA PROGRESS CORP         COM          341109106     13852232      301956     301956   0       0             301956  0       0
FOCAL COMMUNICATIONS CORP     COM          344155106     12594400      224900     224900   0       0             224900  0       0
FOMENTO ECONOMICO MEXICANO SA SPON ADR
                              UNITS        344419106      4230000       94000      94000   0       0              94000  0       0
FORD MTR CO DEL               COM          345370100     20902897      455034     455034   0       0             455034  0       0
FOREST LABS INC               COM          345838106      2900463       34325      34325   0       0              34325  0       0
FORTUNE BRANDS INC            COM          349631101     23312300      932492     932492   0       0             932492  0       0
                                                       ----------
                              PAGE TOTAL               2408849244
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
FOUNDATION HEALTH SYS INC     COM          350404109      8804072     1100509    1100509   0       0            1100509  0       0
FOUNDRY NETWORKS INC          COM          35063R100     66191125      460460     460460   0       0             459760  0     700
FOUR SEASONS HOTEL INC        LTD
                              VTG SH       35100E104     16000164      355070     355070   0       0             284590  0   70480
FOUR SEASONS HOTEL INC        LYON ZERO
                              CPN 29       35100EAD6      1245500     4982000    4982000   0       0            4982000  0       0
FPL GROUP INC                 COM          302571104     24389829      529500     529500   0       0             529500  0       0
FRANKLIN RES INC              COM          354613101     49958222     1494100    1494100   0       0            1494100  0       0
FREEMARKETS INC               COM          356602102       855470        7070       7070   0       0               7070  0       0
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      9956440      382940     382940   0       0             382940  0       0
GADZOOX NETWORKS INC          COM          362555104       889231       18550      18550   0       0              18550  0       0
GALILEO INTERNATIONAL INC     COM          363547100      2073976       86193      86193   0       0              86193  0       0
GALILEO TECHNOLOGY LTD        ORD          M47298100     17858538      978550     978550   0       0             745450  0  233100
GALLAGHER ARTHUR J & CO       COM          363576109     41335580     1271864    1271864   0       0            1271864  0       0
GAMETECH INTERNATIONAL INC    COM          36466D102      4201905      565000     565000   0       0             565000  0       0
GANNETT INC                   COM          364730101    240417046     3416228    3416228   0       0            3414804  0    1424
GARTNER GROUP INC NEW         COM          366651107     19035214     1208585    1208585   0       0             998075  0  210510
GARTNER GROUP INC NEW         CL B         366651206       253194       19020      19020   0       0              12213  0    6807
GASONICS INTL CORP            COM          367278108     17940533      452404     452404   0       0             452404  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
                                                        ---------
                              PAGE TOTAL                529165651
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
GENENTECH INC                 COM NEW      368710406     85931528      565339     565339   0       0             565339  0       0
GENERAL DYNAMICS CORP         COM          369550108    119125430     2394481    2394481   0       0            2370841  0   23640
GENERAL ELEC CO               COM          369604103   4608701004    29614143   29614143   0       0           29504928  0  109215
GENERAL MLS INC               COM          370334104     25702323      710264     710264   0       0             710264  0       0
GENERAL MTRS CORP             CL H NEW     370442832       323700        2600       2600   0       0                  0  0    2600
GENZYME CORP                  COM GENL
                              DIV          372917104     16516188      329500     329500   0       0             328400  0    1100
GILLETTE CO                   COM          375766102     21603319      573230     573230   0       0             572954  0     276
GLENAYRE TECHNOLOGIES INC     COM          377899109     20020680     1140000    1140000   0       0            1140000  0       0
GLOBAL CROSSING LTD           COM          G3921A100   1086851969    26549380   26549380   0       0           26494140  0   55240
GLOBAL INDS LTD               COM          379336100    173957852    11894554   11894554   0       0           10073504  0 1821050
GLOBAL MARINE INC             COM          379352404    428545307    16888485   16888485   0       0           16738125  0  150360
GLOBAL TELESYSTEMS GROUP      COM          37936U104      5792849      282578     282578   0       0             282578  0       0
GOLDEN WEST FINL CORP DEL     COM          381317106     17070828      547370     547370   0       0             547370  0       0
GOLDMAN SACHS GROUP INC       COM          38141G104     22387728      212710     212710   0       0             212710  0       0
GPU INC                       COM          36225X100      9382398      342736     342736   0       0             340886  0    1850
GRAINGER W W INC              COM          384802104    182164285     3357867    3357867   0       0            3258217  0   99650
GREY WOLF INC                 COM          397888108      4086606     1038000    1038000   0       0            1038000  0       0
GRIC COMMUNICATIONS INC       COM          398081109       272363        8070       8070   0       0               8070  0       0
GRUPO TELEVISA SA DE CV       SP ADR
                              REP ORD      40049J206     22146852      325689     324889   0       0             288389  0   37300
GT GROUP TELECOM INC          CL B NON
                              VTG          362359408      1316378       63060      63060   0       0              63060  0       0
GTE CORP                      COM          362320103    317750489     4475359    4474319   0       0            4423559  0   51800
                                                      -----------
                              PAGE TOTAL               7169650075
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
GUIDANT CORP                  COM          401698105     21718988      368900     368900   0       0             368900  0       0
GULF CDA RES LTD              ORD          40218L305       392666      106500     106500   0       0             106500  0       0
GULF ISLAND FABRICATION INC   COM          402307102      3524625      241000     241000   0       0             241000  0       0
GYMBOREE CORP                 COM          403777105      7414902     1797552    1797552   0       0            1447177  0  350375
HAEMONETICS CORP              COM          405024100     33897668     1506563    1506563   0       0            1191583  0  314980
HAGLER BAILLY INC             COM          405183104       324000       72000      72000   0       0              72000  0       0
HALLIBURTON CO                COM          406216101    372229572     9051175    9049855   0       0            8970175  0   81000
HARLEY DAVIDSON INC           COM          412822108    111308356     1402310    1402310   0       0            1395610  0    6700
HARMONIC INC                  COM          413160102     14014305      168340     168340   0       0             129340  0   39000
HARRAHS ENTMT INC             COM          413619107     88744087     4780955    4780955   0       0            4780955  0       0
HARRIS CORP DEL               COM          413875105      1126721       32600      32600   0       0              32600  0       0
HARTFORD FINL SVCS GROUP INC  COM          416515104    807898586    15315613   15313183   0       0           15149185  0  166428
HEALTH MGMT ASSOC INC NEW     CL A         421933102     23628566     1658145    1658145   0       0            1658145  0       0
HEALTHGATE DATA CORP          COM          42222H106      1026563      182500     182500   0       0             138500  0   44000
HEALTHSOUTH CORP              COM          421924101     22910068     4028498    4028498   0       0            4028498  0       0
HEARST-ARGYLE TELEVISION INC  COM          422317107     40341533     1725841    1725841   0       0            1598459  0  127382
HELIX TECHNOLOGY CORP         COM          423319102     26053694      433780     433780   0       0             433780  0       0
HELLER FINANCIAL INC          CL A         423328103      3969593      172591     172591   0       0             172591  0       0
HERSHEY FOODS CORP            COM          427866108      8867869      181905     181905   0       0             175605  0    6300
HEWLETT PACKARD CO            COM          428236103    703992744     5298158    5297568   0       0            5251717  0   46441
HIGHWOODS PPTYS INC           COM          431284108      2352533      110060     110060   0       0             110060  0       0
                                                     ------------
                               PAGE TOTAL              2295737637
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
HILTON HOTELS CORP            COM          432848109     15021228     1938223    1938223   0       0            1938223  0       0
HISPANIC BROADCASTING CORP    CL A         43357B104     45078030      398040     398040   0       0             398040  0       0
HITACHI LIMITED               ADR 10
                              COM          433578507       310781        2550       2550   0       0               2550  0       0
HNC SOFTWARE INC              COM          40425P107     36370700      504714     504714   0       0             386804  0  117910
HOME DEPOT INC                COM          437076102    129630810     2009780    2009780   0       0            2009780  0       0
HONEYWELL INTL INC            COM          438516106     87311474     1657173    1657173   0       0            1655771  0    1402
HOOPER HOLMES INC             COM          439104100       943580       27500      27500   0       0              27500  0       0
HOUSEHOLD INTL INC            COM          441815107     15224415      408030     408030   0       0             408030  0       0
HOUSTON EXPL CO               COM          442120101     42684480     2371360    2371360   0       0            2156060  0  215300
HSBC HLDGS PLC                SPON ADR
                              NEW          404280406       854946       14030      14030   0       0              14030  0       0
HUMAN GENOME SCIENCES INC     COM          444903108      9354858      112625     112625   0       0             112625  0       0
HYPERION SOLUTIONS CORP       COM          44914M104     46470775     1429870    1429870   0       0            1095570  0  334300
I2 TECHNOLOGIES INC           COM          465754109    149020589     1220230    1220230   0       0            1216830  0    3400
IBASIS INC                    COM          450732102     17269035      420560     420560   0       0             420560  0       0
ICG COMMUNICATIONS INC        COM          449246107      4426758      122540     122540   0       0             112240  0   10300
ICT GROUP INC                 COM          44929Y101       354411       53000      53000   0       0              53000  0       0
IDEXX LABS INC                COM          45168D104     73673706     3160334    3160334   0       0            2530804  0  629530
IDX SYS CORP                  COM          449491109     27071959      988930     988930   0       0             743640  0  245290
IGATE CAPITAL CORP            COM          45169U105     57487896     1273970    1273970   0       0            1036500  0  237470
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
                                                        ---------
                              PAGE TOTAL                784821446
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
ILLUMINET HLDGS INC           COM          452334105      1433940       29125      29125   0       0              29125  0       0
IMMUNEX CORP NEW              COM          452528102     56432921      889590     889590   0       0             889590  0       0
IMPATH INC                    COM          45255G101     23383437      636284     636284   0       0             467344  0  168940
IMPSAT FIBER NETWORKS INC     COM          45321T103     18561928      662926     662926   0       0             662926  0       0
IMRGLOBAL CORPORATION         COM          45321W106     71653424     4984586    4984586   0       0            4129646  0  854940
INDEPENDENT ENERGY HLDGS PLC  SPONSORED
                              ADR          45384X108     15131850      337200     337200   0       0             337200  0       0
INFINITY BROADCASTING CP NEW  CL A         45662S102    523411740    16167158   16167158   0       0           16134382  0   32776
INFORMATICA CORP              COM          45666Q102       518481        6750       6750   0       0               6750  0       0
INFORMATION HLDGS INC         COM          456727106      3812236      121750     121750   0       0             121750  0       0
INFORTE CORP                  COM          45677R107       309190        6310       6310   0       0               6310  0       0
INFOSYS TECHNOLOGIES LTD      SPONSORED
                              ADR          456788108      1617919        8383       8383   0       0               8383  0       0
INFOUSA INC NEW               COM          456818301     19366617     2122369    2122369   0       0            1630369  0  492000
ING GROEP N V                 SPONSORED
                              ADR          456837103      1549075       28165      28165   0       0              28165  0       0
INGERSOLL-RAND CO             COM          456866102    254189213     5744389    5742669   0       0            5633425  0  110964
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
INPUT/OUTPUT INC              COM          457652105     15869575     2590951    2590951   0       0            2037701  0  553250
INSIGHT COMMUNICATIONS INC    CL A         45768V108      3681563      178500     178500   0       0             178500  0       0
INSIGHT ENTERPRISES INC       COM          45765U103     10054608      275945     275945   0       0             275945  0       0
INSPIRE INS SOLUTIONS INC     COM          457732105      7350103     2261570    2261570   0       0            1909850  0  351720
INTEGRATED DEVICE TECHNOLOGY  COM          458118106     33448374      844123     844123   0       0             682663  0  161460
                                                    ------------
                              PAGE TOTAL              1063587993
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
INTEL CORP                    COM          458140100   2383700765    18066962   18066962   0       0           18006666  0   60296
INTELLIGROUP INC              COM          45816A106     14643099      492205     492205   0       0             409485  0   82720
INTERCEPT GROUP INC           COM          45845L107     14627751      568068     568068   0       0             524668  0   43400
INTERIM SVCS INC              COM          45868P100     47254583     2545770    2545770   0       0            2232422  0  313348
INTERLIANT INC                COM          458742103      6743275      238700     238700   0       0             238700  0       0
INTERMEDIA COMMUNICATIONS INC COM          458801107    118406866     2450879    2450879   0       0            2104114  0  346765
INTERNAP NETWORK SVCS CORP    COM          45885A102      5244000      114000     114000   0       0             114000  0       0
INTERNATIONAL BUSINESS MACHS  COM          459200101    264327670     2240065    2239215   0       0            2186029  0   54036
INTERNATIONAL
  FLAVORS&FRAGRANC            COM         459506101     12529511      357353     357353   0       0             357353  0       0
INTERNATIONAL SPEEDWAY CORP   CL A         460335201       546254       12156      12156   0       0              12156  0       0
INTERNET COMM CORP            CL A         46059F109      2450858       51870      51870   0       0              51870  0       0
INTERSIL HLDG CORP            CL A         46069S109      2141909       41440      41440   0       0              41440  0       0
INTERTAPE POLYMER GROUP INC   COM          460919103      5683746      499670     499670   0       0             499670  0       0
INTERTRUST TECHNOLOGIES CORP  COM          46113Q109      1846625       43450      43450   0       0              43450  0       0
INTERWAVE COMMUNCTNS INTL LTD ORD          G4911N102      1636089       54310      54310   0       0              54310  0       0
INTERWORLD CORP               COM          46114Q108     17776030      314620     314620   0       0             313520  0    1100
INTERWOVEN INC                COM          46114T102     22198584      202265     202265   0       0             202265  0       0
INTL PAPER CO                 COM          460146103       342000        8000       8000   0       0               8000  0       0
INTUIT                        COM          461202103     23294250      428400     428400   0       0             428400  0       0
ITC DELTACOM INC              COM          45031T104       468113       13140      13140   0       0              13140  0       0
ITEQ INC                      COM          450430103       213325      175000     175000   0       0             175000  0       0
                                                      -----------
                              PAGE TOTAL               2946075302

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
ITXC CORP                     COM          45069F109      4989749      106025     106025   0       0             106025  0       0
IVAX CORP                     COM          465823102      2554006       93725      93725   0       0              93725  0       0
IVEX PACKAGING CORP DEL       COM          465855104     20263158     2679603    2679603   0       0            2264123  0  415480
IVILLAGE INC                  COM          46588H105      1959000      125000     125000   0       0             115400  0    9600
JABIL CIRCUIT INC             COM          466313103     23741223      548930     548930   0       0             548930  0       0
JAZZTEL P L C                 SPONSORED
                              ADR          47214R152       335889        4150       4150   0       0               4150  0       0
JDA SOFTWARE GROUP INC        COM          46612K108      9100099      622229     622229   0       0             390419  0  231810
JDS UNIPHASE CORP             COM          46612J101    134625557     1116650    1116650   0       0            1116650  0       0
JEFFERSON PILOT CORP          COM          475070108     34400240      516815     516815   0       0             516815  0       0
JEFFERSON SMURFIT GROUP PLC   SPONSORED
                              ADR          47508W107      5940000      220000     220000   0       0             220000  0       0
JNI CORP                      COM          46622G105       922109       18125      18125   0       0              18125  0       0
JOHNSON & JOHNSON             COM          478160104     21481045      305780     305780   0       0             303684  0    2096
JPM CO                        COM          465933109      1237500      150000     150000   0       0             150000  0       0
JUNIPER NETWORKS INC          COM          48203R104    187188321      710225     710225   0       0             709525  0     700
JUPITER COMMUNICATIONS INC    COM          482050101      6266350      272450     272450   0       0             254175  0   18275
KANA COMMUNICATIONS           COM          483600102      2074000       30500      30500   0       0              30500  0       0
KANSAS CITY SOUTHN INDS INC   COM          485170104    116100887     1351000    1351000   0       0            1351000  0       0
KEANE INC                     COM          486665102     10100000      400000     400000   0       0             400000  0       0
KEEBLER FOODS CO              COM          487256109     58587345     2042296    2039556   0       0            1801836  0  240460
KEMET CORP                    COM          488360108     16119895      254860     254860   0       0             254860  0       0
KERR MCGEE CORP               COM          492386107     24924323      431590     431590   0       0             431590  0       0
                                                        ---------
                              PAGE TOTAL                682910696

<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
KEY ENERGY SVCS INC           COM          492914106      6134913      530610     530610   0       0             530610  0       0
KEYNOTE SYS INC               COM          493308100      2029663       19850      19850   0       0              19850  0       0
KEYSPAN CORP                  COM          49337W100     67750865     2452520    2452520   0       0            2452520  0       0
KILROY RLTY CORP              COM          49427F108     11663040      553748     553748   0       0             469668  0   84080
KIMBERLY CLARK CORP           COM          494368103     16976134      302810     302810   0       0             302810  0       0
KINDER MORGAN INC KANS        COM          49455P101     51943200     1505600    1505600   0       0            1505600  0       0
KLA-TENCOR CORP               COM          482480100     32938380      390960     390960   0       0             390960  0       0
KOHLS CORP                    COM          500255104      9489450       92580      92580   0       0              92580  0       0
KOREA ELECTRIC PWR            SPONSORED
                              ADR          500631106       401024       25362      25362   0       0              25362  0       0
KOREA TELECOM                 SPONSORED
                              ADR          50063P103     10060024      229618     229618   0       0             229618  0       0
KROGER CO                     COM          501044101    429007135    24428148   24428148   0       0           23855719  0  572429
KULICKE & SOFFA INDS INC      COM          501242101     13453725      210011     210011   0       0             137281  0   72730
L90 INC                       COM          539441105      8838477      465183     465183   0       0             363883  0  101300
LABOR READY INC               COM NEW      505401208       407344       41250      41250   0       0              41250  0       0
LAM RESEARCH CORP             COM          512807108    343920169     7632155    7632155   0       0            7607255  0   24900
LAMAR ADVERTISING CO          CL A         512815101      6028750      132500     132500   0       0             132500  0       0
LANDRYS SEAFOOD RESTAURANTS   COM          51508L103      2319302      363812     363812   0       0             227712  0  136100
LANTE CORP                    COM          516540101      9985478      328740     328740   0       0             262350  0   66390
LATTICE SEMICONDUCTOR CORP    COM          518415104     50344440      743783     743783   0       0             619353  0  124430
LEAPNET INC                   COM          521864108      1385328      230888     230888   0       0             230888  0       0
LEARNING TREE INTL INC        COM          522015106     21184341      596742     596742   0       0             548882  0   47860
                                                     ------------
                              PAGE TOTAL               1096261180
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
LEHMAN BROS HLDGS INC         COM          524908100     36318740      374420     374420   0       0             371420  0    3000
LENNOX INTL INC               COM          526107107       938000      107200     107200   0       0             107200  0       0
LEVEL 3 COMMUNICATIONS INC    COM          52729N100     92016248      870130     870130   0       0             866730  0    3400
LEXMARK INTL GROUP INC        CL A         529771107     17057475      161300     161300   0       0             161300  0       0
LIBERATE TECHNOLOGIES         COM          530129105     47439000      756000     756000   0       0             751750  0    4250
LIFEPOINT HOSPITALS INC       COM          53219L109     19710268     1185580    1185580   0       0             898160  0  287420
LINCARE HLDGS INC             COM          532791100     27658248      974740     974740   0       0             750740  0  224000
LINCOLN NATL CORP IND         COM          534187109    148936076     4445853    4445853   0       0            4443563  0    2290
LINEAR TECHNOLOGY CORP        COM          535678106    113102550     2056410    2056410   0       0            2056410  0       0
LO-JACK CORP                  COM          539451104       255750       33000      33000   0       0              33000  0       0
LOEWS CORP                    COM          540424108       545000       10900      10900   0       0               8700  0    2200
LOUDEYE TECHNOLOGIES INC      COM          545754103       205065        5880       5880   0       0               5880  0       0
LOUIS DREYFUS NAT GAS CORP    COM          546011107      7270560      213840     213840   0       0             213840  0       0
LOWES COS INC                 COM          548661107     11970378      205060     205060   0       0             205060  0       0
LSI LOGIC CORP                COM          502161102    625854653     8617620    8617620   0       0            8596990  0   20630
LTX CORP                      COM          502392103      1042464       23070      23070   0       0              23070  0       0
LUCENT TECHNOLOGIES INC       COM          549463107    127372376     2079549    2078739   0       0            2031249  0   48300
LUMINANT WORLDWIDE CORP       COM          550260103       977966       58825      58825   0       0              58825  0       0
MACROMEDIA INC                COM          556100105     69457514      769084     769084   0       0             732174  0   36910
MAGYAR TAVKOZLESI RT          SPONSORED
                              ADR          559776109     29284621      656238     656238   0       0             656238  0       0
MAIL-WELL INC                 COM          560321200     15375990     1770000    1770000   0       0            1770000  0       0
                                                     ------------
                              PAGE TOTAL               1392788939
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
MANAGEMENT NETWORK GROUP INC  COM          561693102       359070       13330      13330   0       0              13330  0       0
MARINE DRILLING COS INC       COM
                              PAR $0.01    568240204     31689104     1154977    1154977   0       0             939517  0  215460
MARK IV INDS INC              COM          570387100       970728       44000      44000   0       0              44000  0       0
MARSH & MCLENNAN COS INC      COM          571748102    315111192     2856545    2855825   0       0            2812715  0   43830
MARSH SUPERMARKETS INC        CL B         571783208       384300       42700      42700   0       0              42700  0       0
MARTEK BIOSCIENCES CORP       COM          572901106      7899714      601883     601883   0       0             601883  0       0
MARTIN MARIETTA MATLS INC     COM          573284106      4983035      104906     104906   0       0              96762  0    8144
MATRIA HEALTHCARE INC         COM          576817100       937568      176500     176500   0       0             176500  0       0
MATRIXONE INC                 COM          57685P304       888199       22240      22240   0       0              22240  0       0
MATTSON TECHNOLOGY INC        COM          577223100     10200163      239300     239300   0       0             239300  0       0
MAVESA S A                       SPONSORED
                              ADR          577717101       236536       90109      90109   0       0              90109  0       0
MAXIM INTEGRATED PRODS INC    COM          57772K101     37858280      532750     532750   0       0             532750  0       0
MAXXAM INC                    COM          577913106       655500       23000      23000   0       0              23000  0       0
MBIA INC                      COM          55262C100       385779        7410       7410   0       0               7410  0       0
MCCORMICK & CO INC            COM
                              NON VTG      579780206      7515669      233044     233044   0       0             233044  0       0
MCDONALDS CORP                COM          580135101     52010676     1391590    1391590   0       0            1391068  0     522
MCKESSON HBOC INC             COM          58155Q103     21984921     1046901    1046901   0       0            1046601  0     300
MCLEODUSA INC                 COM          582266102      7619510       89840      89840   0       0              89840  0       0
MCN ENERGY GROUP INC          COM          55267J100     26392500     1055700    1055700   0       0            1055700  0       0
MEDAREX INC                   COM          583916101      1711013       34050      34050   0       0              34050  0       0
MEDIAPLEX INC                 COM          58446B105       873600       16800      16800   0       0              16800  0       0
                                                        ---------
                              PAGE TOTAL                530667058
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
MEDICALOGIC INC               COM          584642102       415784       23930      23930   0       0              23930  0       0
MEDIMMUNE INC                 COM          584699102     89815416      515810     515810   0       0             515810  0       0
MEDTRONIC INC                 COM          585055106    310393799     6034446    6034446   0       0            6015501  0   18945
MELLON FINL CORP              COM          58551A108     80301914     2699224    2699224   0       0            2699224  0       0
MERCURY INTERACTIVE CORP      COM          589405109     93813773     1183770    1183770   0       0            1182170  0    1600
MERISTAR HOSPITALITY CORP     COM          58984Y103      7194419      412595     412595   0       0             261135  0  151460
MERISTAR HOTELS & RESORTS INC COM          589988104      2743158      934000     934000   0       0             934000  0       0
MERRILL LYNCH & CO INC        COM          590188108    244619025     2329705    2329705   0       0            2322255  0    7450
META GROUP INC                COM          591002100     19406208      744617     744617   0       0             544987  0  199630
METALINK LTD                  ORD          M69897102      5366360      139840     139840   0       0             139840  0       0
METASOLV SOFTWARE INC         COM          591393103      1005826       17030      17030   0       0              17030  0       0
METRO GOLDWYN MAYER INC       COM          591610100     20400474      802000     802000   0       0             802000  0       0
METROMEDIA FIBER NETWORK INC  CL A         591689104   1841319104    19031722   19031722   0       0           18982522  0   49200
METTLER TOLEDO INTERNATIONAL  COM          592688105     20891666      510337     510337   0       0             393417  0  116920
MGC COMMUNICATIONS INC        COM          552763302    199505520     2790287    2790287   0       0            2638527  0  151760
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     28661760      298560     298560   0       0             298560  0       0
MICRO LINEAR CORP             COM          594850109      1640500      193000     193000   0       0             193000  0       0
MICROCHIP TECHNOLOGY INC      COM          595017104     14434558      219537     219537   0       0             149207  0   70330
MICRON TECHNOLOGY INC         COM          595112103   2195474400    17424400   17424400   0       0           17382400  0   42000
                                                     ------------
                              PAGE TOTAL               5200111113
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
MICROSOFT CORP                COM          594918104   3760844975    35396188   35396188   0       0           35315673  0   80515
MID ATLANTIC MED SVCS INC     COM          59523C107     33130707     3581698    3581698   0       0            3185438  0  396260
MILLENNIUM PHARMACEUTICALS INCCOM          599902103     10195188       78500      78500   0       0              78500  0       0
MILLIPORE CORP                COM          601073109       725215       12850      12850   0       0              12850  0       0
MIRAE CORP                    SPONSORED
                              ADR          60461U109       266011       24567      24567   0       0              24567  0       0
MITEL CORP                    COM          606711109      6005409      244500     244500   0       0             244500  0       0
MKS INSTRUMENT INC            COM          55306N104     38079677      754053     754053   0       0             641653  0  112400
MMC NETWORKS INC              COM          55308N102    135485295     4105615    4105615   0       0            3396665  0  708950
MODIS PROFESSIONAL SVCS INC   COM          607830106    155143432    12536843   12536843   0       0           11766457  0  770386
MONTANA POWER CO              COM          612085100     36576000      571500     571500   0       0             571500  0       0
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    113131337     1365084    1365084   0       0            1356884  0    8200
MORTONS RESTAURANT GROUP INC  COM          619429103      6524923      342300     342300   0       0             342300  0       0
MOTHERS WK INC                COM          619903107      2304000      192000     192000   0       0             192000  0       0
MOTOROLA INC                  COM          620076109   3261777970    22340945   22337965   0       0           22139426  0  201519
MOVIE GALLERY INC             COM          624581104      1383948      333000     333000   0       0             333000  0       0
MRV COMMUNICATIONS INC        COM          553477100     23335513      254685     254685   0       0             254685  0       0
MSC INDL DIRECT INC           CL A         553530106      2998800      166600     166600   0       0             166600  0       0
MUSICLAND STORES CORP         COM          62758B109       318750       50000      50000   0       0              50000  0       0
NABORS INDS INC               COM          629568106     10556864      272000     272000   0       0             272000  0       0
                                                     ------------
                              PAGE TOTAL               7600015069
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
NATIONAL DATA CORP            COM          635621105     87010170     3346545    3346545   0       0            2741185  0  605360
NATIONAL EQUIP SVCS INC       COM          635847106      1294375      207100     207100   0       0             207100  0       0
NATIONAL FUEL GAS CO N J      COM          636180101     73254937     1643888    1643888   0       0            1643888  0       0
NATIONAL PROCESSING INC       COM          637229105      8851302      931716     931716   0       0             667056  0  264660
NATIONAL SEMICONDUCTOR CORP   COM          637640103    398824418     6565011    6565011   0       0            6556461  0    8550
NATIONAL-OILWELL INC          COM          637071101     23806107      771048     771048   0       0             590858  0  180190
NATIONWIDE FINL SVCS INC      CL A         638612101     26272643      898210     898210   0       0             898010  0     200
NATURAL MICROSYSTEMS CORP     COM          638882100     41040465      478606     478606   0       0             370416  0  108190
NAVIGANT CONSULTING INC       COM          63935N107     12344420     1122220    1122220   0       0            1122220  0       0
NAVISITE INC                  COM          63935M109      1759288       14450      14450   0       0              14450  0       0
NCO GROUP INC                 COM          628858102     30266056      947680     947680   0       0             768880  0  178800
NDS GROUP PLC                 SPONSORED
                              ADR          628891103     11327940      160680     160680   0       0             155580  0    5100
NEOFORMA COM INC              COM          640475109       836271       51070      51070   0       0              51070  0       0
NET GENESIS CORP              COM          64107E107       221513        4950       4950   0       0               4950  0       0
NET PERCEPTIONS INC           COM          64107U101      5014198      135750     135750   0       0             135750  0       0
NET2000 COMMUNICATIONS INC    COM          64122G103       595413       25070      25070   0       0              25070  0       0
NETIQ CORP                    COM          64115P102      1169210       17500      17500   0       0              17500  0       0
NETOPIA INC                   COM          64114K104     14744783      204968     204968   0       0             149248  0   55720
NETRO CORP                    COM          64114R109     22752999      349960     349960   0       0             349960  0       0
NETSOLVE INC                  COM          64115J106       421669       13075      13075   0       0              13075  0       0
NETWORKS ASSOCS INC           COM          640938106     33823800     1048800    1048800   0       0            1048800  0       0
                                                        ---------
                              PAGE TOTAL                795631975
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
NETZEE INC                    COM          64122W108     12860925      864600     864600   0       0             813000  0   51600
NEW ERA OF NETWORKS INC       COM          644312100     23173200      590400     590400   0       0             454200  0  136200
NEW YORK TIMES CO             CL A         650111107    210214700     4895887    4895887   0       0            4888269  0    7618
NEWFIELD EXPL CO              COM          651290108    168886839     4791116    4791116   0       0            4291646  0  499470
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     19771373     1292500    1292500   0       0            1292500  0       0
NEXTEL COMMUNICATIONS INC     CL A         65332V103    521516815     3517820    3517820   0       0            3512520  0    5300
NEXTEL PARTNERS INC           CL A         65333F107     21987220      758180     758180   0       0             758180  0       0
NEXTERA ENTERPRISES INC       CL A         65332E101      5131834      646571     646571   0       0             646571  0       0
NEXTLINK COMMUNICATIONS INC   CL A         65333H707    743869945     6014132    6014132   0       0            5913412  0  100720
NICOR INC                     COM          654086107     25134521      763109     763109   0       0             763109  0       0
NIKU CORP                     COM          654113109      1516350       32050      32050   0       0              32050  0       0
NIPPON TELEG & TEL CORP       SPONSORED
                              ADR          654624105     27361241      347171     347171   0       0             347171  0       0
NISOURCE INC                  COM          65473P105     16245343      962687     962687   0       0             931367  0   31320
NL INDS INC                   COM NEW      629156407      1046500       80500      80500   0       0              80500  0       0
NOBLE AFFILIATES INC          COM          654894104     19332437      589188     589188   0       0             568788  0   20400
NOBLE DRILLING CORP           COM          655042109    669380555    16178382   16178382   0       0           15410382  0  768000
NOKIA CORP                    SPONSORED
                              ADR          654902204   1317226344     5933452    5933452   0       0            5932672  0     780
NORTEK INC                    COM          656559101       407100       18400      18400   0       0              18400  0       0
NORTHEAST UTILS               COM          664397106     11582050      538700     538700   0       0             538700  0       0
                                                     ------------
                              PAGE TOTAL               3822755140
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
NOVA CORP GA                  COM          669784100    218797223     7512351    7512351   0       0            6494569  0 1017782
NOVELLUS SYS INC              COM          670008101     96475002     1718931    1718931   0       0            1718931  0       0
NSTAR                         COM          67019E107     16079406      382843     382843   0       0             381103  0    1740
NTL INC                       COM          629407107    507036504     5463049    5461245   0       0            5358053  0  104996
OCCIDENTAL PETE CORP DEL      COM          674599105     11418061      550268     550268   0       0             550268  0       0
OCEANEERING INTL INC          COM          675232102     13808625      736460     736460   0       0             736460  0       0
OFFICE DEPOT INC              COM          676220106    365297748    31594685   31594685   0       0           31231195  0  363490
OFFICEMAX INC                 COM          67622M108      3549000      546000     546000   0       0             546000  0       0
OMNICARE INC                  COM          681904108      9758520      809030     809030   0       0             809030  0       0
OMNICOM GROUP INC             COM          681919106      3156099       33710      33710   0       0              33710  0       0
ONDISPLAY INC                 COM          68232L100       379249        4590       4590   0       0               4590  0       0
ONESOURCE INFORMATION SVCS
  INC                         COM          68272J106      3140115      380620     380620   0       0             380620  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   6522245279    83552116   83552116   0       0           83512466  0   39650
ORTHODONTIC CTRS AMER INC     COM          68750P103     68515254     3606066    3606066   0       0            3372476  0  233590
OSTEOTECH INC                 COM          688582105     24707918     1847321    1847321   0       0            1401851  0  445470
OTG SOFTWARE INC              COM          671059103       326930        8110       8110   0       0               8110  0       0
OWENS ILL INC                 COM NEW      690768403     44732925     2650840    2650840   0       0            2635540  0   15300
OWENS ILL INC                 PFD
                              CONV $.01    690768502     15888100      587100     587100   0       0             587100  0       0
OXFORD HEALTH PLANS INC       COM          691471106      7458775      489100     489100   0       0             489100  0       0
                                                     ------------
                              PAGE TOTAL               7934084626
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
PACIFICARE HEALTH SYS DEL     COM          695112102     50241382     1007346    1007346   0       0            1007346  0       0
PACKETEER INC                 COM          695210104     12451775      355765     355765   0       0             277165  0   78600
PALM INC                      COM          696642107      1355225       30200      30200   0       0              30200  0       0
PAPA JOHNS INTL INC           COM          698813102     41137635     1246595    1246595   0       0             958495  0  288100
PARADYNE NETWORKS INC         COM          69911G107     15079299      486429     486429   0       0             375409  0  111020
PAREXEL INTL CORP             COM          699462107     18854569     1997941    1997941   0       0            1503971  0  493970
PARTNER COMMUNICATIONS CO LTD ADR          70211M109     95844688     5765094    5763144   0       0            5765094  0       0
PC-TEL INC                    COM          69325Q105      1920756       25525      25525   0       0              25525  0       0
PE CORP                       COM PE
                              BIO GRP      69332S102    446548925     4627450    4627450   0       0            4621920  0    5530
PE CORP                       CELERA
                              GEN GRP      69332S201      5942984       64510      64510   0       0              64510  0       0
PEAK INTL LTD                 ORD          G69586108      1481250      150000     150000   0       0             150000  0       0
PECO ENERGY CO                COM          693304107    216062573     5859324    5859324   0       0            5854563  0    4761
PEGASUS COMMUNICATIONS CORP   CL A         705904100     73640400      523200     523200   0       0             523200  0       0
PEOPLESOFT INC                COM          712713106      4874000      243700     243700   0       0             243700  0       0
PEPSICO INC                   COM          713448108     37304462     1069662    1069662   0       0            1067532  0    2130
PEREGRINE SYSTEMS INC         COM          71366Q101    238481190     3556130    3556130   0       0            3004715  0  551415
PERSONNEL GROUP AMER INC      COM          715338109      2608025      425800     425800   0       0             425800  0       0
PETCO ANIMAL SUPPLIES         COM          716016100     19989556     1683331    1683331   0       0            1355461  0  327870
PFIZER INC                    COM          717081103   1116408678    30534672   30532555   0       0           30360723  0  173949
PHELPS DODGE CORP             COM          717265102     28718725      606200     606200   0       0             606200  0       0
PHILIP MORRIS COS INC         COM          718154107     79427549     3759884    3759884   0       0            3751414  0    8470
                                                     ------------
                              PAGE TOTAL               2508373645
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
PHILIPPINE LONG DISTANCE TEL  SPONSORED
                              ADR          718252604      2810108      128099     128099   0       0             128099  0       0
PHILLIPS PETE CO              COM          718507106     24820248      536654     536654   0       0             536654  0       0
PHONE COM INC                 COM          71920Q100      3370163       20660      20660   0       0              20660  0       0
PHOTRONICS INC                COM          719405102     72681383     2058263    2058263   0       0            1716863  0  341400
PINNACLE HLDGS INC            COM          72346N101     83582970     1555032    1555032   0       0            1318162  0  236870
PINNACLE WEST CAP CORP        COM          723484101     77645686     2754663    2754663   0       0            2737993  0   16670
PMC-SIERRA INC                COM          69344F106     51163119      251185     251185   0       0             251185  0       0
PNC BK CORP                   COM          693475105    142225135     3156210    3156210   0       0            3147110  0    9100
POLAROID CORP                 COM          731095105     26391119     1111205    1107595   0       0             943605  0  167600
POLYMER GROUP INC             COM          731745105      1844925      144700     144700   0       0             144700  0       0
PORTAL SOFTWARE INC           COM          736126103     33304729      584940     584940   0       0             584940  0       0
POWER-ONE INC                 COM          739308104      8194397      135725     135725   0       0             135725  0       0
POWERWAVE TECHNOLOGIES INC    COM          739363109     45625000      365000     365000   0       0             365000  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
PRICELINE COM INC             COM          741503106     43064000      538300     538300   0       0             538300  0       0
PROBUSINESS SERVICES INC      COM          742674104     19071790      738873     738873   0       0             545263  0  193610
PROCTER & GAMBLE CO           COM          742718109     10230116      181064     181064   0       0             180828  0     236
PROFESSIONAL DETAILING INC    COM          74312N107      4739675      189587     189587   0       0             119407  0   70180
PROTEIN DESIGN LABS INC       COM          74369L103       791025        9950       9950   0       0               9950  0       0
                                                        ---------
                              PAGE TOTAL                690982283
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
PROVIDENCE ENERGY CORP        COM          743743106      1212732       31967      31967   0       0              31967  0       0
PROVIDIAN FINL CORP           COM          74406A102    249999490     2885997    2885997   0       0            2875357  0   10640
PROXICOM INC                  COM          744282104     28170025      635720     635720   0       0             635700  0      20
PROXIM INC                    COM          744284100     29268139      244539     244539   0       0             188229  0   56310
PRT GROUP INC                 COM          693579104       906181      500100     500100   0       0             500100  0       0
PSINET INC                    COM          74437C101     41795459     1228700    1228700   0       0            1228700  0       0
PSS WORLD MED INC             COM          69366A100      8927722     1316579    1316579   0       0            1042539  0  274040
PUBLIC SVC ENTERPRISE GROUP   COM          744573106     19220700      648800     648800   0       0             648800  0       0
QUAKER OATS CO                COM          747402105    228066339     3761919    3761919   0       0            3744051  0   17868
QUALCOMM INC                  COM          747525103      1464751        9810       9810   0       0               7010  0    2800
QUANTA SVCS INC               COM          74762E102      2895984       47720      47720   0       0              47720  0       0
QUANTUM EFFECT DEVICES INC    COM          74764T107      1973904       24790      24790   0       0              24790  0       0
QUEST DIAGNOSTICS INC         COM          74834L100      6939356      174575     174575   0       0             174575  0       0
QUEST SOFTWARE INC            COM          74834T103     32323170      286680     286680   0       0             286680  0       0
QUINTILES TRANSNATIONAL CORP  COM          748767100      1194340       70000      70000   0       0              70000  0       0
QUINTUS CORP                  COM          748798105       711894       23980      23980   0       0              23980  0       0
QUORUM HEALTH GROUP INC       COM          749084109      7936403      788750     788750   0       0             497090  0  291660
QWEST COMMUNICATIONS INTL INC COM          749121109    175043616     3646742    3646742   0       0            3628532  0   18210
R & B FALCON CORP             COM          74912E101      9617100      488500     488500   0       0             488500  0       0
R O C TAIWAN FD               SH BEN
                              INT          749651105      9173510      928963     928963   0       0             928963  0       0
RADIANT SYSTEMS INC           COM          75025N102    165058130     2625179    2625179   0       0            2444944  0  180235
                                                     ------------
                              PAGE TOTAL               1021898944
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
RADIO ONE INC                 CL A         75040P108      6062875       91000      91000   0       0              91000  0       0
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      1879900       68360      68360   0       0              67160  0    1200
RATIONAL SOFTWARE CORP        COM NEW      75409P202    338586323     4425965    4425965   0       0            4417195  0    8770
RAVISENT TECHNOLOGIES INC     COM          754440105     10774909      776570     776570   0       0             776570  0       0
RCM TECHNOLOGIES INC          COM NEW      749360400      6433750      514700     514700   0       0             514700  0       0
REDBACK NETWORKS INC          COM          757209101     86762776      289270     289270   0       0             289270  0       0
REGENT COMMUNICATIONS INC DEL COM          758865109      1025269       82850      82850   0       0              82850  0       0
REGIS CORP MINN               COM          758932107     10202698      688813     688813   0       0             435413  0  253400
RELIANT ENERGY INC            COM          75952J108     27181123     1153600    1153600   0       0            1153600  0       0
RELIASTAR FINL CORP           COM          75952U103     85550466     2525475    2525475   0       0            2347175  0  178300
REMEDYTEMP INC                CL A         759549108       973500       44000      44000   0       0              44000  0       0
RENAISSANCE WORLDWIDE INC     COM          75968A109     22012390     4217741    4217741   0       0            3856141  0  361600
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     73203376      613222     613222   0       0             612762  0     460
RF MICRODEVICES INC           COM          749941100     30508500      227040     227040   0       0             227040  0       0
RITE AID CORP                 COM          767754104     41431669     7365630    7365630   0       0            7365630  0       0
ROGERS CANTEL MOBILE COMMN    CL B
                              RSTRG VTG    775102205       913876       22600      22600   0       0              22600  0       0
ROGERS COMMUNICATIONS INC     CL B         775109200       900322       30200      30200   0       0              30200  0       0
                                                        ---------
                              PAGE TOTAL                819549960
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
ROHM & HAAS CO                COM          775371107    308457014     6912202    6912202   0       0            6849516  0   62686
ROYAL DUTCH PETE CO           NY REG
                              GLD1.25      780257804    135782640     2348693    2348693   0       0            2348693  0       0
RSA SEC INC                   COM          749719100    264414459     5103344    5103344   0       0            4345234  0  758110
RSL COMMUNICATIONS LTD        CL A         G7702U102      1999200       83300      83300   0       0              83300  0       0
RUDOLPH TECHNOLOGIES INC      COM          781270103       346950        7710       7710   0       0               7710  0       0
S1 CORPORATION                COM          78463B101    459982383     5368170    5368170   0       0            4863549  0  504621
SAFEWAY INC                   COM NEW      786514208   1366734756    30204083   30202103   0       0           30017444  0  186639
SANMINA CORP                  COM          800907107     87545894     1295786    1295786   0       0            1295786  0       0
SANTA FE INTL CORP            ORD          G7805C108    113490100     3067300    3065900   0       0            2982600  0   84700
SANTA FE SNYDER CORP          COM          80218K105     13114370     1380460    1380460   0       0            1380460  0       0
SAP AKTIENGESELLSCHAFT        SPONSORED
                              ADR          803054204     67687369     1132843    1132843   0       0            1132843  0       0
SATYAM INFOWAY LTD            SPONSORED
                              ADR          804099109      1264853       23587      23587   0       0              23587  0       0
SAWTEK INC                    COM          805468105     17740463      337515     337515   0       0             280265  0   57250
SBC COMMUNICATIONS INC        COM          78387G103    310905542     7380547    7380547   0       0            7362146  0   18401
SCANA CORP NEW                COM          80589M102      6598287      268638     268638   0       0             268638  0       0
SCC COMMUNICATIONS CORP       COM          78388X105      2281000      228100     228100   0       0             228100  0       0
SCHEIN HENRY INC              COM          806407102      8310584      513411     513411   0       0             322751  0  190660
SCHERING PLOUGH CORP          COM          806605101     63488242     1710121    1710121   0       0            1704132  0    5989
SCHLOTZSKYS INC               COM          806832101      2413200      402200     402200   0       0             402200  0       0
SCHLUMBERGER LTD              COM          806857108      9868500      129000     129000   0       0             129000  0       0
SCHOLASTIC CORP               COM          807066105    109164658     2023929    2023929   0       0            1702889  0  321040
                                                     ------------
                              PAGE TOTAL               3351590465
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
SCHWAB CHARLES CORP NEW       COM          808513105     10397732      183020     183020   0       0             178070  0    4950
SCI SYS INC                   COM          783890106     49374750      918600     918600   0       0             914800  0    3800
SCIENTIFIC ATLANTA INC        COM          808655104      8108650      128200     128200   0       0             128200  0       0
SCIQUEST COM INC              COM          80908Q107       435175       16900      16900   0       0              16900  0       0
SDL INC                       COM          784076101     13027950       61200      61200   0       0              61200  0       0
SEACOR SMIT INC               COM          811904101     11048625      183000     183000   0       0             183000  0       0
SEAGATE TECHNOLOGY            COM          811804103    568949865     9213763    9213763   0       0            9085663  0  128100
SEAGRAM LTD                   COM          811850106      1195950       20100      20100   0       0              12800  0    7300
SELECTICA INC                 COM          816288104     17469970      197960     197960   0       0             196960  0    1000
SEPRACOR INC                  COM          817315104    132106816     1814355    1814355   0       0            1812755  0    1600
SEQUENOM INC                  COM          817337108      2017969       51250      51250   0       0              51250  0       0
SHIRE PHARMACEUTICALS GRP PLC SPONSORED
                              ADR          82481R106      9071250      177000     177000   0       0             177000  0       0
SIEBEL SYS INC                COM          826170102    287917460     2410622    2410622   0       0            2407722  0    2900
SIERRA PAC RES NEW            COM          826428104     21732963     1738637    1738637   0       0            1738637  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       563871       63094      63094   0       0              55394  0    7700
SIPEX CORP                    COM          829909100     88679767     2511321    2511321   0       0            2043381  0  467940
SITEL CORP                    COM          82980K107       848375      123400     123400   0       0             123400  0       0
                                                     ------------
                              PAGE TOTAL               1228740276
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
SKILLSOFT CORP                COM          83066P101      1360973       46830      46830   0       0              46830  0       0
SKYWEST INC                   COM          830879102     20134234      514613     514613   0       0             384303  0  130310
SMARTFORCE PUB LTD CO         SPONSORED
                              ADR          83170A206    146985335     3204040    3204040   0       0            3170000  0   34040
SMITH INTL INC                COM          832110100     25475800      328720     328720   0       0             328720  0       0
SMITHKLINE BEECHAM PLC        ADR REP
                              ORD          832378301     11491022      173943     173943   0       0             173943  0       0
SMUCKER J M CO                CL B         832696207      2343361      163734     163734   0       0             163734  0       0
SMURFIT-STONE CONTAINER CORP  COM          832727101     91823827     5421493    5421493   0       0            5028493  0  393000
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     16028190     1068546    1068546   0       0             838456  0  230090
SOLECTRON CORP                COM          834182107    218429265     5443720    5443720   0       0            5429540  0   14180
SONERA GROUP PLC              SPONSORED
                              ADR          835433202      4284506       64550      64550   0       0              64550  0       0
SONIC CORP                    COM          835451105     40445404     1484235    1484235   0       0            1296065  0  188170
SONICWALL INC                 COM          835470105       806829       12110      12110   0       0              12110  0       0
SOVEREIGN BANCORP INC         UNIT EX
                                 111229    845905306      2428725       49820      49820   0       0              49820  0       0
SPANISH BROADCASTING SYS INC  CL A         846425882     17638298      752070     752070   0       0             594570  0  157500
SPECTRASITE HLDGS INC         COM          84760T100     54523844     1925821    1925821   0       0            1913521  0   12300
SPORTSLINE COM INC            COM          848934105     98481896     3345514    3345514   0       0            2851404  0  494110
SPRINT CORP                   COM FON
                              GROUP        852061100    425561876     6728251    6727331   0       0            6647557  0   80694
SPRINT CORP                   PCS COM
                              SER 1        852061506   1197712302    18285684   18283534   0       0           18147084  0  138600
SPX CORP                      COM          784635104     64252492      563930     563930   0       0             559830  0    4100
                                                     ------------
                              PAGE TOTAL               2447915891
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
ST JUDE MED INC               COM          790849103      4017638      155650     155650   0       0             155650  0       0
ST PAUL COS INC               COM          792860108    179418705     5257691    5257691   0       0            5252392  0    5299
STAFFMARK INC                 COM          852389105      7205209      907800     907800   0       0             907800  0       0
STAR BUFFET INC               COM          855086104       111545       35000      35000   0       0              35000  0       0
STATE STR CORP                COM          857477103    456863469     4716010    4716010   0       0            4710440  0    5570
STERIS CORP                   COM          859152100     13683432     1334969    1334969   0       0             852209  0  482760
STET HELLAS COMMUNICATIONS
  S A                         ADR          859823106      1651745       57452      57452   0       0              57452  0       0
STEWART ENTERPRISES INC       CL A         860370105      4551914      922000     922000   0       0             922000  0       0
STRATESEC INC                 COM          862792108        72428       19000      19000   0       0              19000  0       0
STUDENT LN CORP               COM          863902102     10567150      258132     258132   0       0             165102  0   93030
SUMMIT TECHNOLOGY INC         COM          86627E101      9554523     1047071    1047071   0       0             786281  0  260790
SUN MICROSYSTEMS INC          COM          866810104   1220401646    13024147   13024147   0       0           12976387  0   47760
SUNGARD DATA SYS INC          COM          867363103     68355586     1810744    1810744   0       0            1384904  0  425840
SUNOCO INC                    COM          86764P109     28983418     1058755    1058755   0       0            1058755  0       0
SUPERIOR CONSULTANT HLDGS
  CORP                        COM          868146101      9756996      580359     580359   0       0             375009  0  205350
SUPERIOR ENERGY SVCS INC      COM          868157108      5599425      574300     574300   0       0             574300  0       0
SWITCHBOARD INC               COM          871045100     71010775     2065768    2065768   0       0            1913838  0  151930
SYCAMORE NETWORKS INC         COM          871206108     86759595      672555     672555   0       0             672555  0       0
SYLVAN LEARNING SYS INC       COM          871399101     11218373      703920     703920   0       0             703920  0       0
SYNOPSYS INC                  COM          871607107    157233083     3225294    3225294   0       0            3225294  0       0
SYNTEL INC                    COM          87162H103      2119688      142500     142500   0       0             142500  0       0
                                                     ------------
                              PAGE TOTAL               2349136341
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
TAIWAN SEMICONDUCTOR MFG LTD  SPONSORED
                              ADR          874039100     10213260      179180     179180   0       0             179180  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
TANNING TECHNOLOGY CORP       COM          87588P101      1692337       39300      39300   0       0              39300  0       0
TECHNOLOGY SOLUTIONS CO       COM          87872T108     32848084     3599790    3599790   0       0            2857528  0  742262
TEKELEC                       COM          879101103     89055153     2398792    2398792   0       0            2231582  0  167210
TEKTRONIX INC                 COM          879131100     47744480      852580     852580   0       0             852580  0       0
TELAXIS COMMUNICATIONS CORP   COM          879202109     13919441      231570     231570   0       0             231570  0       0
TELE CENTRO OESTE CELULAR S A SPON ADR
                              PFD          87923P105      5957266      512453     512453   0       0             512453  0       0
TELE CENTRO SUL PART S A      SPON ADR
                              PFD          879239101     13675311      168831     168831   0       0             168831  0       0
TELE NORTE CELULAR PART S A   SPON ADR
                              PFD          87924Y105      2930864       47272      47272   0       0              47272  0       0
TELE NORTE LESTE PART S A     SPON ADR
                              PFD          879246106       445090       16717      16717   0       0              16717  0       0
TELE SUDESTE CELULAR PART S A SPON ADR
                              PFD          879252104      6961767      139411     139411   0       0             139411  0       0
TELECOM CORP NEW ZEALAND LTD  SPONSORED
                              ADR          879278208       266348        7260       7260   0       0               7260  0       0
TELECOM ITALIA SPA            SPON ADR
                              ORD          87927W106       456000        3000       3000   0       0               3000  0       0
TELECOMUNICACOES DE SAO PAULO SPON ADR
                              PFD          87929A102     47393158     1596428    1596428   0       0            1596428  0       0
TELECORP PCS INC              CL A         879299105      7061805      136460     136460   0       0             136460  0       0
TELEFONICA DEL PERU S A       SPON ADR
                              CL B         879384105      5199892      305876     305876   0       0             305876  0       0
TELEFONICA S A                SPONSORED
                              ADR          879382208     47135231      633751     633751   0       0             633751  0       0
TELEFONOS DE MEXICO S A       SPON ADR
                              ORD L        879403780     79568239     1194270    1194270   0       0            1194270  0       0
TELEMIG CELULAR PART S A      SPON ADR
                              PFD          87944E105      7540257       85141      85141   0       0              85141  0       0
                                                        ---------
                              PAGE TOTAL                526296102
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
TELEPHONE & DATA SYS INC      COM          879433100     50440731      454421     454421   0       0             454421  0       0
TELESYSTEM INTL WIRELESS INC  SUB VTG
                              SHS          879946101    111670290     3059460    3059460   0       0            3059460  0       0
TELETECH HOLDINGS INC         COM          879939106     61911975     1794550    1794550   0       0            1794550  0       0
TELLABS INC                   COM          879664100    399678828     6345720    6344120   0       0            6260080  0   85640
TERADYNE INC                  COM          880770102    257115100     3135550    3135550   0       0            3127450  0    8100
TEVA PHARMACEUTICAL INDS LTD  ADR          881624209     24262165      650251     650251   0       0             650251  0       0
TEXACO INC                    COM          881694103       241875        4500       4500   0       0               4500  0       0
TEXAS INSTRS INC              COM          882508104     74392640      464954     464954   0       0             464832  0     122
THERMA-WAVE INC               COM          88343A108      1574540       46310      46310   0       0              46310  0       0
THERMO ELECTRON CORP          COM          883556102     21446318     1052580    1052580   0       0            1052580  0       0
TIBCO SOFTWARE INC            COM          88632Q103     30168855      370170     370170   0       0             370170  0       0
TICKETMASTER
  ONLINE-CITYSEARCH           CL B         88633P203     10171588      405857     405857   0       0             295517  0  110340
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   1117015000    11170150   11168720   0       0           11072461  0   97689
TIME WARNER TELECOM INC       CL A         887319101    219538455     2761490    2761490   0       0            2692790  0   68700
TJX COS INC NEW               COM          872540109       774326       34900      34900   0       0              27500  0    7400
TOLLGRADE COMMUNICATIONS INC  COM          889542106      1391250       26250      26250   0       0              26250  0       0
TOOTSIE ROLL INDS INC         COM          890516107      9327780      296120     296120   0       0             188740  0  107380
TORCHMARK CORP                COM          891027104       304325       13160      13160   0       0              13160  0       0
TOTAL FINA S A                SPONSORED
                              ADR          89151E109     21522428      292325     292325   0       0             292325  0       0
                                                     ------------
                              PAGE TOTAL               2429104310
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
TOTAL RENAL CARE HLDGS INC    COM          89151A107     32697275    10463128   10463128   0       0            8851804  0 1611324
TRANSACTION SYS ARCHITECTS    CL A         893416107     67035045     2321560    2321560   0       0            1835070  0  486490
TRANSOCEAN SEDCO FOREX INC    ORD          G90078109    651692982    12700596   12700596   0       0           12513066  0  187530
TRANSWITCH CORP               COM          894065101      5911688       61500      61500   0       0              61500  0       0
TRIBUNE CO NEW                COM          896047107    249659559     6828389    6828389   0       0            6812795  0   15594
TRICO MARINE SERVICES INC     COM          896106101     15685184     1779980    1779980   0       0            1779980  0       0
TRICOM SA                     SPON ADR
                              REP A        89612A100       479496       19979      19979   0       0              19979  0       0
TRINTECH GROUP PLC            SPONSORED
                              ADR          896682101     48117147     1233773    1233773   0       0            1226923  0    6850
TRIQUINT SEMICONDUCTOR INC    COM          89674K103     17722761      241126     241126   0       0             185406  0   55720
TRITEL INC                    CL A         89675X104       941715       24620      24620   0       0              24620  0       0
TRITON PCS HLDGS INC          CL A         89677M106      8508400      142400     142400   0       0             142400  0       0
TRW INC                       COM          872649108    160302519     2740214    2739564   0       0            2704924  0   35290
TUBOS DE ACERO DE MEXICO S A  ADR NEW      898592506       554408       33857      33857   0       0              33857  0       0
TURNSTONE SYSTEMS INC         COM          900423104      1115500        9700       9700   0       0               9700  0       0
TYCO INTL LTD NEW             COM          902124106   3016127615    60172122   60172122   0       0           60072544  0   99578
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      1943375      777350     777350   0       0             777350  0       0
U S WEST INC NEW              COM          91273H101       501113        6900       6900   0       0               5600  0    1300
UAL CORP                      COM PAR
                              $0.01        902549500       496100        8200       8200   0       0               5200  0    3000
UBICS INC                     COM          90261L108       270000       54000      54000   0       0              54000  0       0
ULTRAMAR DIAMOND SHAMROCK
  CORP                        COM          904000106     26803613     1056300    1056300   0       0            1056300  0       0
                                                     ------------
                              PAGE TOTAL               4309163493
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
UNIBANCO-UNIAO DE BANCOS
  BRASL                       GDR REP
                              PFD UT       90458E107      1649762       51961      51961   0       0              51961  0       0
UNICOM CORP                   COM          904911104     44379474     1215876    1215876   0       0            1212346  0    3530
UNION PAC CORP                COM          907818108       618175       15800      15800   0       0              15800  0       0
UNION PAC RES GROUP INC       COM          907834105       217500       15000      15000   0       0              15000  0       0
UNISYS CORP                   COM          909214108     22291179      867800     867800   0       0             867800  0       0
UNITED PARCEL SERVICE INC     CL B         911312106     16921726      268650     268460   0       0             254730  0   13920
UNITED RENTALS INC            COM          911363109      2286695      132562     132562   0       0             132562  0       0
UNITED STATIONERS INC         COM          913004107       455366       12760      12760   0       0              12760  0       0
UNITED TECHNOLOGIES CORP      COM          913017109    586109975     9275800    9275800   0       0            9256432  0   19368
UNITED THERAPEUTICS CORP DEL  COM          91307C102    139763400     1797600    1797600   0       0            1664800  0  132800
UNITEDGLOBALCOM               CV PFD
                              1/20         913247102     24323783      258420     258420   0       0             258420  0       0
UNITEDGLOBALCOM               CV PFD
                              1/20DSR      913247201      5195700       55200      55200   0       0              55200  0       0
UNITEDGLOBALCOM               CL A         913247508    301972925     4022980    4022980   0       0            4020580  0    2400
UNITEDGLOBALCOM               PFD D
                              DEP1/20      913247805     11554560      169920     169920   0       0             169920  0       0
UNIVISION COMMUNICATIONS INC  CL A         914906102    323626802     2863954    2863954   0       0            2861254  0    2700
UNOCAL CORP                   COM          915289102     53278323     1790868    1790868   0       0            1790768  0     100
US BANCORP DEL                COM          902973106    168407050     7698608    7698608   0       0            7677927  0   20681
USA NETWORKS INC              COM          902984103    170125602     7540360    7540360   0       0            7526060  0   14300
USEC INC                      COM          90333E108      2245325      472700     472700   0       0             472700  0       0
USINTERNETWORKING INC         COM          917311805      2737649       70649      70649   0       0              70649  0       0
USX MARATHON GROUP            COM NEW      902905827       212145        8140       8140   0       0               8140  0       0
                                                     ------------
                              PAGE TOTAL               1878373114
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
UTSTARCOM INC                 COM          918076100      3563530       45650      45650   0       0              45650  0       0
VA LINUX SYSTEMS INC          COM          91819B105      1105466       18310      18310   0       0              18310  0       0
VALERO ENERGY CORP NEW        COM          91913Y100     18435522      600760     600760   0       0             600760  0       0
VARIAN INC                    COM          922206107     35457464      923973     923973   0       0             736413  0  187560
VARIAN SEMICONDUCTOR EQUIPMNT COM          922207105     84023111     1320599    1320599   0       0            1176019  0  144580
VDI MULTIMEDIA                COM          917916108      3523427      247258     247258   0       0             186608  0   60650
VEECO INSTRS INC DEL          COM          922417100     90287104     1220096    1220096   0       0            1116096  0  104000
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
VERISIGN INC                  COM          92343E102   1473350307     9855186    9855186   0       0            9659398  0  195788
VERITAS SOFTWARE CO           COM          923436109    397021176     3030696    3030696   0       0            3022831  0    7865
VERITY INC                    COM          92343C106     37617059      923118     923118   0       0             709678  0  213440
VERSATA INC                   COM          925298101     12494219      207590     207590   0       0             193740  0   13850
VERSATEL TELECOM INTL N V     SPONSORED
                              ADR          925301103      9335795      192988     192334   0       0             192988  0       0
VESTCOM INTL INC              COM          924904105       826968      152100     152100   0       0             152100  0       0
VI TECHNOLOGIES INC           COM          917920100      9077191     1075879    1075879   0       0             851499  0  224380
VIA NET WRKS INC              COM          925912107     16829418      633590     633590   0       0             633590  0       0
VIACOM INC                    CL B         925524308    598856349    11352727   11352727   0       0           11313912  0   38815
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    196270995     1224780    1224780   0       0            1224080  0     700
                                                     ------------
                              PAGE TOTAL               2996769389
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
VIRATA CORP                   COM          927646109      2480895       24840      24840   0       0              24840  0       0
VISX INC DEL                  COM          92844S105    152194889     8339446    8339446   0       0            7783826  0  555620
VITESSE SEMICONDUCTOR CORP    COM          928497106     39603987      411470     411470   0       0             411470  0       0
VITRIA TECHNOLOGY             COM          92849Q104     22241648      220625     220625   0       0             220625  0       0
VODAFONE AIRTOUCH PLC         SPONSORED
                              ADR          92857T107     50171208      902977     902977   0       0             902887  0      90
VOICESTREAM WIRELESS CORP     COM          928615103    279106879     2166777    2166777   0       0            2165677  0    1100
WACKENHUT CORP                COM SER B    929794303      1851408      184000     184000   0       0             184000  0       0
WADDELL & REED FINL INC       CL A         930059100     35840676      847057     847057   0       0             548437  0  298620
WAL MART STORES INC           COM          931142103    612661931    10843574   10843574   0       0           10823391  0   20183
WALTER INDS INC               COM          93317Q105       616900       79600      79600   0       0              79600  0       0
WASHINGTON GAS LT CO          COM          938837101     17684437      650474     650474   0       0             650474  0       0
WASHINGTON MUT INC            COM          939322103       585650       22100      22100   0       0              22100  0       0
WASTE MGMT INC DEL            COM          94106L109     15090930     1102574    1102574   0       0            1102574  0       0
WATERLINK INC                 COM          94155N105       424875      154500     154500   0       0             154500  0       0
WATERS CORP                   COM          941848103    274572889     2882655    2882655   0       0            2878255  0    4400
WAVECOM S A                   SPONSORED
                              ADR          943531103      3893214       34151      34151   0       0              34151  0       0
WEATHERFORD INTL INC          COM          947074100    327933392     5605699    5605699   0       0            5448779  0  156920
WEBMETHODS INC                COM          94768C108      2840984       11770      11770   0       0              11770  0       0
WELLPOINT HEALTH NETWORK NEW  COM          94973H108     43657900      624800     624800   0       0             624800  0       0
WELLS FARGO & CO NEW          COM          949746101    145508307     3570756    3570756   0       0            3568545  0    2211
WENDYS INTL INC               COM          950590109      3516979      174220     174220   0       0             174220  0       0
                                                     ------------
                              PAGE TOTAL               2032479977
<PAGE>

                                                           MFS 13F REPORT
DATE: 000630                                                                                                      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> <C>
WESTPOINT STEVENS INC         COM          961238102      1434500       75500      75500   0       0              75500  0       0
WEYERHAEUSER CO               COM          962166104      1375524       24132      24132   0       0              15920  0    8212
WHIRLPOOL CORP                COM          963320106       293125        5000       5000   0       0               5000  0       0
WHITEHALL JEWELLERS INC       COM          965063100      4288750      182500     182500   0       0             182500  0       0
WILLIAMS COMMUNICATIONS GROUP CL A         969455104    171819182     3312177    3312177   0       0            3312177  0       0
WILLIAMS COS INC DEL          COM          969457100    383612277     8730962    8730962   0       0            8718036  0   12926
WIND RIVER SYSTEMS INC        COM          973149107     22237671      613453     613453   0       0             471693  0  141760
WINK COMMUNICATIONS           COM          974168106       382144       11450      11450   0       0              11450  0       0
WINSTAR COMMUNICATIONS INC    COM          975515107    193321860     3222031    3222031   0       0            3219981  0    2050
WIRELESS FACILITIES INC       COM          97653A103      1455608       13830      13830   0       0              13830  0       0
WITNESS SYS INC               COM          977424100       282488        9300       9300   0       0               9300  0       0
WORKFLOW MGMT INC             COM          98137N109      5677054      210753     210753   0       0             210753  0       0
XEROX CORP                    COM          984121103     12076376      464476     464476   0       0             457376  0    7100
XILINX INC                    COM          983919101    570672233     6891178    6891178   0       0            6891178  0       0
YAHOO INC                     COM          984332106      1540661        8990       8990   0       0               7390  0    1600
YOUNG & RUBICAM INC           COM          987425105     30004800      638400     638400   0       0             638400  0       0
YOUTHSTREAM MEDIA NETWORKS
  INC                         COM          987819109       578813       44100      44100   0       0              44100  0       0
ZIFF-DAVIS INC                COM ZDNET    989511209      3793125      178500     178500   0       0             164800  0   13700
                                                     ------------
                              PAGE TOTAL               1404846189
                                                     ------------
                              GRAND TOTAL            125489290049
</TABLE>


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